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Calculate ‘Cash from Operating activities’ from the following figures:-
31.3.2022 (₹) 31.3.2023 (₹)
Profit and Loss Balance 60,000 65,000
Trade Receivables 1,49,000 1,53,000
General Reserve 2,02,000 2,37,000
Salary Outstanding 30,000 12,000
Wages Prepaid 5,000 7,000
Goodwill 80,000 70,000
Cash and Bank Balance 40,000 30,000
[Ans. Cash from Operating activities ₹ 26,000.] Hint. Cash and Bank Balance will not affect Cash Flow from Operating Activities.
Anurag Pathak Answered question 5 days ago
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