Question: yum u. u- u.mu., E11 .12 Prepare the operating activities section of the statement of cash flows indirect method. The current section of Opotiki Ltd

yum u.\" u- u.mu., E11 .12 Prepare the operating
yum u.\" u- u.mu., E11 .12 Prepare the operating activities section of the statement of cash flows indirect method. The current section of Opotiki Ltd statement of nancial position at 30 June 2023 is presented below. Current assets Cash Accounts receivable Inventory Prepaid expenses Total current assets Current liabilities Accounts payable Accrued expenses payable Total current liabilities Other information: 1. Profit for the year ended 30 .June 2023 was $153 000. 2. Depreciation expense was $19 000. Required 2023 $105 000 120 000 161 000 27 000 $431 000 $ 85000 15000 $100000 L03 2022 $99 000 89 000 186 000 22 000 $396 000 $ 92000 5000 $ 9?000 Prepare the net cash provided by the operating activities section of Opotiki's statement of cash flows for the year endinn 30 June 2023 using the indirect method

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