Financial statements Frame Pack Szalast Kamil Paprocki Remigiusz
Cash inflows of FRAME PACK SZALAST KAMIL PAPROCKI REMIGIUSZ
Year
|
2022
|
2023
|
---|---|---|
Net cash from operating expenses | - | 5 200 187,73 |
Net cash flow from investing activities | - | -8 163 995,92 |
Net cash flow from financial activities | - | -1 316 449,19 |
Total net cash flow | - | -4 280 257,38 |
Financial data is automatically retrieved from the EKRS webpage of the Ministry of Justice.