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Below is a list of information for Flyer Corp: Ending Cash $561989 Purchase of Building by Signing a Note $759747 Operating Expenses Paid in Cash
Below is a list of information for Flyer Corp: Ending Cash $561989 Purchase of Building by Signing a Note $759747 Operating Expenses Paid in Cash $126359 Net Cash Flows from Financing Activities $36131 Cash Proceeds from Sale of Equipment $62317 Loss on Sale of Equipment $12184 Sales Revenue $234928 Beginning Cash $252064 Change in Accounts Receivable ? Assuming no other activity occurred, determine Flyer Corp.'s Change in Accounts Receivable as reported on the Indirect Method Statement of Cash Flows.
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