chemalite现金流量分析

chemalite现金流量分析

ID:22686821

大小:90.00 KB

页数:6页

时间:2018-10-30

chemalite现金流量分析_第1页
chemalite现金流量分析_第2页
chemalite现金流量分析_第3页
chemalite现金流量分析_第4页
chemalite现金流量分析_第5页
资源描述:

《chemalite现金流量分析》由会员上传分享,免费在线阅读,更多相关内容在应用文档-天天文库

1、Chemalite,Inc现金流量分析课程:财务会计任课老师:                        6采用直接法和间接法,现金流量表中的投资活动和筹资活动的现金流量是相同的,不同是经营业务的现金流量的计算和表达上。1、现金流量表编制(间接法)Netincome118,995add:depreciation61,625amortizationofpatent25,000interestexpense58,750deferredincometaxes26,730taxespayable-950less:accountsreceivableadded-70,030inventories

2、rawmaterialsadded-20,450inventoriesfinishedgoodsadded-99,680prepaidinsurance-65,000gainonsaleofequipment-24,250cashprovidedbyoperatingactivities10,740Saleofequipment215,500Cashinflowfrominvestingactivities215,500Property,plantandequipment820,000Land125,000Cashoutflowfrominvestingactivities945,000C

3、ashprovidedbyinvestingactivities-729,500 Short-termdebt200,000Long-termdebt510,000Cashinflowfromfinancingactivities710,000Interestexpense-58,750Dividendspayable-10,000Treasurystock-26,000Cashoutflowfromfinancingactivities94,750Cashprovidedbyfinancingactivities615,250 Decreaseincashbalance-103,510B

4、eginningcashbalance113,000Endingcashbalance9,49062、现金流量表编制(直接法)sales1,886,250Less:Accountsreceivableadded-70,030Cashfromsales1,816,220Cashinflowfromoperatingactivities1,816,220Material452,700Labor660,000Rent25,000Utilities82,000Costofsales1,219,700Add:Inventoriesrawmaterialsadded20,450Inventoriesf

5、inishedgoodsadded99,680Taxespayabledecrease950Prepaidinsuranceadded65,000Advertising70,000Researchanddevelopment63,250Insurance32,500Sellingandadministractionexpenses195,750Incometaxes64,930Less:Deferredincometaxes-26,730Cashoutflowfromoperatingactivities1,805,480 Cashprovidedbyoperatingactivities

6、10,740 Saleofequipment215,500Cashinflowfrominvestingactivities215,500Property,plantandequipment820,000Land125,000Cashoutflowfrominvestingactivities945,000Cashprovidedbyinvestingactivities-729,500 Short-termdebt200,000Long-termdebt510,000Cashinflowfromfinancingactivities710,000Interestexpense-58,75

7、0Dividendspayable-10,000Treasurystock-26,000Cashoutflowfromfinancingactivities94,750Cashprovidedbyfinancingactivities615,250 Decreaseincashbalance-103,510Beginningcashbalance113,000Endingcashbalance9,49063、现金来源和使

当前文档最多预览五页,下载文档查看全文

此文档下载收益归作者所有

当前文档最多预览五页,下载文档查看全文
温馨提示:
1. 部分包含数学公式或PPT动画的文件,查看预览时可能会显示错乱或异常,文件下载后无此问题,请放心下载。
2. 本文档由用户上传,版权归属用户,天天文库负责整理代发布。如果您对本文档版权有争议请及时联系客服。
3. 下载前请仔细阅读文档内容,确认文档内容符合您的需求后进行下载,若出现内容与标题不符可向本站投诉处理。
4. 下载文档时可能由于网络波动等原因无法下载或下载错误,付费完成后未能成功下载的用户请联系客服处理。