Answer:
$363,000
Step-by-step explanation:
The computation of net cash provided by operating activities is shown below:-
Net Income $300,000
Add: Depreciation $25,000
Add: Loss on sale of Building $12,000
Add: Decrease in Accounts Receivable $28,000
Add: Unearned revenue increased $21,000
Less: Increase in prepaid expenses ($9,000)
Less: Wages payable decreased ($14,000)
Total Cash Flow from Operating Activities $363,000