Question: Hello I need help solving the statement of cash flows. I've uploaded the balance sheet and income statement. I need help filling out the yellow

 Hello I need help solving the statement of cash flows. I'veuploaded the balance sheet and income statement. I need help filling outthe yellow blanks on the statement of cash flows. Thank you! RealCompany Inc Balance Sheet Prev Year Comparison As of December 31,2021 \begin{tabular}{|c|c|}\hline Dec 31, 21 Dec 31, 20 Change \\ \hline \end{tabular} ASSETS

Hello I need help solving the statement of cash flows. I've uploaded the balance sheet and income statement. I need help filling out the yellow blanks on the statement of cash flows.

Thank you!

Real Company Inc Balance Sheet Prev Year Comparison As of December 31,2021 \begin{tabular}{|c|c|} \hline Dec 31, 21 Dec 31, 20 Change \\ \hline \end{tabular} ASSETS Current Assets Checking/Savings \begin{tabular}{|c|r|r|r|} \hline 102 Cash & 32,250.82 & 92,688.06 & (60,437.24) \\ \hline Accounts Receivable & & & \\ \hline 110 Accounts Receivable & 32,469.33 & 25,688.42 & 6,780.91 \\ \hline Total Accounts Receivable & 32,469.33 & 25,688.42 & 6,780.91 \\ \hline \end{tabular} Other Current Assets 115 - PrePaid Expenses GL Total Other Current Assets Total Current Assets Fixed Assets LIABILITIES \& EQUITY Liabilities Current Liabilities Accounts Payable Accounts Payable 201A/P Net Accounts Payable \begin{tabular}{|r|r|r|} \hline 15,487.41 & 2,277.46 & 13,209.95 \\ \hline 15,487.41 & 2,277.46 & 13,209.95 \\ \hline \end{tabular} Other Current Liabilities \begin{tabular}{|l|r|r|r|} \hline 240 Wages Payable & 17,259.63 & 0.00 & 17,259.63 \\ \hline 242 Accrued Operating Expenses & 0.00 & 46,118.15 & (46,118.15) \\ \cline { 2 - 4 } & 17,259.63 & 46,118.15 & (28,858.52) \\ \hline Total Other Current Liabilities & 32,747.04 & 48,395.61 & (15,648.57) \\ \hline Current Liabilities & & & \end{tabular} Long Term Liabilities Real Company Inc Profit \& Loss Prev Year Comparison January through December 2021 Ordinary Income/Expense Income Real Company Inc Statement of Cash Flows (Indirect Method) January through December 2021 Cash Flows From Operating Activities Adjustments to reconcile net income to net cash provided by operating activities Cash Flows From Investing Activities Cash Flows From Financing Activities Net Decrease in Cash Cash January 1, 2021 Cash December 31, 2021 92,688.0692,688.06

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