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picture is clear 153 Prepare Cash Flow Statement of Light Ltd. for the year ended 31st March, 2020, in accordance with AS 3 (Revised) from

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153 Prepare Cash Flow Statement of Light Ltd. for the year ended 31st March, 2020, in accordance with AS 3 (Revised) from the following Summary Cash Account: Summary Cash Account in '000 in '000 Balance as on 01.04.2019 315 Receipts from Customers 24,894 Sale of Investments (Cost * 1,35,000) Issue of Shares 2,700 Sale of Fixed Assets 1,152 29,214 Payment to Suppliers 18,306 Purchase of Investments 117 Purchase of Fixed Assets 2,070 Wages & Salaries 621 Selling & Administration Expenses 1,035 Payment of Income Tax 2,187 Payment of Dividends 720 Repayment of Bank Loan 2,250 Interest paid on Bank Loan _450 (27.756) Balance as on 31.03.2020 1,458

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