Question:

5 complete statement of cash flows using a spreadsheet under

Last updated: 10/8/2023

5 complete statement of cash flows using a spreadsheet under

5 complete statement of cash flows using a spreadsheet under the indirect method Note Enter all amounts as positive values Balance sheet debit balance accounts Cash Accounts receivable Inventory Equipment Balance sheet credit balance accounts Accumulated depreciation Equipment Accounts payable Income taxes payable Common stock 2 par value 11116 GOLDEN CORPORATION Spreadsheet for Statement of Cash Flows For Current Year Ended December 31 December 31 Prior Year 115 800 79 000 534 000 307 000 1 035 800 108 000 79 000 29 100 576 000 170 000 Analysis of Changes Debit Credit December 31 Current Year 172 000 172 000