Financial statements Szczecińskie Towarzystwo Budownictwa Społecznego
Cash inflows of SZCZECIŃSKIE TOWARZYSTWO BUDOWNICTWA SPOŁECZNEGO
Year
|
2022
|
2023
|
---|---|---|
Net cash from operating expenses | 23 624 232,82 | 28 273 932,23 |
Net cash flow from investing activities | -35 284 316,69 | -26 886 867,25 |
Net cash flow from financial activities | 19 953 202,52 | 26 936 371,49 |
Total net cash flow | 8 293 118,65 | 28 323 436,47 |
Financial data is automatically retrieved from the EKRS webpage of the Ministry of Justice.