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Understanding Cash Flow Statements by SHENU is a document available to read on EtoBox.

The cash flow statement summarizes the amount of cash entering and leaving a company through operating, investing, and financing activities. It shows how well a company generates and manages cash. There are two methods for calculating cash flow - the direct method itemizes cash receipts and payments, while the indirect method adjusts net income for non-cash items. Key components include operating cash flow from business operations, investing cash flow from asset purchases and sales, and financing cash flow

Author
SHENU
Language
EN