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the information to complete the Statement of Cash Flow is provided. if you look at each picture it is information from the specific tab. There
the information to complete the Statement of Cash Flow is provided. if you look at each picture it is information from the specific tab. There is a balance sheet tab, income statment tab, and Statement of Cash Flow tab.
Balance Sheet Income Statement Statement of Cash Flows ( 4 \begin{tabular}{|l|r|r|r|} \hline 627- Depreciation Expense & 205,496.99 & 224,868.63 & (19,371.64) \\ \hline 628 - Charitable Contributions & 0.00 & 1,000.00 & (1,000.00) \\ \hline 629 - Dues \& Subscription & 2,731.00 & 0.00 & 2,731.00 \\ \hline 632 - Employees Drug Testing & 692.00 & 370.75 & 321.25 \\ \hline 633 - Entertainment & 7,241.72 & 122.56 & 7,119.16 \\ \hline 636 - Fines \& Penalties & 0.00 & 158.00 & (158.00) \\ \hline 638 - Fuel & 166,766.97 & 115,258.74 & 51,508.23 \\ \hline 653 - Insurance Expense & & & \\ \hline 654 - Officer Life Insurance & 1,149.06 & 1,158.43 & (9.37) \\ \hline 655 - Worker's Comp Insurance & 21,242.90 & 2,550.86 & 18,692.04 \\ \hline 653 - Insurance Expense - Other & 63,986.16 & 49,444.53 & 14,541.63 \\ \hline Total 653-Insurance Expense & 86,378.12 & 53,153.82 & 33,224.30 \\ \hline 656 - Interest Expense & 20,194.27 & 28,152.25 & (7,957.98) \\ \hline 659 - Licenses \& Taxes & 20,234.93 & 25,489.72 & (5,254.79) \\ \hline 660 - Leased Employees & 0.00 & 391,732.34 & (391,732.34) \\ \hline 665 - Meals & 1,454.71 & 1,222.50 & 232.21 \\ \hline 667 - Misc. Expense & 4,749.02 & 463.99 & 4,285.03 \\ \hline 668 - Office Expense & 4,909.16 & 1,215.87 & 3,693.29 \\ \hline \end{tabular} Real Company Inc Cash Flows From Operating Activities Net Income Statement of Cash Flows (indirect Method) Aanuary through December 2021 cash provided by operating activities Oepreciation Expense Amortization of Copyright Cash Flows From Investing Activities Balance Sheet IncomeStatement Statement of Cash Flows (4) Cash Flows From Investing Activities Cash Flows From Financing Activities Net Decrease in Cash 92,688.06 92,688.06 the Statement of Cash Flow tab with the yellow boxes is the part I need help doing. the information needed to help out are there. my apologies if this is confusing but the worl is on an excel spreadsheet.
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