PEICMC Annual Report 2026
PRINCE EDWARD ISLAND CANNABIS MANAGEMENT CORPORATION Statement of Cash Flow Year Ended March 31, 2026
2026
2025
Cash flows from operating activities Net income Items not affecting cash:
$2,454,995
$2,644,182
317,313 195,595
Amortization of property and equipment Amortization of right-of-use assets
304,798 195,595
2,967,903
3,144,575
Changes in non-cash working capital: Accounts receivable Inventory Prepaid expense
3,743 177,608 (3,847) 946,679 4,730
(7,996) (816,734) 2,482 (572,518) 4,944
Accounts payable and accrued liabilities Deferred revenue
1,128,913
(1,389,822)
4,096,816
1,754,753
Cash flows from investing activities
(125,888)
Purchase of property and equipment
(44,976)
Cash flows from financing activities Advances from the Province of Prince Edward Island Annual income distribution to Province of Prince Edward Island Repayment of lease liabilities
(553,443) (2,454,995) (180,508)
(45,567) (2,644,182) (187,110)
(3,188,946)
(2,876,859)
781,982 2,017,293 2,799,275
Increase (decrease) in cash Cash - beginning of year Cash - end of year
(1,167,082) 2,799,275 $1,632,193
Cash consists of: Cash on hand
$44,782 2,754,493
$44,782 1,587,411
Cash in financial institutions
$2,799,275
$1,632,193
Cash flow supplementary information Interest received Interest paid
$100,718 $58,292
$52,724 $51,690
Notes 1 - 18 are an integral part of these financial statements
PEICMC 2025-2026 Annual Report | 31
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