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Sony Ltd. provides you the following information. Calculate Cash flows from financing activities: Particulars - Equity Share Capital - 31st March, 2023 (₹) 12,50,000, 31st March, 2022 (₹) 10,00,000 - Accounts

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प्रश्न

Sony Ltd. provides you the following information. Calculate Cash flows from financing activities:

Particulars 31st March,
2023
(₹)
31st March,
2022
(₹)
Equity Share Capital 12,50,000 10,00,000
8% Preference Share Capital 2,00,000 -
10% Debentures - 3,00,000
Investment in Shares 1,50,000 1,00,000

Additional Information:

  1. During the year 2022-23, Sony Ltd. issued bonus shares in the ratio of 1 : 4 by capitalising reserve.
  2. 10% Debentures were redeemed on 1st January, 2023, at a premium of 5%.
  3. Preference Shares were issued on 1st October, 2022. Preference Dividend was paid for half year.
  4. Dividend received on Investments ₹ 10,000.
खाता बही
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उत्तर

Cash Flows from Financing Activities for the year ended 31st March, 2023.
Particulars Amount (₹)
Amount (₹)
Proceeds from Issue of Preference Shares   2,00,000
Less:    
Redemption of Debentures at Premium (3,15,000)  
Interest on Debentures Paid (22,500)  
Preference Dividend Paid (8,000) (3,45,000)
Net Cash Used in Financing Activities   (1,45,500)

Working Note 1: Calculation of Bonus Issue Adjustment (Non-Cash).

Ratio = 1 : 4 on ₹ 10,00,000

Thus, Bonus shares = ₹ 2,50,000

No cash inflow. So, the entire ₹ 2,50,000 increase in Equity Capital is a bonus.

Working Note 2: Calculation of Redemption of 10% Debentures.

Fully redeemed = ₹ 3,00,000

At 5% premium = ₹ 15,000

Thus, Cash Outflow = ₹ 3,00,000 + ₹ 15,000

= ₹ 3,15,000

Working Note 3: Calculation of Dividend on Preference Shares.

For 6 months (October–March):

= `"₹ 2,00,000" xx 8% xx 6/12`

= ₹ 8,000

Thus, Cash Outflow = ₹ 8,000

Working Note 4: Calculation of Debenture Interest (up to 1 Jan 2023).

= `"₹ 3,00,000" xx 10% xx 9/12`

= ₹ 22,500

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अध्याय 13: Cash Flow Statement - PRACTICAL QUESTIONS [पृष्ठ १३.११७]

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डी. के. गोएल Accountancy Volume 1 and 2 [English] Class 12 ISC
अध्याय 13 Cash Flow Statement
PRACTICAL QUESTIONS | Q 25. | पृष्ठ १३.११७
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