36 :- From the following extracts of Balance Sheet of Exe Ltd., calculate Cash Flow from Financing Activities :

Additional Information :
1. Equity shares were issued on 31st March, 2025.
2. Interim Dividend on Equity Shares were paid @15%.
3. Preference Shares were redeemed on 31st March, 2025 at a premium of 5%.
4. 12% Debentures of face value Rs 1,00,000 were issued on 31st March, 2025.

Solution :-

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