,

Preparing a Cash Flow Statement in Excel​

$2.00

This lesson teaches how to prepare a Cash Flow Statement in Excel using the indirect method, linking income, balance sheet, and cash movements. 

This video covers the following learning objectives:

  • Explain the purpose and structure of the Cash Flow Statement. 
  • Build a Cash Flow Statement in Excel using the indirect method. 
  • Reconcile net income with cash flow from operations. 
  • Show investing and financing activity impacts. 
  • Verify ending cash equals Balance Sheet cash. 

Reviews

There are no reviews yet.

Be the first to review “Preparing a Cash Flow Statement in Excel​”

Your email address will not be published. Required fields are marked *

Scroll to Top