What is the operating cash flow in 2015? What is the change of working capital in 2015? What is the capital spending in 2015?
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- What is the operating
cash flow in 2015? - What is the change of
working capital in 2015? - What is the capital spending in 2015?
- What is the
free cash flow in 2015? - What is the cash flow to creditors in 2015?
- What is the cash flow to stockholders in 2015?
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- Qq.15. Course Advanced Accounting Chapter 14: Foreign Currency Financial Statements11. LIBERTAD CO., is a VAT registered trader of construction supplies, had the following data for the 4th quarter of 2021 and 1st quarter of 2022: Gross sales to export oriented enterprise Gross sales to government (gross of final withholding tax) Gross sales to other customers Total VAT purchase of goods other than capital goods Total VAT purchase of services 4th Qtr 2021 PO 1st Qtr 2022 P5, 000 000 5, 000, 000 30,000,000 25, 000, 000 5, 000, 000 5,000,000 25, 000, 000 20, 000, 000 5, 000, 000 For the first quarter of 2021, the Company has filed a tax refund on its input VAT attributable to zero-rated sales. No payments have been made for the monthly VAT returns filed. How much is the VAT payable for the 4th quarter of 2021? a. P500,000 b. P750,000 c. P600,000 d. P350,000WhyRU Company usually depreciates its equipment using straight line method for accounting purposes, but for tax purposes its sum-of-the-years method. WhyRU Company acquired the equipment through purchase amounting to P2,400,000 on January 1,2018. Assume a tax rate of 30%. Useful life is 4 years. WhyRU Company made the following income in its income tax return available through reports for 2018 – P800,000; 2019 – P890,0000; 2020 – P1,200,000; 2021 – P1,500,000 There is no other differences between WhyRU's accounting income and taxable income for years 2018, 2019, 2020 and 2021 other than for the difference in depreciation for the equipment described.
- Assume U.S. GAAP (generally accepted accounting principles) applies unless otherwise noted. An analyst is forecasting EPS for a company. She prepares the following common sized data from its recent annual report and estimates sales for 2009. Sales $ millions Sales as % of sales Cost of goods sold Operating Expenses Interest expense Restructuring expense 2022 forecast 2,250.0 Pre-tax margin Taxes (35%) Net Income 2021 actual 2,150.0 100.00% 45.00% 40.00% 4.02% 7.20% 3.78% 1.32% 2.46% The capital structure of the company has not changed, and the company has no short term interest bearing debt outstanding. The projected net income (in $ millions) for 2022 is closest to: 45.00% 40.00% 3.72% 2020 actual 1,990.0 100.00% 11.28% 3.95% 7.33%Harlan Mining Co. has recently decided to go public and has hired you as an independent CPA. One statement that the enterprise is anxious to have prepared is a statement of cash flows. Financial statements for 2025 are provided below. Cash COMPARATIVE BALANCE SHEETS Accounts receivable Inventory Property, plant, and equipment Less accumulated depreciation Accounts payable Income taxes payable Bonds payable Common stock Retained earnings 12/31/25 $608000 (320000) $408000 360000 384000 288000 $1440000 $176000 352000 360000 216000 336000 $1440000 INCOME STATEMENT For the Year Ended December 31, 2025 12/31/24 $960000 (304000) $192000 216000 480000 656000 $1544000 $96000 392000 600000 216000 240000 $1544000A firm has been experiencing low profitability in recent years. Perform an analysis of the firm's financial position using the DuPont equation. The firm has no lease payments but has a $3 million sinking fund payment on its debt. The most recent industry average ratios and the firm's financial statements are as follows: Industry Average Ratios Current ratio Debt-to-capital ratio Times interest earned EBITDA coverage Inventory turnover Cash and equivalents Accounts receivables Inventories Total current assets 2x 17% 3 x 6 x 11 x Days sales outstandinga Calculation is based on a 365-day year. Balance Sheet as of December 31, 2021 (millions of dollars) $78 Accounts payable Other current liabilities 51 125 Notes payable $ 254 Total current liabilities Long-term debt Total liabilities Common stock Retained earnings Total stockholders' equity Total liabilities and equity Gross fixed assets Less depreciation Net fixed assets Total assets 15 days Fixed assets turnover Total assets turnover…
- Description FY10 FY11 FY12 FY13 FY14 Financial Statements GBP m GBP m GBP m GBP m GBP m Income Statements Revenue 4,390 3,624 3,717 8,167 11,366 Profit before interest & taxes (EBIT) 844 700 704 933 1,579 Net Interest Payable (80) (54) (98) (163) (188) Taxation (186) (195) (208) (349) (579) Miniorities (94) (99) (105) (125) (167) Profit for the year 484 352 293 296 645 Balance Sheet Fixed Assets 3,510 3,667 4,758 10,431 11,483…InThousands of USD except Per Share Revenue Transportation revenue Warehousing revenue Expenses Selling & Marketing General and Administrative Other operating expense Operating Income (Loss) Interest and dividend (income) NB: Think about your signs! Interst expense Income (Loss) before tax Tax expense Net Income, GAAP 2017 46 512,50 44 582,50 1 930,00 3 000,00 10 000,00 772,50 32 740,00 (75,00) 1 125,00 31 690,00 8 239,40 23 450,60 2018 49 120,00 46 195,00 2 925,00 3 250,00 10 500,00 1 390,00 33 980,00 (125,00) 1 200,00 32 905,00 8 884,35 24 020,65 2019 51 062,50 46 912,50 4 150,00 3 625,00 10 750,00 405,00 36 282,50 (115,00) 1 625,00 34 772,50 8 693,13 26 079,3817. Cost of goods sold Interest Dividends Depreciation Addition to retained earnings Tax rate $6,409 315 520 811 267 30% What is the operating income (EBIT) given the above information?