Answer:
Cash generated by operating activities is $517,200.
Explanation:
Cash flows from operating activities
Net Income $470,000
Adjustments to reconcile net income to operating cash flow
Add: Depreciation Expense $87,000
Less: Gain on Sale of Machinery $-23,000 $64,000
Change in Operating Assets and Liabilities
Accounts receivable increase $-40,400
Prepaid expenses decrease $16,500
Accounts payable increase $10,000
Wages payable decrease $-2,900 $-16,800
Cash generated by operating activities $517,200