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6 balance sheet 1 September 20, 2020 and 2017 201201 71119 Current astes Cash and cash constable : 290 . 3FIT 720 Inesetreceivable Imcntory Frepasan

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6 balance sheet 1 September 20, 2020 and 2017 201201 71119 Current astes Cash and cash constable : 290 . 3FIT 720 Inesetreceivable Imcntory Frepasan Flart and waren, nes Land 7,2035 9007 3,600 29,00 3,50 75.000 179.00 67 000 27 49 400 .4 - 5,f : The 2020 income statement and comparte balance sheet of Samuel Design Lid fallor. Click the icon to view the income alement Click the icon to view the balance sheet Baru Cogn Lad had no non-cash inancing and resting ta'sact one during 2.1. During the year, there was no sales of land or plant and squpmet, and no samance of roles payable Required 1. Prepare the 2020 cash fosteren by the indirect method 2. Eslate the cash for this company 0 nament Requirement 1. Prepare the show statement Thirdiet Method Ibis parents or a minus sign for nur Samuel Design Ltd. Samuel Design Ltd. Cash Flow Statement nuore Stalement For the Year Erded epic 30, 2000 For the Year Ended September 30 220 Cash flows from operating activities RAVAK Net nem 70 5.les $ 267,000 Add (ubrattems that werel income 19, Intereste and cash flow differently 203,000 Totalren 41 Emai2R Expr - 18000 Increase in te recente Duluf uudsul: 2790 $ 35,000 Increase in interest recal Bola Depende 33,000 1807 DARAS Amortizabon and Increase in pead expens -800 | 10,500 Dihet 9000 Increase in accounts payable nicrest penis 24,000 DARASA nins payable 41,000 ncore la pense Dear Easy ies paymble 192m Cash lows from investing activities Totalenus Acquisition of land 109000 Expenses Acquisition of equipment -78000 Dest of goda sole 5 h -13400 Nel cas automat Seswagen 33,000 Cash flow from financing activities maraton pence 2,000 Payment of dividend 0 The Ang An 10,9 ULID Payment nors payabis nlerest espere 2.000 1. Iguance of common shares neurrelaxare 4000 Nel casi cution from firanging activi: Til pe Net inca decrease in cash 3120 NACH 100 CASH and ash cuivalents, October 1, 2019 720 3 5 $ 4,603 E 500 7 400 Curren lablites Aunts paya Inilable Calories soyadle Other Beliabilis mu Imentary Prepaid expenses Flart and an F 29 3.600 2700 Land 109,000 60 000 S236,200 $ 228 3.0 S Total arets Cum lahir Accounts payable Indolayable Saray Other cubies 36.000 4.000 32 000 6900 27.000 9,100 32 000 7 900 Income tak sale Lontaliai 6 balance sheet 1 September 20, 2020 and 2017 201201 71119 Current astes Cash and cash constable : 290 . 3FIT 720 Inesetreceivable Imcntory Frepasan Flart and waren, nes Land 7,2035 9007 3,600 29,00 3,50 75.000 179.00 67 000 27 49 400 .4 - 5,f : The 2020 income statement and comparte balance sheet of Samuel Design Lid fallor. Click the icon to view the income alement Click the icon to view the balance sheet Baru Cogn Lad had no non-cash inancing and resting ta'sact one during 2.1. During the year, there was no sales of land or plant and squpmet, and no samance of roles payable Required 1. Prepare the 2020 cash fosteren by the indirect method 2. Eslate the cash for this company 0 nament Requirement 1. Prepare the show statement Thirdiet Method Ibis parents or a minus sign for nur Samuel Design Ltd. Samuel Design Ltd. Cash Flow Statement nuore Stalement For the Year Erded epic 30, 2000 For the Year Ended September 30 220 Cash flows from operating activities RAVAK Net nem 70 5.les $ 267,000 Add (ubrattems that werel income 19, Intereste and cash flow differently 203,000 Totalren 41 Emai2R Expr - 18000 Increase in te recente Duluf uudsul: 2790 $ 35,000 Increase in interest recal Bola Depende 33,000 1807 DARAS Amortizabon and Increase in pead expens -800 | 10,500 Dihet 9000 Increase in accounts payable nicrest penis 24,000 DARASA nins payable 41,000 ncore la pense Dear Easy ies paymble 192m Cash lows from investing activities Totalenus Acquisition of land 109000 Expenses Acquisition of equipment -78000 Dest of goda sole 5 h -13400 Nel cas automat Seswagen 33,000 Cash flow from financing activities maraton pence 2,000 Payment of dividend 0 The Ang An 10,9 ULID Payment nors payabis nlerest espere 2.000 1. Iguance of common shares neurrelaxare 4000 Nel casi cution from firanging activi: Til pe Net inca decrease in cash 3120 NACH 100 CASH and ash cuivalents, October 1, 2019 720 3 5 $ 4,603 E 500 7 400 Curren lablites Aunts paya Inilable Calories soyadle Other Beliabilis mu Imentary Prepaid expenses Flart and an F 29 3.600 2700 Land 109,000 60 000 S236,200 $ 228 3.0 S Total arets Cum lahir Accounts payable Indolayable Saray Other cubies 36.000 4.000 32 000 6900 27.000 9,100 32 000 7 900 Income tak sale Lontaliai

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