Answer: The cash flows from operating activities is $254,094.
Explanation: Please see below the calculation of the company's cash flows from operating activitities.
Company
Statement of cash flows
Net income $265,307
Add Depreciation expense 27,888
Add Loss on the sale of equipment 7,873
Increase in accounts receivable (17,637)
Increase in inventory (28,123)
Decrease in prepaid expenses 2,852
Decrease in accounts payable (4,066)
Cash flows from operating activities $254,094