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On the basis of information given by Aradhana Ltd., prepare Cash Flow Statement for the year ending 31st March, 2021: 

Aradhana Ltd. 

Balance Sheet as on 31st March, 2021

Note to Accounts

Additional Information: 

1. Debentures were redeemed on 1st April,2020. 

2. Tax paid during the year ₹2,80,000.

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Aradhana Ltd. 

Cash Flow statement for the year ended 31.3.21

Working Notes:-

1.
 
Net Profit as per statement of Profit and Loss 20,000
Add: Tax provided during the year 2,75,000
2,95,000

2.

Provision for Tax A/c

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