Answer:
Net Operating Cash Flow = $286,285
Step-by-step explanation:
Total expected Sales = $808,133
Total Expected Expense = $394,925
Therefore cash revenue = $413,208
After this depreciation will be charged = $77,434
Net profit after depreciation = $335,774
Tax @ 37.8% = $126,923
Net profit after tax = $335,774 - $126,923 = $208,851
Add: Depreciation since non cash in nature = $77,434 + $208,851 = $286,285 = Net Operating Cash Flow