Format of Cash Flow Statement Assignment Help

Posted on April 26, 2017

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Cash is one of the most important terms in business. Any misleading in cash can result in losses for the firm. Therefore any such kind of situation should be reported to the management in a properly appropriate and acceptable format. On one hand profit and losses in cash details us about the revenues and expenses in a firm, while on other hand cash statements provides the insight over cash inflow and outflow for the firm. In the following article we try to elaborate Format of Cash Flow Statement Assignment Help by our team of writers and professionals.
 

Cash flow statement

 
All the cash equivalents that have been resulted from operations, expenses, investments and financial activities, when reflected in financial statement are termed as cash flow statement. Any business’s plans and terms in the form of cash inflow and outflow for a provided specific span of time is reflected in cash flow statement. Cash flow statement restricts the business from showing a proper value of profit that it may earn but it can surely define the current position of the firm financially on a particular period of time. From our Format of Cash Flow Statement Assignment Help students can acquire different insights over the presentation of cash flow statements in various formats.
 

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Presentation of cash flow statement

     

  • There are numerous ways for a firm to generate cash but the statement of that cash flow can be reflected only in the following three sections:

 
1. Operating activities: This includes cash activities that are in relation with net income. Cash flow from the operating activities is known from the principle revenue generating works of the firm. Cash earned from sales and cash paid for the merchandise are considered as operating activities as revenues and expenses are added here in net income. Our organized Format of Cash Flow Statement Assignment Help team provides the following format for

     

  • calculating operating activities
  • Cash Flows from Operating Activities

 

Expenses before income and taxes (EBIT) $50
Depreciation Expense $20
Loss on Sale of Equipment $10
Gain on Sale of Land −$8
Increase in Accounts Receivable −$30
Decrease in Prepaid Expenses $25
Decrease in Accounts Payable −$52
Decrease in Accrued Expenses −$00
Net Cash Flow from Operating Activities $15
 
2. Investing activities: the assets that are noncurrent in nature are included in this cash activity. Long term investments, property or equipment, loans of the firm for other entities are considered under noncurrent assets. This shows the cash activities as the extent of expenditures that have been made by the firm for getting resources that can bring future income. Following is a format for calculating investing activities:
Sale of Equipment $200
Sale of Land $100
Purchase of Equipment −$40
Net Cash Flow from Investing Activities $260
 
3. Financing activities: the claims of future cash flow by givers of funds to the firm are predicted by the financing activities. It shows cash activities that are in relation with noncurrent liabilities such as principle amount of long term debts, stock sales and repurchases, and dividend payments. following format for calculating financing activities:
Cash Flows from Financing Activities
Payment of Dividends −$300
Payment of Bond Payable −$200
Net Cash Flow from Financing Activities −$500
Net Change in Cash $800
Beginning Cash Balance $ 300
Ending Cash Balance $1100
 

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