Question
Calculate Cash Flow from Operating Activities from the following:



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| RJ Ltd.Statement of Profit and Loss for the year ended 31st March, 2022 | |||
| Particulars | Note No. | 2021 - 22 ₹ | 2020 - 21 ₹ |
| Revenue from Operations | 20,00,000 | 15,00,000 | |
| Employee Benefit Expenses | 8,00,000 | 4,00,000 | |
| Other Expenses | 2,00,000 | 1,00,000 | |
| Tax Rate 50% | |||

|
Particulars
|
31st March, 2018 ₹
|
31st March, 2017 ₹
|
| Machinery (At cost) | 5,50,000 | 5,00,000 |
| Accumulated Depreciation | 1,70,000 | 1,00,000 |
|
Particulars
|
31st March, 2018 ₹
|
31st March, 2017 ₹
|
| Machinery (At cost) | 5,50,000 | 5,00,000 |
| Accumulated Depreciation | 1,70,000 | 1,00,000 |