RAR Comoren har et rom 2016 12.000 RR 505 recommanding at the beginning 12.750 est common S 1 2018. Dure the ya Hewed and pad pretened widends of S7500 Com RAR per Before the enterrements to RAR Comprar as of December 31, 2016. A. OS DE other) radi Pue common EOS Fawr 7.000 1 Low Powstanie oor the year we enter 31, 2016 mock hon in the wows of all town whare metoder the year en december 31, 20 metegning as andey Ch 12.000 and $75,000 Complete the waterstone on ette beginning in the cathows from cerning (GRUSOE dreht www. hot labore Owline X Data table Stent of Cash Flow December 31, 2018 Cachows hom Orating A Cash tomate of in 1 20.000 Net income Depreciation expense 12060 Adjust to Reconcile et income to Cash payment of dividende 4000 Nat Provided by Operating Act Cath receipt from brance of common stock 12000 Nat income 50.050 Cashpurchase of and 25000 Increase in current site 13.000 Decrease in current sets other than cash 31000 Print Done Nut Provided by used for Operating Active Cash Flows boming Acties 6. Owl, in accountants have assembled the following data for the year ended December 31, 2018 Click the icon to view the data Prepare Owl's statement of cash flown using the indirect method for the year ended December 31, 2018. Assume beginning and ending Cash are $12.000 and $75,000 respectively CY Data table Net Cash Provided by (Used for) Operating Activities Cash Flows from investing Activities $ 20,000 12,000 4,000 Cash receipt from sale of equipment Depreciation expense Cash payment of dividendo Cash receipt from issuance of common stock Net Income Cash purchase of land Increase in current liabilities Decrease in current assets other than cash Net Cash Provided by (Used for) Investing Activities Cash Flows from Financing Activities 12,000 30,000 25.000 10,000 8,000 Print Done Net Cash Provided by (Used for) Financing Activitiel Net increase (Decrease) in Cash Cash Balance, December 31, 2017 Cash Balance, December 31, 2018 RAR Comoren har et rom 2016 12.000 RR 505 recommanding at the beginning 12.750 est common S 1 2018. Dure the ya Hewed and pad pretened widends of S7500 Com RAR per Before the enterrements to RAR Comprar as of December 31, 2016. A. OS DE other) radi Pue common EOS Fawr 7.000 1 Low Powstanie oor the year we enter 31, 2016 mock hon in the wows of all town whare metoder the year en december 31, 20 metegning as andey Ch 12.000 and $75,000 Complete the waterstone on ette beginning in the cathows from cerning (GRUSOE dreht www. hot labore Owline X Data table Stent of Cash Flow December 31, 2018 Cachows hom Orating A Cash tomate of in 1 20.000 Net income Depreciation expense 12060 Adjust to Reconcile et income to Cash payment of dividende 4000 Nat Provided by Operating Act Cath receipt from brance of common stock 12000 Nat income 50.050 Cashpurchase of and 25000 Increase in current site 13.000 Decrease in current sets other than cash 31000 Print Done Nut Provided by used for Operating Active Cash Flows boming Acties 6. Owl, in accountants have assembled the following data for the year ended December 31, 2018 Click the icon to view the data Prepare Owl's statement of cash flown using the indirect method for the year ended December 31, 2018. Assume beginning and ending Cash are $12.000 and $75,000 respectively CY Data table Net Cash Provided by (Used for) Operating Activities Cash Flows from investing Activities $ 20,000 12,000 4,000 Cash receipt from sale of equipment Depreciation expense Cash payment of dividendo Cash receipt from issuance of common stock Net Income Cash purchase of land Increase in current liabilities Decrease in current assets other than cash Net Cash Provided by (Used for) Investing Activities Cash Flows from Financing Activities 12,000 30,000 25.000 10,000 8,000 Print Done Net Cash Provided by (Used for) Financing Activitiel Net increase (Decrease) in Cash Cash Balance, December 31, 2017 Cash Balance, December 31, 2018