Financial statements Sławno Cerranova

Cash flow statement of Sławno Cerranova

Share capital:
Share capital:
10 000 000 PLN
Company deleted from KRS: 2025-04-17

Cash inflows of SŁAWNO CERRANOVA

Year
2022
2023
Net cash from operating expenses -105 641,72 -129 284,91
Net cash flow from investing activities 449 834,07 551 122,18
Net cash flow from financial activities -32,00 -40,00
Total net cash flow 344 160,35 421 797,27
Financial data is automatically retrieved from the EKRS webpage of the Ministry of Justice.