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Unformatted text preview: increase in prepaid expense-100000 decrease in expense payable 90000-250000 $1,400,000 Net cash provided by operating activities P12-4A Elbert Company Statement of Cash Flows (direct mentod For the year ended Nov. 30, 2007 Cash flows from operating activities $7,700,000 cash receipts from customers less cash payments: -4740000 to suppliers $-1560000-6300000 for operating expense $1,400,000...
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This note was uploaded on 03/09/2009 for the course BUAD 305 taught by Professor Davila during the Spring '07 term at USC.
- Spring '07