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there is some missing information to this statement which is making it be incomplete. please help me find what im missing. Prepare statement of cash

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there is some missing information to this statement which is making it be incomplete. please help me find what im missing.
Prepare statement of cash flows for May:
Required information (The following Information applies to the questons displayed below] Gabl Gram started The Gram Co. a new business th hat began operations on May 1. The Gram Co. completed the following transactions during its first month of operations. eee cash in the company in exchange for its common stock May 1 G. Gran invested $4e,e 1 The company rented a furnished office and paid $2,280 cash for May's rent. parchae:8 t ot tos cont's cleninglected $,400 cash. 3 The company purchased $1,898 of office equipnent on credit. S The company paid $750 cash for this mornth's cleaning services 8 The company provided consulting services for a 5 y collected $5,488 cash. client and innediatel consulting services for a iclient on credit. 12 The company prov 15 The conpany paid $758 cash for an assistant's salary for the First ha!r of this nonth. 2e The ided $2, 5ee of company paid $758 cash for an assistant's salary for the first hal7 of this nonth. consulting services on cnedit received $3,280 cash payment for the services provided on May 22 the services provided on May 12 see cash conpany received $2,588 25 The company $3 26 The conpany paid f 27 The conpany purchased $88 of advertising Int id $1,890 cash for the office equipment purchased on May 3. his month's (May) socal paper on credit; Kash paynent is due June 1. the sescond halfi of thi month 28 The company pald $75e cash for an assistant's salary for t 3e The conpany paid $288 cash for this nonth's utiliti 1 The conpany pald $1,409 cash in dividends to the ownersle Sharehoder) o cteroment for Mav Required information 3 Answer is not complete. Statement of Cash Flows For Month Ended May 31 Cash flows from operating activities Cash reoeived from customers Cash paid for rent Cash paid for cleaning Cash paid to employees Cash paid for telephone Cash paid for utilities S ei 11,100 (2.200) (750) (1,500) 300) (280) 01 S 6,070 Cash flows from investing activities Cash paid for equipment (1.800 (1.890) Cash flows from financing activities Cash dividend to shareholder Cash investment from shareholder40.000 (1.400) Cash investment from shareholder 40.000 38,600 S 42780 Net increase in cash Cash balance. May 1 Cash balance. May 31 S 42,780

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