Financial statements Centrum Radość Med
Cash inflows of CENTRUM RADOŚĆ MED
|
Year
|
2019
|
2020
|
2021
|
2022
|
|---|---|---|---|---|
| Net cash from operating expenses | 52 141,45 | -49 612,07 | 51 210,49 | 48 111,87 |
| Net cash flow from investing activities | 0,00 | 0,00 | 0,00 | 0,00 |
| Net cash flow from financial activities | 4 949,00 | 0,00 | 0,00 | 0,00 |
| Total net cash flow | 57 090,45 | -49 612,07 | -51 210,49 | 48 111,87 |
Financial data is automatically retrieved from the EKRS webpage of the Ministry of Justice.