Question: Need a proforma statement for year 2 0 2 3 at presumed rate of 6 . 2 5 % . According to the following data

Need a proforma statement for year 2023 at presumed rate of 6.25%.According to the following data I need a proforma statement for year 2023 only and explain how you got the conclusion. The cash flow statement are as follows: TD_cash-flow_Annual_As_Originally_Reported 20182019202020212022
Cash Flows from/Used in Operating Activities, Direct
Cash Flow from Operating Activities, Indirect 5693000000.271000000.231786000000.50129000000.38949000000.
Net Cash Flow from Continuing Operating Activities, Indirect 5693000000.271000000.231786000000.50129000000.38949000000.
Cash Generated from Operating Activities 5693000000.271000000.231786000000.50129000000.38949000000.
Income/Loss before Non-Cash Adjustment 14516000000.14421000000.13047000000.14298000000.17429000000.
Total Adjustments for Non-Cash Items 3402000000.3131000000.5654000000.1301000000.1287000000.
Depreciation, Amortization and Depletion, Non-Cash Adjustment 1391000000.1405000000.2141000000.2066000000.1766000000.
Depreciation and Amortization, Non-Cash Adjustment 1391000000.1405000000.2141000000.2066000000.1766000000.
Depreciation, Non-Cash Adjustment 576000000.605000000.1324000000.1360000000.1167000000.
Amortization, Non-Cash Adjustment 815000000.800000000.817000000.706000000.599000000.
Deferred Taxes, Non-Cash Adjustment 385000000.-33000000.-1065000000.258000000.502000000.
Provision and Impairment for Loan Losses and Credit Risk 2480000000.3029000000.7242000000.-224000000.1067000000.
Net Investment Income/Loss, Non-Cash Adjustment -854000000.-1270000000.-2664000000.-799000000.-1051000000.
Realized Gain/Loss on Disposal/Sale of Financial Instruments, Non-Cash Adjustment -111000000.-78000000.-40000000.-14000000.-60000000.
Share of Profit/Loss from Associates, Joint Ventures and other Equity Investments, Non-Cash Adjustment -743000000.-1192000000.-2624000000.-785000000.-991000000.
Irregular Income/Loss, Non-Cash Adjustment ..-997000000.
Gain/Loss on Disposals, Non-Cash Adjustment -997000000.
Gain/Loss on Disposal/Sale of Business, Non-Cash Adjustment -997000000.
Other Irregular Income/Loss, Non-Cash Adjustment ..
Changes in Operating Capital -12225000000.-17281000000.213085000000.34530000000.20233000000.
Change in Deposits 53379000000.-52281000000.240648000000.-6494000000.105759000000.
Change in Loans and Advances -59369000000.-66042000000.20176000000.-46103000000.-115638000000.
Change in Financial Assets 4789000000.-2397000000.-2045000000.-842000000.-1556000000.
Change in Financial Liabilities 3996000000.-9822000000.5343000000.7030000000.3121000000.
Change in Other Operating Capital -15020000000.113261000000.-51037000000.80939000000.28547000000.
Taxes Refund/Paid, Indirect
Cash Flow from Investing Activities 1549000000.5506000000.-224115000000.-45268000000.-31895000000.
Cash Flow from Continuing Investing Activities 1549000000.5506000000.-224115000000.-45268000000.-31895000000.
Change in Interest-Bearing Deposits in Bank 20465000000.5137000000.-138566000000.-729000000.30455000000.
Purchase/Sale and Disposal of Property, Plant and Equipment, Net -587000000.-794000000.-1757000000.-1129000000.-1454000000.
Purchase of Property, Plant and Equipment -794000000.-1757000000.

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