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CASH FLOW STATEMENT T.S.GREWAL CH-4 (CASH FLOW FROM OPERATING ACTIVITIES) QUE NO -16,17,18 CLASS -12
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CASH FLOW STATEMENT T.S.GREWAL CH-4 (CASH FLOW FROM OPERATING ACTIVITIES) QUE NO -16,17,18 CLASS -12 Accounts Session 2023-24
From the following information, calculate Cash Flow from Operating Activities:
Particulars
Equity Share Capital
10% Preference Share Capital
Securities Premium
Surplus, i.e., Balance in Statement of Profit & Loss
10% Debentures
Additional Information:
(i) Preference shares were redeemed on 31st March, 2023 at a premium of 5%.
(ii) Dividend on equity shares was paid @ 8%.
(iii) Fresh issue of equity shares was made on 1st April 2022.
[Ans.: Cash Flow from Operating Activities = 7,60,000.]
17. Sunrise Ltd., reported Net Profit after Tax of relevant extract from Balance Sheet as at 31st 6,40,000 for the year ended 31st March, 2023. The March, 2023 is:
Particulars
Inventories
Trade Receivables
Prepaid Expenses
Trade Payables
Provision for Tax
Depreciation charged on Plant and Machinery 55,000, insurance claim received 50,000, gain (profit) on sale of investment 20,000 appeared in the Statement of Profit & Loss for the year ended 31st March, 2023. Calculate Cash Flow from Operating Activities.
31st March, 2022 (₹)
31st March, 2023 (₹)
2,00,000
1,00,000
95,000
8,00,000
4,00,000
31st March, 2022 (₹)
31st March, 2023 (₹)
1,15,000
1,25,000
1,50,000
1,10,000
20,000
6,000
1,10,000
80,000
20,000
15,000
Compute Cash Flow from Operating Activities from the following:
(i) Profit for the year ended 31st March, 2023 is 10,000 after providing for depreciation of ₹ 2,000. (ii) Current Assets and Current Liabilities of the business for the years ended 31st March, 2022 and 2023 are as follows:
Particulars
31st March, 2022 (₹)
31st March, 2023 (₹)
Trade Receivables
14,000
15,000
Provision for Doubtful Debts
1,000
1,200
Trade Payables
13,000
15,000
Inventories
5,000
8,000
Other Current Assets (Other than Prepaid Expenses and Accrued Income)
10,000
12,000
Expenses Payables
1,000
1,500
Prepaid Expenses
2,000
1,000
Accrued Income
3,000
4,000
Income Received in Advance
2,000
1,000
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#tsgrewal2023
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From the following information, calculate Cash Flow from Operating Activities:
Particulars
Equity Share Capital
10% Preference Share Capital
Securities Premium
Surplus, i.e., Balance in Statement of Profit & Loss
10% Debentures
Additional Information:
(i) Preference shares were redeemed on 31st March, 2023 at a premium of 5%.
(ii) Dividend on equity shares was paid @ 8%.
(iii) Fresh issue of equity shares was made on 1st April 2022.
[Ans.: Cash Flow from Operating Activities = 7,60,000.]
17. Sunrise Ltd., reported Net Profit after Tax of relevant extract from Balance Sheet as at 31st 6,40,000 for the year ended 31st March, 2023. The March, 2023 is:
Particulars
Inventories
Trade Receivables
Prepaid Expenses
Trade Payables
Provision for Tax
Depreciation charged on Plant and Machinery 55,000, insurance claim received 50,000, gain (profit) on sale of investment 20,000 appeared in the Statement of Profit & Loss for the year ended 31st March, 2023. Calculate Cash Flow from Operating Activities.
31st March, 2022 (₹)
31st March, 2023 (₹)
2,00,000
1,00,000
95,000
8,00,000
4,00,000
31st March, 2022 (₹)
31st March, 2023 (₹)
1,15,000
1,25,000
1,50,000
1,10,000
20,000
6,000
1,10,000
80,000
20,000
15,000
Compute Cash Flow from Operating Activities from the following:
(i) Profit for the year ended 31st March, 2023 is 10,000 after providing for depreciation of ₹ 2,000. (ii) Current Assets and Current Liabilities of the business for the years ended 31st March, 2022 and 2023 are as follows:
Particulars
31st March, 2022 (₹)
31st March, 2023 (₹)
Trade Receivables
14,000
15,000
Provision for Doubtful Debts
1,000
1,200
Trade Payables
13,000
15,000
Inventories
5,000
8,000
Other Current Assets (Other than Prepaid Expenses and Accrued Income)
10,000
12,000
Expenses Payables
1,000
1,500
Prepaid Expenses
2,000
1,000
Accrued Income
3,000
4,000
Income Received in Advance
2,000
1,000
#msacademyaccounts
#tsgrewal2023
#accountancy
#accounts
#cashflowstatement
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