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Perpare Cash Flow Statement form the following :
image

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Correct Answer - Cash Flow from Operating Activites = ₹ 2,33,000; Cash Used in Investing Activities = ₹ 3,00,000; Cash Flow from Financing Activities = ₹ 68,000; Net Increase in Cash and Cash Equivalents = ₹ 1,000.
Cash and Cash Equivalents = Cash in Hand + Cash at Bank + short - term investments.

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