रोकड़ तथा from Financing activities = * 10,800) 31-3-2014 31-3-2018 (Ans. Cash inflow from Operating activities = 73, वीरेन्द्र पेपर लि. के 31 मार्च, 2014 तथा 2015 के आर्थिक चिठे निम्नलिखित हैं: The Balance Sheets of Virendra Paper Ltd. as at 31st March, 2014 and 2015 are as follows: Balance Sheet Particulars 6,00,000 3,75,000 7,20. 4,80,00 4,50.000 2,70,05 L EQUITY AND LIABILITIES Shareholders' funds: Equity share capital Retained earnings Non-current liabilities: Debentures Current liabilities: Trade payables 90,000 15,15,000 15.900 3,00,000 6,00,000 (1.80,000) (2,40.000 7.50.15 IL ASSETS Non-current assets : Land Plant & Machinery Accumulated dep. on plant Current assets : Cash and cash equivalents Trade receivables Inventories 1,50.000 1.80.00 4,20,000 3,00.00 2,25,000 3,600 15,15,000 15,80 वर्ष के दौरान 75,000 ₹ के लाभांश का भुगतान किया गया। आप प्रत्यक्ष विधि द्वारा रोकड़-प्रवाह विवरण तैयार करें। 17 hora hoon maid during the year. You are required to prepare a Cash Flow Statement
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