Question
Q2. Following information are related with Internal Service Fund of City of Jeddah. You are required to prepare a Statement of Cash Flows for the
Q2. Following information are related with Internal Service Fund of City of Jeddah. You are required to prepare a Statement of Cash Flows for the year ended December 31st, 2018. (1.5 Marks)
Amount ($) | |
Operating income | 68,400 |
Increase in Inventories | 27,200 |
Interest received | 800 |
Acquisition of Capital Assets | 2,800 |
Payment to Suppliers | 32,000 |
Depreciation expense | 29,600 |
Payments for Rent | 21,200 |
Increase in Accounts Payable | 54,400 |
Receipts from Customers | 378,400 |
Payment to Employees | 200,000 |
Cash balance at the beginning of the year | 584,800 |
Answer:
Plagiarism IS NOT ALLOWED, USE YOUR WORDS DONT COPY AND PASTE. *(Pleas make it as a text not handwriting) if there any reference add it
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