Financial statements Inżynierów I Techników Mechaników Polskich

Cash flow statement of Inżynierów I Techników Mechaników Polskich

Company age:
Age:
22 y. 7 m. 16 d.

Cash inflows of INŻYNIERÓW I TECHNIKÓW MECHANIKÓW POLSKICH

Year
2018
2019
2020
2021
2022
2023
Net cash from operating expenses 164 414,87 544 603,39 1 555 962,01 460 119,13 557 367,42 1 362 286,47
Net cash flow from investing activities -59 693,65 -20 134,09 -173 051,98 -60 791,04 -75 658,60 -525 738,64
Net cash flow from financial activities -148 823,36 -76 001,34 -70 903,74 273 256,58 -163 861,85 -533,51
Total net cash flow -44 102,14 448 467,96 1 312 006,29 672 584,67 317 846,97 836 014,32
Financial data is automatically retrieved from the EKRS webpage of the Ministry of Justice.