Reference no: EM132679286
Problem - Statement of cash flows
A summary of cash flows for Escape Travel Service for the year ended November 30, 2012, is shown below.
Cash receipts:
Cash received from customers $875,000
Cash received from issuing capital stock 45,000
Cash payments:
Cash paid for operating expenses 912,500
Cash paid for land 67,500
Cash paid for dividends 25,000
The cash balance as of December 1, 2011, was $141,750.
Required - Make a statement of cash flows for Escape Travel Service for the year ended November 30, 2012.