Question: you are tasked with creating a Statement of Cash Flow. The spreadsheet with the information and instructions is here Date Transaction Description Receipts Payments 1/1/2020

you are tasked with creating a Statement of Cash Flow. The spreadsheet with the information and instructions is here

Date Transaction Description Receipts Payments
1/1/2020 Cash deposit to start business $ 10,000.00
1/1/2020 Three month's rent $ 2,400.00
1/1/2020 Cash register paid for $ 450.00
1/1/2020 Store furniture paid for $ 8,500.00
1/31/2020 Receipts for sales in January 2020 $ 6,500.00
2/7/2020 Widgets supplied in January paid for $ 4,500.00
2/25/2020 Cash withdrawn for your own expenses $ 3,000.00
2/29/2020 Receipts for sales in February 2020 $ 9,000.00
3/15/2020 Widgets supplied in February paid for $ 6,000.00
3/16/2020 Store utility charges for Jan, Feb, Mar 2020 $ 300.00
3/31/2020 Receipts for sales March 2020 $ 12,000.00
3/31/2020 Balance in bank on March 31st 2020 $ 12,350.00
$ 37,500.00 $ 37,500.00

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