Laserfiche WebLink
<br />SOUTHSIDE COMMUNITY CENTER <br />STATEMENT OF CASH FLOWS (Continued) <br />For the Years Ended September 30, 2000 and 1999 <br /> <br />2000 1999 <br /> <br />Reconciliation of net income to net cash <br />provided by operating activities <br />Net Income <br />Adjustments to reconcile net income to net cash <br />provided by operating activities: <br />Depreciation and amortization <br />Increase (decrease) in accounts payable <br />Increase (decrease) in accrued liabilities <br />(Increase) decrease in accounts receivable <br />Administration fees included with <br />long-term loans receivable <br />Total adjustments <br /> <br />Net cash provided (used) by operating activities <br /> <br />$(50,291) $(86,783) <br /> <br />52,692 53,882 <br />(6,535) 7,378 <br />(10) (882) <br />0 0 <br />0 (15,000) <br />46,147 45,378 <br />$ (4,144) $(41,405) <br /> <br />The accompanying notes are an integral part of these financial statements. <br /> <br />"';" <br />