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FULL STATEMENT OF CASH FLOW wied PDF of the including the TAB parcel Cash Manson of the worksheet the 201 2020 lance Sheets provided to come the Show forca Master You will win below this reeded to the statement Cat Master Inc Comparative Balance Sheets for a ning Dec. 2031 2030 Assets af 12/3121 12/01/20 Current Auto can 1115 365 22 AR 33 16 7 Pupid o cart 192 141 200 Equipment GAS AD Need As 224 cod 19 52 125 TA $932 $200 Get Us Account Pa Toul Current 12 12 1 450 SO han bond Pwyl 100 Do Pro too 573 La 125 100 Jeg 25 1987 141 1 212 Total and 19:30 1200 ADDITIONEMATON NEYDED FOR A MASTERS IN the hu innih MOR pel He the w Total Assets $932 $280 Liabilities Current Liabilities Accounts Payable 18 13 Total Current Liabilities 18 12 450 50 Loan Payable Bond Payable 100 0 Bond Premium 5 0 Total Liabilities 573 63 125 100 Equity Pald in Capital Treasury Stock Retained Earnings Total Equity (7) (4) 241 121 359 217 Total Ulabilities and Equity $932 $280 ADDITIONAL INFORMATION NEEDED FOR CASH MASTERS, INC 1) The company paid dividends of $5 during the year. 2) During the year CM's purchased a building for $400 by entering into a term loan. Joan payable 3) During the year the company sold equipment with original cost of $26 with Accumulated Depreciation of $5 for $13 cash. 4) Assume all other transactions were completed with cash. Upload a Statement of Cash Flow is proper form for Cash Masters Inc as part of your POR If you'd like instant grading enter your answer for Cash provided by or used in Financing Activities below. Your completed statement is required for credit, even if answered correctly. Remember i give partial credit, where Canvas does not FULL STATEMENT OF CASH FLOW You will need to upload your PDF solution of this problem, Including work auch sTAccounts for partial credit. Cash Masters is on pages 3 and 4 of the worksheets Use the 2021 and 2020 Balance Sheets provided to complete the Statement of Cash Flow for Cash Masters, Inc You will find additional Information below that is also needed to prepare the statement Cash Masters, Inc Comparative Balance Sheets for the years ending December 31, 2021 and 2020 Assets as of 12/31/21 Jasol 12/31/20 Current Assets 365 115 22 33 Cash AR, Net Prepaid Expenses Total Current Assets 16 7 192 141 224 200 0 Equipment Buildings Accum Depr buildings & Net Fleed Assets 400 195 (252 125 529 Total Assets $932 $280 bites Current states Accounts Payable Total Currentes 13 18 12 ISO Loan Payable Bond Payable Bond Pre 450 100 IS 0 Toutes 573 63 100 Egy Paldina THAY I Huned E Toy m 241 359 121 217 Total and it 5930 520