Cash Flow Statement (Indirect Method) Cheat Sheet
Cash Flow Statement (Indirect Method) Cheat Sheet
Cash Flow Statement (Indirect Method) Cheat Sheet
Learn how to prepare and understand the Cash Flow Statement using the Indirect Method with this one-page, printable cheat sheet. This guide shows you how to start with net profit (or loss) and adjust for non-cash items and movements in working capital to calculate net cash flow from operating activities.
What is in the Cheat Sheet?
You’ll learn about:
What the Cash Flow Statement is and how it summarises a business’s cash inflows and outflows over time.
How the Indirect Method adjusts net profit for non-cash items and changes in working capital.
Cash flow categories: Operating, Investing and Financing Activities.
How to reconcile opening and closing cash balances.
The relationship between the Cash Flow Statement, Balance Sheet and Income Statement.
Perfect for accounting students, bookkeepers and business owners who want a clear, visual guide to preparing the Cash Flow Statement using the Indirect Method.
How will I receive my Cheat Sheet?
The Cash Flow Statement (Indirect Method) Cheat Sheet is a digital product. After completing your purchase you'll receive an email. It will contain a link to download a pdf file.
If you run into any issues then please contact me here. I’ll get back to you as soon as possible.
All prices are in USD.
This pdf was carefully put together to summarize all of the key information from my Cash Flow Statement (Direct Method) video on one page.
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In this tutorial, you’ll find out how to prepare and read a Cash Flow Statement using the Indirect Method.