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Selge Construction Company, Inc. <br />Notes to Financial Statements <br />Note 13. Cash Flows Information <br />Supplemental information relative to the statements of cash flows for the years ended February 28, 2022 <br />and 2021, is as follows: <br />Supplemental schedule of noncash investing <br />and financing activities: <br />Purchase of equipment in exchange for financing contract <br />Supplemental disclosures of cash flow information: <br />Cash payments for interest <br />15 <br />2022 2021 <br />$ 122,835 $ 695.430 <br />$ 34,600 $ 38.300 <br />