The income statement and additional data of Stoughton Travel Products we folow Click the icon to view the income statement) Click the the additional data) Requirements 1. Prepare to statement of cathows for the year anded December 31 2021 using the directed 2. Es the company's cash from for the year in your waluton, mention all the categories of cows and give the nationale for your evaluation Resume 1. Prepor Stoughton's statement of cash flows for the year ended December 2001 wing the directed Sort by computing the chows from spenting activities. The computach section of the statement of contows, ncludes the north noting and financing activities (Use parede mines sign Rox numbers to be Stoghton Travel Products, inc Statement of Cash Flow direct Method Year Ended December 1, 2001 Cashows from operating activities More wering Ces from ring activities hy Net cash provided by used for operating activities Cash flows from investing activities: Net cash provided by used for investing activities Cash flows from financing activities Nutcast provided by used for financing activities Not increase (decase) in cash Cash balance, Dec 31.2020 Ces blancs December 31, 2021 cashlesting and dancing activities: Retirement 2. Evaluate de cathoms for the year your evaluation medical tee categories of shows wedge the rationale for your station a cash sowo are the most of cash The companied in news The financing transactions direct method cash flows and give the nationale for your vision More info Data table Anda Agend was 5780000 Omnt 5140,000 was part in cash and 50 000 was financed by signing a note pytle Stoughton Travel Products, Inc. Income Set Year Ended Dec 31, 2021 Reven Service $ 200.000 Divendre 600 Expo Cotal goods sold 95.000 Salary expense 1000 Depreciation 34.000 Advertising 3.000 Intro 2650 3.000 D. Proceeds from the sale of land totaled 525.000 Proceeds from the anceol.com stock and $2.000 d. not a long terminale puyat was $15.000 e Payment of dividends was 51100 E From the balance December 31 2001 2030 C Cash $ 75.000 1000 23000 5.000 6.000 Props 3.450 O 201.500 7.000 Cura Ayah Actros 30.000 2000 1100 . Print Done Print Done categories of cash flows and gets for your exis The financing and The income statement and additional data of Stoughton Travel Products we folow Click the icon to view the income statement) Click the the additional data) Requirements 1. Prepare to statement of cathows for the year anded December 31 2021 using the directed 2. Es the company's cash from for the year in your waluton, mention all the categories of cows and give the nationale for your evaluation Resume 1. Prepor Stoughton's statement of cash flows for the year ended December 2001 wing the directed Sort by computing the chows from spenting activities. The computach section of the statement of contows, ncludes the north noting and financing activities (Use parede mines sign Rox numbers to be Stoghton Travel Products, inc Statement of Cash Flow direct Method Year Ended December 1, 2001 Cashows from operating activities More wering Ces from ring activities hy Net cash provided by used for operating activities Cash flows from investing activities: Net cash provided by used for investing activities Cash flows from financing activities Nutcast provided by used for financing activities Not increase (decase) in cash Cash balance, Dec 31.2020 Ces blancs December 31, 2021 cashlesting and dancing activities: Retirement 2. Evaluate de cathoms for the year your evaluation medical tee categories of shows wedge the rationale for your station a cash sowo are the most of cash The companied in news The financing transactions direct method cash flows and give the nationale for your vision More info Data table Anda Agend was 5780000 Omnt 5140,000 was part in cash and 50 000 was financed by signing a note pytle Stoughton Travel Products, Inc. Income Set Year Ended Dec 31, 2021 Reven Service $ 200.000 Divendre 600 Expo Cotal goods sold 95.000 Salary expense 1000 Depreciation 34.000 Advertising 3.000 Intro 2650 3.000 D. Proceeds from the sale of land totaled 525.000 Proceeds from the anceol.com stock and $2.000 d. not a long terminale puyat was $15.000 e Payment of dividends was 51100 E From the balance December 31 2001 2030 C Cash $ 75.000 1000 23000 5.000 6.000 Props 3.450 O 201.500 7.000 Cura Ayah Actros 30.000 2000 1100 . Print Done Print Done categories of cash flows and gets for your exis The financing and