The Cash flows from operating activities is $148,000.
Statement of cash flow (Indirect method)
Cash-flow from Operating activities
Particulars Amount Amount
Net Income $173,000
Adjustments to reconcile net income
Add: Accounts receivable decreased $67,000
Less: Prepaid expenses increased ($15,000)
Inventories increased ($27,000) $25,000
Cash flows from operating activities $148,000
Therefore, the Cash flows from operating activities is $148,000.
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