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Business, 20.02.2020 19:19 kiki4832

Below is a summary of all transactions of Pixar Toy Manufacturing for the month of August 2021. Cash Transactions Cash collections from: Customers $ 93,500 Sale of unused warehouse 36,000 Bank borrowing 26,000 Cash payments for: Employee salaries (65,300 ) Office rent (19,000 ) Manufacturing equipment (46,000 ) Office utilities (11,800 ) Dividends to stockholders (6,700 ) Materials to make toys (27,700 ) Noncash Transactions Sales to customers on account 16,400 Purchase of materials on account 13,900 Purchase equipment with promissory note to pay later 18,500 Required: Prepare a statement of cash flows for the month of August 2021, properly classifying each of the transactions into operating, investing, and financing activities. The cash balance at the beginning of August is $25,500. (List cash outflows and decrease in cash as negative amounts.)

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Below is a summary of all transactions of Pixar Toy Manufacturing for the month of August 2021. Cash...
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