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Reformulate the statement of cash flows for Five Below company using the table below. FIVE INC. Consoliduted Statements of Caeh Flows in theesands) 102451 7140
Reformulate the statement of cash flows for Five Below company using the table below.
FIVE INC. Consoliduted Statements of Caeh Flows in theesands) 102451 7140 3 57 030 33241 363 2,532) 12n) ail) 6366) 19,309 17,578 Accrued salaries and wages 12,112 2386 Otber acorned espenses 11333 167331 3,093 7 913 Sales, mataities, 234356) 163,501 ndempions of investme 77,776 Net cash tsed in innesting acti ihe (139,150) 6,764) (99,394) Net proceeds from isseance of common stock Proceeds from exercise of opdioss to parchase commmon stock and vesting of restricted Common sbres wibbalk for sazzes Ercess to benafit relaned to exercises of stock optices and estine of restricted and 251 178 9,603 (1,504) 3,290 1,904) 322) -dased rest 1,555 ,149 3350 1376 10,105) 63,136 3,081 Net i cresse (deza)cash and cash equalets Cah and cash equivalests at begsing of year Cash and cash equialests at end of year 6,053 112,669 53,081 interest paid ocome taces paid 51,405 $ 31,762 Non-cash iztesting activites Increase in accousts payable n accrued purchases of property and eqipment 093 511 See accompanying notes to consolidated financial statements F11 F12 PrtscPause ScrLk SysR Break Ins Del Home Pg Up Backspace FIVE INC. Consoliduted Statements of Caeh Flows in theesands) 102451 7140 3 57 030 33241 363 2,532) 12n) ail) 6366) 19,309 17,578 Accrued salaries and wages 12,112 2386 Otber acorned espenses 11333 167331 3,093 7 913 Sales, mataities, 234356) 163,501 ndempions of investme 77,776 Net cash tsed in innesting acti ihe (139,150) 6,764) (99,394) Net proceeds from isseance of common stock Proceeds from exercise of opdioss to parchase commmon stock and vesting of restricted Common sbres wibbalk for sazzes Ercess to benafit relaned to exercises of stock optices and estine of restricted and 251 178 9,603 (1,504) 3,290 1,904) 322) -dased rest 1,555 ,149 3350 1376 10,105) 63,136 3,081 Net i cresse (deza)cash and cash equalets Cah and cash equivalests at begsing of year Cash and cash equialests at end of year 6,053 112,669 53,081 interest paid ocome taces paid 51,405 $ 31,762 Non-cash iztesting activites Increase in accousts payable n accrued purchases of property and eqipment 093 511 See accompanying notes to consolidated financial statements F11 F12 PrtscPause ScrLk SysR Break Ins Del Home Pg Up Backspace
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