हिंदी

From the following extract of the Balance Sheet of KK Ltd. and the additional information, you are required to calculate Cash and Bank Balance as at 31st March, 2025. - Accounts

Advertisements
Advertisements

प्रश्न

From the following extract of the Balance Sheet of KK Ltd. and the additional information, you are required to calculate Cash and Bank Balance as at 31st March, 2025.

Particulars 31st March, 2025 (₹) 31st March, 2024 (₹)
Non-Current Investments 4,00,000 6,00,000
Cash and Bank Balance ? 1,48,000
Additional information:
During the year 2024-25:
  • Cash flow from Operating Activities was ₹ 1,02,000
  • Cash used in Financing Activities was ₹ 52,000
  • Interest received on Non-Current Investments was ₹ 45,000
खाता बही
Advertisements

उत्तर

Particulars Amount (₹) Amount (₹)
Cash flow from Operating Activities   1,02,000
Interest Received 45,000  
Sale of Non-Current Investments 2,00,000 2,45,000
Less: Cash used in Financing Activities   (52,000)
Net Increase in Cash during the year   2,95,000
Add: Opening Cash and Bank Balance   1,48,000
Closing Cash and Bank Balance   4,43,000
shaalaa.com
  क्या इस प्रश्न या उत्तर में कोई त्रुटि है?
2025-2026 (March) Official Board Paper
Share
Notifications

Englishहिंदीमराठी


      Forgot password?
Use app×