The information below is a current cash flow statement for our organization: Cash Flow Statement for ABC Company Direct Method Dec 31, 20XX Received from Customers $1,260,000.00 Payment to Suppliers $830,000.00 Payment for Operating expense $250,000.00 Payment for Taxes $0.00 Cash generated from Operating Cash Flows $180,000.00 Payment for fixed assets -$100,000.00 Cash used for Investing Activities -$100,000.00 Dividend Payment -$100,000.00 Cash used for Financing Activities…
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