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JENDELA AKUNTANSI: KUNCI UKK AKUNTANSI 2017 PAKET 1 22. CASH FLOW

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OPERATING ACTIVITIES

Income After Taxes 268.624.100

Depreciation Expense 8.000.000

Bad Debts 6.000.000

Account Receivable Increase/Decrease (653.305.000)

Allowances for Bad Debts Increase/Decrease

Merchandise Inventory Increase/Decrease (541.500.000)

Office Supplies Increase/Decrease (12.500.000)

Prepaid Insurance Increase/Decrease (7.000.000)

Prepaid Rent Increase/Decrease (17.000.000)

Prepaid Taxes Increase/Decrease (89.000.000)

Credit Card Increase/Decrease

-Account Payable Increase/Decrease 717.420.000

PPN Payable Increase/Decrease

-PPN Outcome Increase/Decrease 138.948.000

PPN Income Increase/Decrease (119.000.000) 0 Increase/Decrease

-(300.312.900)

INVESTING ACTIVITIES

Investment (70.000.000)

Purchases of Land (60.000.000)

(130.000.000)

FINANCING ACTIVITIES

Payment Bank Loan 285.000.000

285.000.000

Increase/Decrease Cash & Equivalent Cash (145.312.900) Cash & Equivalent Cash 31 desember 2014 -Cash & Equivalent -Cash 31 desember 2015 (145.312.900)

(389.680.900)

Operating Activities Used

Indirect Method

UD WIRASTRI

CASH FLOW STATEMENTS

For The Year Ended, December, 31, 2015

Net Cash flow from operating activities

Net cash flow used to Investing activities

Referensi