Financial statements Posterior

Cash flow statement of Posterior

Company age:
Age:
24 y. 1 m. 27 d.
Share capital:
Share capital:
1 000 000 PLN

Cash inflows of POSTERIOR

Year
2018
2019
2020
2021
2022
Net cash from operating expenses 43 099,25 -83 840,01 881 644,59 280 308,02 -3 707,17
Net cash flow from investing activities 217 699,49 -17 495,12 -568 981,26 -154 467,99 -339 632,19
Net cash flow from financial activities -181 677,59 -64 230,79 20 418,03 -138 065,99 58 682,96
Total net cash flow 79 121,15 -165 565,92 333 081,36 -12 225,96 -284 656,40
Financial data is automatically retrieved from the EKRS webpage of the Ministry of Justice.