From the following Balance Sheet of Bull Ltd as at 31st March, 2019, perpare Cash Flow Statement :
Additional Information :
1. Depreciation charged on Building ₹ 20,000 and Plants ₹ 10,000.
2. Debentures of ₹ 36,000 were issued on 1st October, 2018.
Public Deposits of ₹ 80,000 were taken on 31st March, 2019.