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taking in to consideration the finantial statments give a brief analysis of the trend 1200 Palonce sheet 2020 2021 Cash accountable foss fixed assets >

taking in to consideration the finantial statments give a brief analysis of the trend
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1200 Palonce sheet 2020 2021 Cash accountable foss fixed assets > inventory other assets se total assets 200 700 4695 GOO 125 16375 Account payable & note payable Accuestion OO 250 495 985 4950 780 160 1300 G40 300 2200 1325 4025 1100 1735 17300 long term debt 1250 total liabilities 3290 Common stock 1100 retained earning 1675 163751 Cash flow 2021 Net profit 180 Depreciation 500 Interesat expenso 275 Tax +65 eskolaudo descansoeken 1020 Increase on reciumbler -215 Increase on inventory -180 Increase on current asses -35 Increase on account pageable +24o Decrease on notes payable Cashflow from opeeting activities 88 0 65 tax Cash flow from op activities 695 Cashflow from financing activities -300 asset purchuse sash flow from investin activiies - 300 + 50 befor tox Long Cash how from financing activities term debt increase 35 Interest paid -275 Cashflow from financing activities - 200 380 opening cash balance 300 closing cash balance 495 bet cashflow 1200 Palonce sheet 2020 2021 Cash accountable foss fixed assets > inventory other assets se total assets 200 700 4695 GOO 125 16375 Account payable & note payable Accuestion OO 250 495 985 4950 780 160 1300 G40 300 2200 1325 4025 1100 1735 17300 long term debt 1250 total liabilities 3290 Common stock 1100 retained earning 1675 163751 Cash flow 2021 Net profit 180 Depreciation 500 Interesat expenso 275 Tax +65 eskolaudo descansoeken 1020 Increase on reciumbler -215 Increase on inventory -180 Increase on current asses -35 Increase on account pageable +24o Decrease on notes payable Cashflow from opeeting activities 88 0 65 tax Cash flow from op activities 695 Cashflow from financing activities -300 asset purchuse sash flow from investin activiies - 300 + 50 befor tox Long Cash how from financing activities term debt increase 35 Interest paid -275 Cashflow from financing activities - 200 380 opening cash balance 300 closing cash balance 495 bet cashflow

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