From the following extracts of Balance sheets of Exe Ltd calculates Cash Flow form Financing Activities:
Additional Infromation:
1. Equity Share were issued on 31st March , 2019.
2.Interim dividend on Equity Share was paid @ 15%.
3. Perfernce Shares were redeemed on 31st March, 2019 at a permium of 5% .Permium paid was debited to Statement of Profit and Loss.
4. 12% Debture of face value ₹ 1,00,000 were issued on 31st March,2019.