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Problem 4-4A Prepare the statement of cash flows (LO4-7) Below is a summary of all transactions of Pixar Toy Manufacturing fo

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Pixar Toy
Statement of Cash Flows (Direct method)
Cash Flows from Operating Activities $ $
Cash inflows:
Collections from Customers    92,300
Cash outflows:
Payments to suppliers -26,500
Payments for salaries -64,100
Office rent -17,800
Office utilities -10,600
Net cash flows from operating activities -26,700
Cash Flows from Investing Activities
Sale of unused warehouse    34,800
Manufacturing equipment -43,600
Net cash flows from investing activities     -8,800
Cash Flows from financing Activities
Bank borrowing    24,800
Dividends to stockholders     -4,300
Net cash flows from financing activities    20,500
Cash at the beginning of the year    23,700
Cash at the end of the year      8,700
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