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6.C. - Page 59 of 124 <br />Redwood City Improvement Association <br />Statements of Cash Flows <br />Year Ended November 30, 2019 <br />with Comparative Totals for the Year Ended November 30, 2018 <br />2019 2018 <br />Operating Activities <br />Change in net assets $ 46,883 $ 182,119 <br />Adjustments to reconcile change in net assets <br />to net cash provided by operations <br />Depreciation 53,576 77,099 <br />Net Cash Flows Provided from Operating Activities 100,459 259,218 <br />Investing Activities <br />Purchases of capital assets - (32,500) <br />Net Cash Flows Used for Investing Activities - (32,500) <br />Net Increase in Cash 100,459 226,718 <br />Beginning Cash and Cash Equivalent 657,695 430,977 <br />Ending Cash and Cash Equivalent $ 758,154 $ 657,695 <br />See Notes to Financial Statements 5 <br />265 <br />