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Please help with statment of cashflows A Byte of Accounting Statement of Cash Flows - Indirect Method For Year Ending December 31, 2022 11:11:AM Wed

Please help with statment of cashflows
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A Byte of Accounting Statement of Cash Flows - Indirect Method For Year Ending December 31, 2022 11:11:AM Wed Dec 13 for linter text or formula here n c D E 0 H k M vi \begin{tabular}{|c|c|c|c|c|c|c|c|c|c|c|c|} \hline \multicolumn{2}{|c|}{ Acoun } & \multicolumn{2}{|c|}{ Unodisted Trial Balance } & \multicolumn{2}{|c|}{ Adusting Envies } & \multicolumn{2}{|c|}{ Adiusled Tria Balance } & \multicolumn{2}{|c|}{ income statement } & \multicolumn{2}{|c|}{ Balance Sheet } \\ \hline Number & Name & Debit & Conedt & Detit & Credit & Detit & Cnedit & Dabit & Crod! & Cotad & Credit \\ \hline 1110 & Cash & 3000580 & = & 2500 & = & 30907980 & & & & 308,07980 & \\ \hline 1120 & Accoounts Fececematie & 11,34100 & - & 2,605.00 & - & 20,946.00 & - & & & 20,46,00 & \\ \hline 1121 & Alowance bor Douethd Aocoenty & 1800 & , & & 1,045.4 & & 1.8574 & & & & 1,0200 \\ \hline 1130 & Presaid insulance & 6.312 .00 & . & & 263.00 & 6,04900 &. & & & 604000 & \\ \hline 1160 & Presait Ment & 230000 & . & & - & 7,30000 & . & & & 230000 & \\ \hline 1150 & Supplies & 2,050.00 & = & & 2.21600 & 734.00 &. & & & 734.00 & \\ \hline 1100 & hivertion & & - & & - & 75400 & & & & 75400 & \\ \hline 1211 & Othce Equipment & 65,50000 & = & & = & 65,50000 & . & & & 66,50002 & \\ \hline 1218 & Ansim Depr-Olloe Equip & + & 560000 & & 5.87750 & - & 11,677+10 & & & & 11,87.18 \\ \hline 13+1 & Computer Equpment & 20,00000 & & & = & 20,00000 & = & & & 20,00000 & \\ \hline 1318 & Acrum Depr-Compute Eap & + & 4,000,00 & & 4,00000 & - & 8,00000 & & & & 8,00000 \\ \hline 2101 & Acopunts Paypole & + & 16.22100 & & 4.81500 & = & 20,00600 & & & & 20.09600 \\ \hline 2108 & Lneamed Romene & & 2.21500 & & - & - & 9.215 .00 & & & & 9.2+5.00 \\ \hline 2103 & Interest Perpobin & + & & & 24000 & & 2+400 & & & & 20400 \\ \hline 2105 & & + & & & 1,20000 & & 1,20000 & & & & 1,20000 \\ \hline 2108 & hicome Tases Parphile & + & & & 325790 & & 321799 & & & & 3217.99 \\ \hline 2202 & Notes Payatie & 4 & 4,00000 & & . & . & 4,00000 & & & & 4,00000 \\ \hline 2210 & flond Pexatie & - & 12000000 & & - & - & 120,00000 & & & & 12000000 \\ \hline 2212 & Premigm on Bond Parable & = & 8.03412 & & = & & 8,09412 & & & & 8.03412 \\ \hline 3100 & Common Stack & + & 73,00000 & & - & & 73,00000 & & & & 73,0000 \\ \hline 3120 & Paidh Capital in Excess of Por & & 82,90000 & & & , & 82,00000 & & & & 82.0000 \\ \hline 3200 & Fintained Eaming & 4 & 24,00000 & & . & - & 24,00000 & & & & 24,00000 \\ \hline 3900 & Devifends. & 2,84000 & = & & = & 2,940.00 & = & 2,94000 & & & \\ \hline & & & & & & & & & & & \\ \hline 4100 & Sinis Amaning & + & 440.5400 & & & & 45021690 & & 450.21400 & & \\ \hline 5010 & Rient Experse & 27,600.00 & s. & & - & 27,00000 & & 27,000.00 & & & \\ \hline 5090 & Solvint and Waghs If xpense & 04,00000 & - & 1,80000 & & 95.20000 & & 85.200 .00 & & & \\ \hline 5030 & Adertising Exponet & 4,76000 & & &. & 4,76000 & & 476000 & & & \\ \hline 5040 & Wainbanance \& Repain Expmat & 15,15500 & - & & - & 15,155.00 & - & 15,15500 & & & \\ \hline & Sugples Experes & & = & 2.29600 & & 2.29600 & & 2.2400 & & & \\ \hline 5000 & Interest Expente & 7,50732 & - & 38400 & - & 7.771 .32 & - & 777+32 & & & \\ \hline 5100 & hourance Expense & & & 20300 & & 25300 & & 25300 & & & \\ \hline 5110 & Depreciabon Estartie & + & - & 2.877 .10 & - & 9.877 .10 & - & 9.87 .5 & & & \\ \hline 6120 & Bas Deth Experse & + & & 1,mon14 & , & & & 1,0954 & & & \\ \hline 5140 & Telephone and Inomet Expense & 6.07000 & . & & . & 6.070 .00 &. & 6,07000 & & & \\ \hline 5150 & heome fax Expeste & + & . & 3.29799 & - & 3.21799 & . & 3.21799 & & & \\ \hline 5300 & Cost el coods sold & 220,390,00 &. & 4,81500 & . & 225.207 .00 &. & 225,20000 & & & \\ \hline & & + & - & & & . & - & & & & \\ \hline & & & & & & & & & & & \\ \hline & TOTAL & ?.65.12 & 787.65 .12 & & & 81352544 & 818.525 .44 & 302.222 .64 & 450.214 .00 & 413.302 an & 369,31130 \\ \hline & VECT INCCOME & & & & & & & & & & \\ \hline & Balance & & & & & & & & & & \\ \hline \end{tabular} A Byte of Accounting Statement of Cash Flows - Indirect Method For Year Ending December 31, 2022 11:11:AM Wed Dec 13 for linter text or formula here n c D E 0 H k M vi \begin{tabular}{|c|c|c|c|c|c|c|c|c|c|c|c|} \hline \multicolumn{2}{|c|}{ Acoun } & \multicolumn{2}{|c|}{ Unodisted Trial Balance } & \multicolumn{2}{|c|}{ Adusting Envies } & \multicolumn{2}{|c|}{ Adiusled Tria Balance } & \multicolumn{2}{|c|}{ income statement } & \multicolumn{2}{|c|}{ Balance Sheet } \\ \hline Number & Name & Debit & Conedt & Detit & Credit & Detit & Cnedit & Dabit & Crod! & Cotad & Credit \\ \hline 1110 & Cash & 3000580 & = & 2500 & = & 30907980 & & & & 308,07980 & \\ \hline 1120 & Accoounts Fececematie & 11,34100 & - & 2,605.00 & - & 20,946.00 & - & & & 20,46,00 & \\ \hline 1121 & Alowance bor Douethd Aocoenty & 1800 & , & & 1,045.4 & & 1.8574 & & & & 1,0200 \\ \hline 1130 & Presaid insulance & 6.312 .00 & . & & 263.00 & 6,04900 &. & & & 604000 & \\ \hline 1160 & Presait Ment & 230000 & . & & - & 7,30000 & . & & & 230000 & \\ \hline 1150 & Supplies & 2,050.00 & = & & 2.21600 & 734.00 &. & & & 734.00 & \\ \hline 1100 & hivertion & & - & & - & 75400 & & & & 75400 & \\ \hline 1211 & Othce Equipment & 65,50000 & = & & = & 65,50000 & . & & & 66,50002 & \\ \hline 1218 & Ansim