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(: 1234567 1234567 4 Cash inflow - Cash outflow 2019 23,000 13,350 1,360 1,300 1,450 550 650) 3,120 8,960 3950) 5250 2018 15,500 Sales 11,650
(: 1234567 1234567 4 Cash inflow - Cash outflow 2019 23,000 13,350 1,360 1,300 1,450 550 650) 3,120 8,960 3950) 5250 2018 15,500 Sales 11,650 CGS 1,200 General and Adm. exp. 900 , Selling exp 1,250 |Depreciation exp. 350 Interest 450) Taxes 3,690 Accounts Receivable 6,750 Inventory 1630 Accounts Payable 6,500 Note Payable se the above information to Use the above information to calculate the Cash Collection in 2019 $ Use the above information to calculate the Payment for Purchases in 2019 $ Use the above information to calculate the Payment for Operating Expenses in 2019 $ Use the above information to calculate the cash flow from Operating Activities in 2019
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