This document contains balance sheets and a statement of cash flows for Footy Camp Pty Ltd for the year ended 30 June 2010 and 30 June 2019. The balance sheet for 2010 shows total assets of $83,000 including cash of $49,500 and total liabilities of $10,800. Equity includes share capital of $25,000 and retained earnings of $47,200. The statement of cash flows shows cash from operating activities of $33,000, cash used in investing activities of $13,500 to purchase a bus and equipment, and no cash from financing activities.
This document contains balance sheets and a statement of cash flows for Footy Camp Pty Ltd for the year ended 30 June 2010 and 30 June 2019. The balance sheet for 2010 shows total assets of $83,000 including cash of $49,500 and total liabilities of $10,800. Equity includes share capital of $25,000 and retained earnings of $47,200. The statement of cash flows shows cash from operating activities of $33,000, cash used in investing activities of $13,500 to purchase a bus and equipment, and no cash from financing activities.
This document contains balance sheets and a statement of cash flows for Footy Camp Pty Ltd for the year ended 30 June 2010 and 30 June 2019. The balance sheet for 2010 shows total assets of $83,000 including cash of $49,500 and total liabilities of $10,800. Equity includes share capital of $25,000 and retained earnings of $47,200. The statement of cash flows shows cash from operating activities of $33,000, cash used in investing activities of $13,500 to purchase a bus and equipment, and no cash from financing activities.
!"ងតuល'(រ Balance Sheet A=L+E For the year ended of 30 June 2010 Assets cash 49.500 Account Receivable 20.000 83000 Bus 12.000 Balls and Equipments 1.500 Total assets 83.000 Liabilities Bank loan 10000 Interest payable 800 Total liabilities 10800 72200 Equity 10800 Shareholder's equity 10800 Share Capital 25000 72200 Retained earning 47200 83000 Total equity 72200
FOOTY CAMP Pty LtD
រ*យ(រណ-ល.ហ0រ1ច34*ក3 (Statement of cash flow) 8000 For the year ended of 30 June 2019 10000 ល.ហ0រ1ច34*ក3សកម89ព4បតiបត=i Cash flow from Operating activies 20000 Cash receipt from operating activities 80.000 80000 9000 Cash payment operting activities -47.000 47000 47000 Total operting activities 33.000 ល.ហ0រ1ច34*ក3>ល?សកម89ពវiនiCDគទuន Cash flow from Investing activies 80.000 47.000 bus -12000 12.000 equipment -1500 1.500 Total investing activities -13500 10.000 ល.ហ0រ1ច34*ក3>ល?សកម89ពហiរGវតHu Cash flow from Financing activies