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2012年ACCA考试《F9财务报告》讲义辅导17
Figure 1
Published accounts of Tamari plc for year ended 31 December 1999
Cash Flow Statement 1999 1998
£000£000
Operating profit 501420
Depreciation charges 660 600
(-)Increase/decrease in stocks �305250
(-)Increase/decrease in debtors �184220
Increase in trade creditors 420120
Net cashflows from operating activities 1,0921,610
Returns on investment and servicing of finance
Interest paid �150�50
Taxation paid�130�110
Capital expenditure and financial investment
Purchase of tangible fixed asset�1,620�900
Equity dividends paid�160 �160
Cash outflow before financing �968390
Financing
Issue of loan1,000100
Increase in cash32290
Profit and Loss Account extracts19991998
£000£000
Operating profit for 1999 501420
Interest paid15050
Profit before tax351370
Taxation:125115
Profit after tax226255
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