Category [CBSE] DK Goel Cash Flow Statement [CBSE] DK Goel Cash Flow Statement 81 Questions Ask question Search Order By: ActiveClear Filter 0 Votes 1 Ans D.K. Ltd. provides you the following information Non-Current Investments as on 31-3-2022 ₹ 1,20,000 3.26K viewsAnurag Pathak Changed status to publish February 14, 2026[CBSE] DK Goel Cash Flow Statement 0 Votes 1 Ans From the following Balance Sheet of Havels Ltd. You are required to prepare a Cash Flow Statement 3.65K viewsAnurag Pathak Changed status to publish January 2, 2025[CBSE] DK Goel Cash Flow Statement 0 Votes 1 Ans You are required to prepare Cash Flow Statement from the following information Interim Dividend paid during the year ₹ 7,000 3.60K viewsAnurag Pathak Changed status to publish January 2, 2025[CBSE] DK Goel Cash Flow Statement 0 Votes 1 Ans Following are the Balance Sheets of Pawan Ltd Share Capital ₹ 3,00,000 Reserves & Surplus ₹ 2,07,000 3.21K viewsAnurag Pathak Changed status to publish January 2, 2025[CBSE] DK Goel Cash Flow Statement 0 Votes 1 Ans From the following Balance Sheets of Godrej Ltd. You are required to prepare Cash-Flow Statement 3.40K viewsAnurag Pathak Changed status to publish January 2, 2025[CBSE] DK Goel Cash Flow Statement 0 Votes 1 Ans Following are the Balance Sheets of X Ltd Share Capital ₹ 2,00,000 Reserves & Surplus ₹ 72,000 4.15K viewsAnurag Pathak Edited answer January 2, 2025[CBSE] DK Goel Cash Flow Statement 0 Votes 1 Ans Prepare a Cash Flow Statement from the Balance Sheets given below Share Capital ₹ 5,00,000 Reserves & Surplus ₹ 2,25,000 3.82K viewsAnurag Pathak Answered question January 2, 2025[CBSE] DK Goel Cash Flow Statement 0 Votes 1 Ans From the following Balance Sheets of B.C.R Ltd. as at 31.3.2023 and 31.3.2022 prepare a Cash Flow Statement: 3.38K viewsAnurag Pathak Changed status to publish January 2, 2025[CBSE] DK Goel Cash Flow Statement 0 Votes 1 Ans From the following Balance Sheets of Samta Ltd. as at 31.3.2023 and 31.3.2022 prepare a Cash Flow Statement 3.42K viewsAnurag Pathak Changed status to publish January 2, 2025[CBSE] DK Goel Cash Flow Statement 0 Votes 1 Ans From the following Balance Sheets of EF Ltd. as at 31.3.2023 and 31.3.2022 prepare a Cash-Flow Statement 3.18K viewsAnurag Pathak Answered question January 2, 2025[CBSE] DK Goel Cash Flow Statement 0 Votes 1 Ans From the following Balance Sheet of Anuradha Ltd. as at 31st March, 2022, Calculate Cash from Operating Activities 2.96K viewsAnurag Pathak Answered question January 2, 2025[CBSE] DK Goel Cash Flow Statement 0 Votes 1 Ans From the following Balance Sheets of Vishva Ltd., Prepare Cash Flow Statement as per AS-3 (revised) for the year ending 31st March, 2018 2.78K viewsAnurag Pathak Changed status to publish January 2, 2025[CBSE] DK Goel Cash Flow Statement 0 Votes 1 Ans From the following information, prepare a Cash-Flow Statement Increase in Equity Share Capital ₹ 40,000 3.54K viewsAnurag Pathak Changed status to publish January 2, 2025[CBSE] DK Goel Cash Flow Statement 0 Votes 1 Ans From the following information, prepare a Cash Flow Statement Opening Cash Balance ₹ 10,000 Closing Cash Balance ₹ 12,000 3.63K viewsAnurag Pathak Changed status to publish January 2, 2025[CBSE] DK Goel Cash Flow Statement 0 Votes 1 Ans Following are the Balance Sheets of ‘X’ Co. Ltd. Share Capital ₹ 3,00,000 Long-term Borrowings ₹ 45,000 3.05K viewsAnurag Pathak Answered question January 2, 2025[CBSE] DK Goel Cash Flow Statement 0 Votes 1 Ans From the following information, Calculate Cash flows from financing activities Long-term Loan ₹ 2,00,000 3.23K viewsAnurag Pathak Changed status to publish January 2, 2025[CBSE] DK Goel Cash Flow Statement 0 Votes 1 Ans The following information has been extracted from the books of Pure Con Company. Using the information, Calculate the Cash Flow from Investing Activities 3.03K viewsAnurag Pathak Changed status to publish January 2, 2025[CBSE] DK Goel Cash Flow Statement 0 Votes 1 Ans Calculate Cash Flow from Investing Activities from the following information: Machinery costing ₹ 5,00,000 (Book Value ₹ 3,50,000) was sold at a loss of 10% 3.17K viewsAnurag Pathak Changed status to publish January 2, 2025[CBSE] DK Goel Cash Flow Statement 0 Votes 1 Ans From the following particulars of Phantom Ltd., you are required to calculate Cash from Operating Activities, and Cash from Investing Activities 3.05K viewsAnurag Pathak Changed status to publish January 2, 2025[CBSE] DK Goel Cash Flow Statement 0 Votes 1 Ans The following balances appeared in Plant Account and Accumulated Depreciation Account in the books of Bharat Ltd 2.97K viewsAnurag Pathak Edited answer January 2, 2025[CBSE] DK Goel Cash Flow Statement 0 Votes 1 Ans From the following information, Calculate Cash from Operating activities Profit and Loss Balance on 1-4-2021 (Credit) ₹ 80,000 3.51K viewsAnurag Pathak Changed status to publish January 2, 2025[CBSE] DK Goel Cash Flow Statement 0 Votes 1 Ans Raj Ltd. had a profit of ₹ 17,50,000 for the year ended 31.3.2023 after considering the following Depreciation on building ₹ 1,30,000 3.51K viewsAnurag Pathak Changed status to publish January 2, 2025[CBSE] DK Goel Cash Flow Statement 0 Votes 1 Ans Following is the position of Current Assets and Current Liabilities of Z Ltd Trade Payables ₹ 80,000 Outstanding Expenses ₹ 5,000 3.12K viewsAnurag Pathak Changed status to publish January 2, 2025[CBSE] DK Goel Cash Flow Statement 0 Votes 1 Ans Calculate Cash from Operating activities from the following P & L Balance ₹ 75,000 Cash and Bank Balance ₹ 35,000 3.70K viewsAnurag Pathak Changed status to publish January 2, 2025[CBSE] DK Goel Cash Flow Statement 0 Votes 1 Ans From the following figures, Calculate Cash from Operating activities Trade Receivables ₹ 1,20,000 Trade payables ₹ 56,000 3.09K viewsAnurag Pathak Changed status to publish January 2, 2025[CBSE] DK Goel Cash Flow Statement 1 2 3 4 Next » Question and answer is powered by anspress.net