1.

Followingwas the Balance Sheet of M.M Ltd., as at 31st March 2015: Additional Infromation : 1. 12% Debenture were redeemed on 31st March , 2015. 2. Tax ₹ 70,000 was paidduringthe year. Prepare Cash Flow Statement.

Answer»


Answer :Cash Flow from operating ACTIVITIES = ₹ 3,37,000;
CashUsed in INVESTING Activities = ₹ 4,07,000;
CashFlow FORM FinancingActivities = ₹ 90,000;
NET Increase in Cash and Cash Equivalents = ₹ 20,000.


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