Answered step by step
Verified Expert Solution
Question
1 Approved Answer
please finidh statement of cash flows. change in balance should be 26 United Brands Corp Spreadsheet for the Statement of Cash Flows Storey Rock Company
please finidh statement of cash flows. change in balance should be 26
United Brands Corp Spreadsheet for the Statement of Cash Flows Storey Rock Company Cash Flow Worksheet Direct Method For the year anded December 31, 2021 Changes Dec. 31 2020 Dec. 31 2011 Balance sheet Asses 20 10 40 90 100 100 500 (0) 55 94 110 170 450 180 30 30 Accounts receive Inventory Land Buildings and Last Aco dereito Lables Accounts payable Sa payable Interest Payable Income tax payable Notes Bonde wyle Discount on Bonta pytle 40 10 20 4 . ta 140 50 100 10 1 3 20 Shareholders Common stock, 110 por Patre-aw dams 400 40 94 420 41 M 35 410 37 LAE The Stock 110 10 10 140 Stoney Rock Company Statement of Cash For year anded December 31, 2021 in 10001 Cashflows from operating set Casinos From customer Catholow To suplers of goods Forst For more Mer information Cash flows from investigative Sofing Pecase ofert Metash wriveste Gashwinancing divities de hond payable Payment of avidande Purchase of tryck March (264 (30) (20) 1934 20 Q 400 Epe Det of goods Selas 44 10 240 $2 10 04 152 110) 10 40 Expense Loung Thomas Tome . 32 10) (121 10 (16) shows Opera Caw Nel increase in cash Cash Jury! Cashbce December 410 Danh Nick vesting and any test re Pay Fury Talsi 1010 United Brands Corp Spreadsheet for the Statement of Cash Flows Storey Rock Company Cash Flow Worksheet Direct Method For the year anded December 31, 2021 Changes Dec. 31 2020 Dec. 31 2011 Balance sheet Asses 20 10 40 90 100 100 500 (0) 55 94 110 170 450 180 30 30 Accounts receive Inventory Land Buildings and Last Aco dereito Lables Accounts payable Sa payable Interest Payable Income tax payable Notes Bonde wyle Discount on Bonta pytle 40 10 20 4 . ta 140 50 100 10 1 3 20 Shareholders Common stock, 110 por Patre-aw dams 400 40 94 420 41 M 35 410 37 LAE The Stock 110 10 10 140 Stoney Rock Company Statement of Cash For year anded December 31, 2021 in 10001 Cashflows from operating set Casinos From customer Catholow To suplers of goods Forst For more Mer information Cash flows from investigative Sofing Pecase ofert Metash wriveste Gashwinancing divities de hond payable Payment of avidande Purchase of tryck March (264 (30) (20) 1934 20 Q 400 Epe Det of goods Selas 44 10 240 $2 10 04 152 110) 10 40 Expense Loung Thomas Tome . 32 10) (121 10 (16) shows Opera Caw Nel increase in cash Cash Jury! Cashbce December 410 Danh Nick vesting and any test re Pay Fury Talsi 1010 Step by Step Solution
There are 3 Steps involved in it
Step: 1
Get Instant Access to Expert-Tailored Solutions
See step-by-step solutions with expert insights and AI powered tools for academic success
Step: 2
Step: 3
Ace Your Homework with AI
Get the answers you need in no time with our AI-driven, step-by-step assistance
Get Started