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i have some of mistakes in statment of cash flows the mistakes looklike pink Instructions Labels and Amount Descriptions Statement of Cash Flows Instructions Statement

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Instructions Labels and Amount Descriptions Statement of Cash Flows Instructions Statement of Cash Flows Shaded cells have feedba Prepare a statement of cash flows for Adventure Travel Service for the year ended April 30, 2019. Refer to the cash receipts and cash payments formation on the strony the lists of Labels and Amount Descriptions for the exact wording of the answer choices for text entries. Be sure to complete the statement reading. Acolon() wilm atay they are required. Enter amounts that represent cash outflows as negative numbers using a minus sign Adventure Travel Service Score: 73/98 Statement of Cash Flows For the Year Ended April 30, 2019 1 2 Cash flows from operating activities: Cash receipts from customers $2,080,000.00 Previous Next > Check My Work 7 more Check My Work uses remaining. Submit Assignment for Email Instructor Save and Exit Cash receipts from customers Cash payments for operating expenses $2,080,000.00 1,909,000.00 Net cash flow from operating activities Cash flows used for investing activities: 5 $171,000.00 6 Cash payment for purchase of land 400,000.00 Cash flows from financing activities: Cash receipt from owner as investment $60,000.00 Cash withdrawals by owner 40,000.00 20,000.00 Net cash flow from financing activities $19.000.00 11 Net increase in cash during year LOLITULUI VOSITION Cash Flows drawals by owner flow from financing activities 40,000.00 e in cash during year 20,000.00 $19,000.00 lay 1, 2018 203,000.00 pril 30, 2019 $222,000.00 Work Instructions Statement of Cash Flows Labels and Amount Descriptions Labels Cash flows from financing activities Cash flows used for investing activities Cash flows from operating activities For the Year Ended April 30, 2019 Amount Descriptions Cash as of May 1, 2018 Cash as of April 30, 2019 Net cash flow from financing activities Net cash flow from investing activities Net cash flow from operating activities Check My Work 7 more Check My Work uses remaining Statement of cash flows Instructions Labels and Amount Descriptions Statement of Cash Flows Instructions A summary of cash flows for Adventure Travel Service for the year ended April 30, 2018, follows: $2,080,000 60,000 Cash Flows Cash receipts: Cash receipts from customers Cash receipt from owner as investment Cash payments: Cash payments for operating expenses Cash payment for purchase of land Cash withdrawals by owner 1,706,000 400,000 40,000 The nach balance of May 1 2018 was ana on Check My Work 7 more Check My Work uses remaining Statement of Cash Flows Instructions Lasn payments Cash payments for operating expenses Cash payment for purchase of land Cash withdrawals by owner 1,706,000 400,000 40,000 The cash balance as of May 1, 2010, was $203,000. Prepare a statement of cash flows for Adventure Travel Service for the year ended April 30, 2018. Refer to the cash receipts and cash payments formation given in the instruct the lists of Labels and Amount Descriptions for the exact wording of the answer choices for text entries. Be sure to complete the statement heading co d e word "Ded automatically appear if they are required. Enter amounts that represent cash outflows as negative numbers using a moussin Previous A summary of cash flows for Adventure Travel Service for the year ended April 30, 2019, follows: Cash Flows Cash recelpts: Cash receipts from customers Cash receipt from owner as investment Cash payments: Cash payments for operating expenses Cash payment for purchase of land Cash withdrawals by owner $2,080,000 60,000 1,706,000 400,000 40,000 The cash balance as of May 1, 2018, was $203,000. Cash withdrawals by owner 40,000 The cash balance as of May 1, 2018, was $203,000 Prepare a statement of cash flows for Adventure Travel Service for the year ended April 30, 2019. Refer to the cash receipts and cash payments Information given in the instructions and to the lists of Labels and Amount Descriptions for the exact wording of the answer choices for text entries. Be sure to complete the statement heading. A colon() and the word Decuerwa automatically appear if they are required. Enter amounts that represent cash outflows as negative numbers using a minus sign Instructions Labels and Amount Descriptions Labels Cash flows from financing activities Cash flows used for investing activities Cash flows from operating activities For the Year Ended April 30, 2019 Amount Descriptions Cash as of May 1, 2018 Cash as of April 30, 2019 Net cash flow from financing activities Net cash flow from investing activities Net cash flow from operating activities Net cash flow used for financing activities Net cash flow used for investing activities Net cash flow used for operating activities Net decrease in cash during year Net increase in cash during year Statement of Lasn FIOWS Statement of Cash Flows For the Year Ended April 30, 2019 1 Cash flows from operating activities: Cash receipts from customers Cash payments for operating expenses $2,080,000.00 1,909,000.00 Net cash flow from operating activities $171,000.00 Cash flows used for investing activities: Cash payment for purchase of land 400,000.00 7 Cash flows from financing activities: Cash receipt from owner as investment $60,800.00 Cash withdrawals by owner 40,000.00 10 Net cash flow from financing activities 20,000.00 11 Net increase in cash during year $19,000.00 203,000.00 12 Cash as of May 1, 2018 13 Cash as of April 30, 2019 $222,000.00

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