Financial statements Śląskie Centrum Mario Car Sp. Z O.o.
Cash inflows of ŚLĄSKIE CENTRUM MARIO CAR SP. Z O.O.
Year
|
2020
|
2021
|
2022
|
2023
|
---|---|---|---|---|
Net cash from operating expenses | 948 985,28 | 137 475,48 | 1 583 210,40 | 6 585 947,19 |
Net cash flow from investing activities | 854 941,14 | -436 463,17 | -466 426,21 | 2 262 451,28 |
Net cash flow from financial activities | -2 455 443,05 | 842 670,89 | -1 398 918,55 | -6 195 160,60 |
Total net cash flow | -651 516,63 | 543 683,20 | -282 134,36 | 2 653 237,87 |
Financial data is automatically retrieved from the EKRS webpage of the Ministry of Justice.