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2021-05-04

Statement of Cash Flows

"QARDAŞLAR MEBEL-3" Limited Liability Company Cash Flow Statement

December 31, 2020
(In Azerbaijani Manat)

 

Notes

2020

2019

Cash Flows from Operating Activities

 

 

 

Net profit or loss for the period

18

689347.14

1087258.52

Adjustments for the following items:

 

 

 

          Depreciation

 

45431.34

37809.05

           Share of minority shareholders

 

 

 

            Extraordinary income and expenses

 

 

 

            Income tax expenses      

 

 

 

            Non-cash income and expenses

 

 

 

Other items related to investment activities or financing

 

 

 

      Changes in the following items:

 

 

 

            Reserves

 

-479189.45

-59753.37

              Operating receivables and prepaid expenses

 

-84731.00

-224847.61

            Operating payables and accruals          

 

-1617235.50

1564825.55

          Decrease (increase) in other assets

 

 

 

          Increase (decrease) in other liabilities

 

110203.49

224847.61

       Movement of extraordinary cash flows from operating activities

 

1290251.22

-996607.30

       Paid (refunded) income tax

 

 

 

Net cash flow from operating activities

 

-45922.76

1633532.45

Cash flows from investing activities

 

 

 

Outflows of cash related to the acquisition of long-term non-financial assets, including capitalized costs related to long-term non-financial assets

 

-98491.58

-68706.90

Uzunmüddətli qeyri-maliyyə aktivlərinin satışından pul vəsaitlərinin daxilolmaları

 

 

 

Inflows of cash from the sale of long-term non-financial assets

 

 

 

Inflows of cash from the sale of investments in subsidiaries, associates, and joint ventures

 

 

 

Outflows of cash related to short-term and long-term loans granted to other parties

 

 

 

Inflows of cash from the repayment of short-term and long-term loans granted to other parties

 

 

 

Outflows of cash for the acquisition of subsidiaries and business units, excluding existing cash in those entities

 

 

 

Inflows of cash from the sale of subsidiaries and business units, excluding existing cash in those entities

 

 

 

Cash flows from futures, forwards, options, and swap contracts

 

 

 

Inflows of cash from futures, forwards, options, and swap contracts

 

 

 

Inflows of cash in the form of dividends and other similar income  

 

 

Inflows of cash in the form of received interest  

 

 

Extraordinary inflows and outflows of cash related to investment activities   

 

 

Net cash flow from investing activities

 

-98491.58

-68706.90

Cash flows from financing activities

 

 

 

Inflows of cash from the issuance of shares and other similar instruments

 

 

 

Outflows of cash for the repurchase of the company’s own shares and other similar instruments  

 

 

Inflows of cash from borrowed funds

 

 

 

Outflows of cash for the repayment of borrowed funds

 

 

 

Inflows of cash from targeted financing

 

3000.00

 

Outflows of cash for the repayment of targeted financing

 

 

 

Outflows of cash related to principal amounts under finance lease agreements

 

 

 

Outflows of cash in the form of dividends and similar payments

 

 

 

Outflows of cash in the form of interest payments

 

 

 

Extraordinary inflows and outflows related to financing activities

 

 

 

Net cash flow from financing activities

 

3000.00

 

Increase (decrease) in cash and cash equivalents

 

-141414.34

1564825.55

Movement of cash and cash equivalents

 

2020

2019

Cash and cash equivalents at the beginning of the year, excluding bank overdrafts

1617235.50

52409.95

Increase (decrease) in cash and cash equivalents during the year, affecting foreign currency exchange rates

-141414.34

1564825.55

Cash and cash equivalents at the end of the year, excluding bank overdrafts

1475821.16

1617235.50

 

 

Statement of Cash Flows

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