Use the following financial statements and additional information to prepare the
ID: 2543386 • Letter: U
Question
Use the following financial statements and additional information to prepare the entire statement of cash flows for the year ended December 31, 2012 using the direct method. Derby Company Balance Sheets December 31 2012 2011 Change Assets: Cash Accounts receivable, net Merchandise inventory Prepaid expenses Equipment Accumulated depreciation-Equipment $ 85,600 65,200 20,400 56,750 16,100 157,750 144,850 12,900 72,850 6,080 12,680 (6,600) 280,600 245,600 35,000 (80.600)(97600) 17.000 $522,280 $427480 24,800 Total assets Liabilities: Accounts payable Income taxes payable Notes payable (long term) S 52,850 45,450 7,400 3,000 59.20079,200(20,000) 15,240 12,240 Total liabilities $127,290 $136,890 Equity: Common stock Paid-in capital in excess of par Retained earnings 200,000 53,000 150,000 50,000 40,000 13,000 141,990 100,590 41,400 Total equity Total liabilities and equity $394.990 $290.590 $522,280 $427480 94800Explanation / Answer
Cash flow direct method Cash flow statement Sales 488000 Cash flow from operating activities 116100 Adjustments to a cash basis Cash flow from Investing activities Accounts receivable as per 2011 56750 Sale of equipment 29700 Accounts receivable as per 2012 -72850 471900 Purchase of equipment -120000 Less Cost of goods sold 212540 Cash used in investing activities -90300 Adjustments to a cash basis Cash flow from Financing activities Inventory as per 2011 -144850 Common stock 50000 Inventory as per 2012 157750 Paid in capital in excess of par 13000 Accounts payable as per 2011 45450 Cash dividend -42000 Accounts payable as per 2012 -52850 218040 Interest expense paid -6400 Operating expense - depreciation 106260 Notes payable (longterm ) -20000 Adjustments to a cash basis Cash flow from financing activities -5400 Prepaid expense 2011 -12680 Net Cash and cash equivalent 20400 Prepaid expense 2012 6080 99660 Add Beginning cash and cash equivalent 65200 Ending cash and cash equivalent 85600 Income tax expense 41100 Income tax payable 2011 12240 Income tax payable 2012 -15240 38100 Total 355800 Cash flow from operating activities 116100
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