मराठी

Prepare a format for cash flow from operating activities.

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प्रश्न

Prepare a format for cash flow from operating activities.

खातेवही
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उत्तर

The format of cash flow from operating activities under the indirect method is as follows:

Indirect Method
Particulars Amount (Rs.)
Net Profit/Loss before Tax and Extraordinary Items  
+ Deductions already made in Statement of Profit and Loss on account of Non-cash items such as Depreciation, Goodwill to be Written-off xxx
+ Deductions already made in Statement of Profit and Loss on Account of Non-operating items such as Interest. xxx
− Additions (incomes) made in Statement of Profit and Loss on Account of Non-operating items such as Dividend received, Profit on sale of Fixed Assets. xxx
Operating Profit before Working Capital changes xxx
Add: in case of increase in current assets (other than cash and cash equivalent) and decrease in current liabilities. xxx
Less: in case of decrease in current assets (other than cash and cash equivalent) and decrease in current liabilities. xxx
Cash Flows from Operating Activities before Tax and Extraordinary Items xxx
− Income Tax Paid xxx
+/− Effects of Extraordinary Items xxx
Net Cash from Operating Activities xxx
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पाठ 6: Cash Flow Statement - Questions for Practice [पृष्ठ २७६]

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एनसीईआरटी Accountancy Company Accounts and Analysis of Financial Statements [English] Class 12
पाठ 6 Cash Flow Statement
Questions for Practice | Q 6. | पृष्ठ २७६
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