Prepare a cash flow report for the year to 30 September 2003.

The following information relates to Carnforth Plc for the year ended 30 September 2003.
£’000 Operating profit before tax 179, Depreciation charge for the year 105, Proceeds from the sale of fixed assets 51, Dividends paid 47, Tax paid 206, Cash received from new loan 120, Increase in stock 38, Increase in creditors 69, Share issue 45, Increase in debtors 91, Interest paid 94, Purchase of fixed assets 68, Increase in cash 22.

For a custom-written paper on the above topic, place your order now!

What We Offer

 

• On-time delivery guarantee
• PhD-level professionals
• Automatic plagiarism check
• 100% money-back guarantee
• 100% Privacy and Confidentiality
• High Quality custom-written papers

Unlike most other websites we deliver what we promise;

  • Our Support Staff are online 24/7
  • Our Writers are available 24/7
  • Most Urgent order is delivered with 6 Hrs
  • 100% Original Assignment Plagiarism report can be sent to you upon request.

GET 15 % DISCOUNT TODAY use the discount code PAPER15 at the order form.

Type of paper Academic level Subject area
Number of pages Paper urgency Cost per page:
 Total: