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From the following Balance Sheet of X Ltd. as at 31st March, 2023, prepare Cash Flow Statement:

Particulars 31st March, 2023 (₹) 31st March, 2023 (₹)
I. EQUITY AND LIABILITIES    

Shareholders Funds

(a) Share Capital: Equity Share Capital

(b) Reserves and Surplus

3,60,000

2,00,000

3,00,000

1,60,000

Non-Current Liabilities

Long-term Borrowings

3,78,000 2,62,000

Current Liabilities

(a) Trade Payables

(b) Other Current Liabilities

28,000

2,000

28,0000

6,000

Total 9,68,000 7,56,000
II. Assets    

Non-Current Assets

Property, Plant and Equipment and Intangible Assets:

Property, Plant and Equipment

6,40,000 4,60,000

Current Assets

(a) Inventories

(b) Trade Receivables

(c) Cash and Bank Balances: Cash at Bank

(d) Other Current Assets

34,000

1,68,000

1,10,000

16,000

40,000

1,36,000

1,00,000

20,000

Total 9,68,000 7,56,000
Particulars 31st March, 2023 (₹) 31st March, 2022 (₹)

1. Reserves and Surplus

General Reserve

Surplus, i.e., Balance in Statement of Profit & Loss

60,000

1,40,000

60,000

1,00,000

  2,00,000 1,60,000

2. Long-term Borrowings

12% Debentures 12%

Public Deposits

1,38,000

2,40,000

1,02,000

1,60,000

  3,78,000 2,62,000

3. Trade Payables

Creditors

Bills Payable

20,000

8,000

16,000

12,000

  28,000 28,000

4. Other Current Liabilities

Outstanding Expenses

2,000 6,000

5. Property Plant and Equipment

Building

Plant

4,40,000

2,00,000

3,00,000

1,60,000

  6,40,000 4,60,000

6. Trade Receivables

Debtors

Bills Receivable

1,50,000

18,000

1,20,000

16,000

  168,000 136,000

7. Other Current Assets

Accrued Income

Prepaid Expenses

12,000

4,000

20,000

  16,000 20,000

Additional Information:

  1. Depreciation charged on Building ₹ 20,000 and on Plant ₹ 10,000.
  2. Interest paid on Debentures ₹ 14,000. New Debentures of ₹ 36,000 were issued on 1st October, 2022.
  3. Interest paid on Deposits from Public ₹ 19,200 for the year.
Anurag Pathak Changed status to publish December 2, 2023
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