Depr-Olloe Equip & + & 560000 & & 5.87750 & - & 11,677+10 & & & & 11,87.18 \\ \hline 13+1 & Computer Equpment & 20,00000 & & & = & 20,00000 & = & & & 20,00000 & \\ \hline 1318 & Acrum Depr-Compute Eap & + & 4,000,00 & & 4,00000 & - & 8,00000 & & & & 8,00000 \\ \hline 2101 & Acopunts Paypole & + & 16.22100 & & 4.81500 & = & 20,00600 & & & & 20.09600 \\ \hline 2108 & Lneamed Romene & & 2.21500 & & - & - & 9.215 .00 & & & & 9.2+5.00 \\ \hline 2103 & Interest Perpobin & + & & & 24000 & & 2+400 & & & & 20400 \\ \hline 2105 & & + & & & 1,20000 & & 1,20000 & & & & 1,20000 \\ \hline 2108 & hicome Tases Parphile & + & & & 325790 & & 321799 & & & & 3217.99 \\ \hline 2202 & Notes Payatie & 4 & 4,00000 & & . & . & 4,00000 & & & & 4,00000 \\ \hline 2210 & flond Pexatie & - & 12000000 & & - & - & 120,00000 & & & & 12000000 \\ \hline 2212 & Premigm on Bond Parable & = & 8.03412 & & = & & 8,09412 & & & & 8.03412 \\ \hline 3100 & Common Stack & + & 73,00000 & & - & & 73,00000 & & & & 73,0000 \\ \hline 3120 & Paidh Capital in Excess of Por & & 82,90000 & & & , & 82,00000 & & & & 82.0000 \\ \hline 3200 & Fintained Eaming & 4 & 24,00000 & & . & - & 24,00000 & & & & 24,00000 \\ \hline 3900 & Devifends. & 2,84000 & = & & = & 2,940.00 & = & 2,94000 & & & \\ \hline & & & & & & & & & & & \\ \hline 4100 & Sinis Amaning & + & 440.5400 & & & & 45021690 & & 450.21400 & & \\ \hline 5010 & Rient Experse & 27,600.00 & s. & & - & 27,00000 & & 27,000.00 & & & \\ \hline 5090 & Solvint and Waghs If xpense & 04,00000 & - & 1,80000 & & 95.20000 & & 85.200 .00 & & & \\ \hline 5030 & Adertising Exponet & 4,76000 & & &. & 4,76000 & & 476000 & & & \\ \hline 5040 & Wainbanance \& Repain Expmat & 15,15500 & - & & - & 15,155.00 & - & 15,15500 & & & \\ \hline & Sugples Experes & & = & 2.29600 & & 2.29600 & & 2.2400 & & & \\ \hline 5000 & Interest Expente & 7,50732 & - & 38400 & - & 7.771 .32 & - & 777+32 & & & \\ \hline 5100 & hourance Expense & & & 20300 & & 25300 & & 25300 & & & \\ \hline 5110 & Depreciabon Estartie & + & - & 2.877 .10 & - & 9.877 .10 & - & 9.87 .5 & & & \\ \hline 6120 & Bas Deth Experse & + & & 1,mon14 & , & & & 1,0954 & & & \\ \hline 5140 & Telephone and Inomet Expense & 6.07000 & . & & . & 6.070 .00 &. & 6,07000 & & & \\ \hline 5150 & heome fax Expeste & + & . & 3.29799 & - & 3.21799 & . & 3.21799 & & & \\ \hline 5300 & Cost el coods sold & 220,390,00 &. & 4,81500 & . & 225.207 .00 &. & 225,20000 & & & \\ \hline & & + & - & & & . & - & & & & \\ \hline & & & & & & & & & & & \\ \hline & TOTAL & ?.65.12 & 787.65 .12 & & & 81352544 & 818.525 .44 & 302.222 .64 & 450.214 .00 & 413.302 an & 369,31130 \\ \hline & VECT INCCOME & & & & & & & & & & \\ \hline & Balance & & & & & & & & & & \\ \hline \end{tabular}

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