Financial statements Miejski Zakład Oczyszczania W Wołominie
Cash inflows of MIEJSKI ZAKŁAD OCZYSZCZANIA W WOŁOMINIE
| Year | 
                                    2018
                                                                     | 
                                    2019
                                                                     | 
                                    2020
                                                                     | 
                                    2021
                                                                     | 
                                    2022
                                                                     | 
|---|---|---|---|---|---|
| Net cash from operating expenses | 3 777 491,40 | 4 269 518,17 | 5 102 236,53 | 11 058 982,26 | 4 282 945,84 | 
| Net cash flow from investing activities | -1 232 223,29 | -663 994,87 | -1 128 087,58 | -3 720 818,56 | -3 106 798,45 | 
| Net cash flow from financial activities | -1 053 561,68 | -1 968 449,25 | -2 731 270,72 | -4 309 172,74 | -4 020 235,71 | 
| Total net cash flow | 1 491 706,43 | 1 637 074,05 | 1 242 878,23 | 3 028 990,96 | -2 844 088,32 | 
Financial data is automatically retrieved from the EKRS webpage of the Ministry of Justice.
                    