KAJU COMPANY Statement of Financial Position December 2021 2020 Auto Accountable 127.000 900 259.000 0.00 Prepaid hr Land Equit Acum deprecation Long Term. Totalasta 15400 S423 naron 100 000 51.209.450 5 couple 1000 Incontre us at Shareholders 234000 300.000 Sile care Bearings Treasury Shares Total liabilities and shareholders equity 4155 500250 (12.000 $1.209.650 51.237.50 Additional Information for 2021 Sale of Louiment conting 572.500 1.000 cash The med den of 55.000 at the time of sale Purchase 17.000 in Land by ung ordinary Now Decore and pay scadend of 9400 The wedge cardinary stures in 2001.00 The market price of $19 20 All other changes in our count bancastada Required Prepare the statement of cathowing the interest to do in an empanying cash outflow and any doch wie mounts) KAJU Company Statement of Cash Flow For the year ending in December 31, 2021 KAJU Company Statement of Cash Flows For the year ending in December 31, 2021 (List cash outflows as negative amounts.) . . . I 0 . . KAJU COMPANY Statement of Financial Position December 2021 2020 Auto Accountable 127.000 900 259.000 0.00 Prepaid hr Land Equit Acum deprecation Long Term. Totalasta 15400 S423 naron 100 000 51.209.450 5 couple 1000 Incontre us at Shareholders 234000 300.000 Sile care Bearings Treasury Shares Total liabilities and shareholders equity 4155 500250 (12.000 $1.209.650 51.237.50 Additional Information for 2021 Sale of Louiment conting 572.500 1.000 cash The med den of 55.000 at the time of sale Purchase 17.000 in Land by ung ordinary Now Decore and pay scadend of 9400 The wedge cardinary stures in 2001.00 The market price of $19 20 All other changes in our count bancastada Required Prepare the statement of cathowing the interest to do in an empanying cash outflow and any doch wie mounts) KAJU Company Statement of Cash Flow For the year ending in December 31, 2021 KAJU Company Statement of Cash Flows For the year ending in December 31, 2021 (List cash outflows as negative amounts.) . . . I 0