Cash Flow Statement

FY 2025 · 2025-01-012025-12-31 · direct method

Operating Activities
6.15M SAR
Investing Activities
7.96M SAR
Net Change in Cash
14.11M SAR
Operating Activities
Rental Income14 txns7,793,094 SAR
Family Non-Payable Expenses4 txns(1,417,710 SAR)
Employee Expenses6 txns(124,000 SAR)
Property Expenses1 txn(100,000 SAR)
Net from Operating Activities6,151,384 SAR
Investing Activities
Real Estate Sale2 txns12,503,646 SAR
Investment2 txns(3,875,912 SAR)
Real Estate Purchase1 txn(1,017,710 SAR)
Fixed Deposit14 txns246,919 SAR
Depreciable Asset Sale1 txn200,000 SAR
Depreciable Asset Purchase1 txn(100,000 SAR)
Net from Investing Activities7,956,944 SAR
Net Change in Cash & Cash Equivalents14,108,328 SAR