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need these worked out please 6,19&20 6 Calculate cash collections LO Emma's balance sheet showed an accounts receivable balance of $75000 at the beginning of

need these worked out please 6,19&20
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6 Calculate cash collections LO Emma's balance sheet showed an accounts receivable balance of $75000 at the beginning of the year and $97000 at the end of the year. Emma reported sales of $1 150 000 on her income statement. REQUIRED Using the direct method, determine the amount that Emma will report as cash collections in the operating activities section of the statement of cash flows. 26 MacBook Pro Annotate T| Edit ACCT3 Financial (1) A A To 2 2 $900.000 $110000 180000 $105000 200 000 PROBLEMS Total Accounts payable Unsecured Syndicated bank loan long-tem Total abilities Ordinary shares Pendamin Total de Torbindholders uity $350.000 200 000 610 000 $900.000 3305000 S280 000 225.000 515000 $320009 19 Prepare operating cash flows under the direct method The following information is provided for the Hildebrand Company 2000 The following additional information is available: Profits after tax for 2022 were 550000 Cash dividends of $25000 were paid during the year A portion of unsecured syndicated bank loan matured and was repaid during the you Ordinary shares were issued for cash Property and equipment were purchased for cash No non current assets were sold during the year The change incumulated depreciation is a result of depreciation expense REQUIRED Prepare a tement of cash flows for the year using the direct method for the operating activities section and prepares con of profits after tax to cash flow from operations Balances at 30 June 2021 2020 Accueil 51500 Inventory 26000 37000 Maintenance Supplies 1000 Accounts Payable 4000 3000 Table 2000 3500 Intestay 1500 2500 2021 income atement Reven $80000 Cost of goods sold 55000 Groot 25000 Gestione 8000 2000 Totalning 8000 Pond 17000 4000 Podcom 13000 Income tax 4000 Prother income S 9000 REQUIRED Prepare the operating activities section of the statement of cash flows using the direct method Prepare the reconciliation of prother income tax tonet cash flow from operating activities ceshes 20 Prepare a statement of cash flows using the Indirect method The balance sheets for the gence Company are as follows Comparative balance sheets as at 30 June Cash and cash Accounts rece 65000 5000 365.000 5500 175.000 2000 Property and 930000 2000

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