Prévia do material em texto
2023 Wardiere Inc. Financial Report Cash Flow Statement 07 06 Booklets are printed materials with four or more pages, containing details about a business, event, product, promotion, etc. They are also known as catalogs or pamphlets and are usually created to communicate a message to a wide variety of audiences. Wardiere Inc. Cash Flow Year 2022 Cash Flow From Operations Net Earning Additions to Cash Depreciation Decrease in Account Receivable Increase in Account Payable Increase in Taxes Payable Subtraction From Cash Increase Inventory Net Cash From Operations Cash Flow From Investing Cash Flow From Financing Equipment Notes Payable Cash Flow Ended 27 Dcember 2022 2.000.000 10.000 15..000 15.000 2.000 (30.000) 2.000.000 (30.000) 2.000.000 1.500.000