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Please use Those Statement to make a Cash Flow using Direct Method need show every step of calculation. This is the opening position for the

Please use Those Statement to make a Cash Flow using Direct Method need show every step of calculation.
This is the opening position for the start of the cash flow
Electric Bike Store Pty Ltd
Balance Sheet as at 30th September 2023
ASSETS
Current Assets
Cash at Bank $29,350.00
Accounts Receivable $28,190.00
Inventory $11,000.00
Prepaid Insurance $1,750.00
Stationery Supplies $450.00
Total Current Assets $70,740.00
Non-current Assets
Computers $6,000.00
Accumulated Depreciation Office Computers ($1,500.00) $4,500.00
Warehouse Equipment $21,000.00
Accumulated Depreciation Warehouse Equip. ($11,400.00) $9,600.00
Total Non-current Assets $14,100.00
TOTAL ASSETS $84,840.00
LIABILITIES
Current Liabilities
Accounts Payable $21,200.00
Wages Payable $1,024.00
Telecommunication payable $350.00
Total Current Liabilities $22,574.00
Non-current Liabilities
TOTAL LIABILITIES $22,574.00
NET ASSETS $62,266.00
OWNER'S EQUITY
Share Capital $60,000.00
Retained Earnings $2,266.00
TOTAL EQUITY $62,266.00
Electric Bike Store Pty Ltd
Income Statement
For the two months ended 30 November 2023
INCOME
Sales -91,683.00
TOTAL INCOME 91,683.00
COST OF SALES
Cost of Goods Sold 54,856.00
TOTAL COST OF SALES 54,856.00
GROSS PROFIT 36,827.00
EXPENSES
Wages Expense 23,888.00
Rent Expense 3,600.00
Mobile Phone Expenses 350.00
Electricity expense 0.00
Insurance Expense 700.00
Advertising Expense 0.00
Vehicle Expense 225.00
Cleaning Expense 0.00
Stationery Expense 75.00
Utilities Expense 0.00
Depreciation Expense 800.00
Loss on the sale of assets 300.00
Interest Expense 75.00
TOTAL EXPENSES 30,013.00
NET PROFIT/(LOSS)6,814.00
Electric Bike Store Pty Ltd
Balance Sheet
as at 30th November 2023
ASSETS
Current Assets
Cash at Bank $114,367.00
Accounts Receivable $0.00
Inventory $1,840.00
Prepaid Rent $0.00
Prepaid Insurance $1,050.00
Stationery Supplies $375.00
Total Current Assets $117,632.00
Non-current Assets
Computers $6,000.00
Accumulated Dep'n Office Computers ($1,900.00) $4,100.00
Forklift $11,400.00
Accumulated depreciation Forklift ($100.00) $11,300.00
Total Non-current Assets $15,400.00
TOTAL ASSETS $133,032.00
LIABILITIES
Current Liabilities
Accounts Payable $25,000.00
Wages Payable $1,152.00
Mobile Phone Payable $0.00
Prepaid Revenue $23,300.00
Total Current Liabilities $49,452.00
Non-current Liabilities
Loan - ABC Bank $14,500.00
TOTAL LIABILITIES $63,952.00
NET ASSETS $69,080.00
OWNER'S EQUITY
Share Capital $60,000.00
Retained Earnings $9,080.00
TOTAL EQUITY $69,080.00Enter Account name here
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