Prepare A Statement Of Cash Flows Using Both Direct And Indirect Methods

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    Statement of Cash Flow

    2012 Subject: Statement of Cash Flow CC: Learning Team A The Carpino Company is pleased to announce that the organization has experience an exciting first year. This memo and the attached cash flow statement summarize the important details of Carpino’s statement of cash flows for the period ending January 31, 2007. It will provide the shareholders reasons for the difference between net income and net cash used by operating, investing, and financing activities. The cash flow statements will also

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    Statement of Cash Flow

    1. Statement of Cash Flow Operating Activities Net Income: 253,584 Adjustments Non-cash adjustments: Depreciation 120,000 Change in Working Capital: Change in Accounts Receivable (245,840) Change in Inventories (429,140) Change in Accounts Payable 35,800 Change in Accruals 95,040 Net Cash Provided by Operating Activities (544,120) Investing Activities Cash Used to Acquire Fixed Assets (17,050) Change in Short Term Investments 51, 632 Net Cash Provided

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    Cash Flow

    CONCEPTS a. The statement of cash flows details the actual cash generated through a specific time period, usually for fiscal year ending 20XX, for example. The cash flow statement, specifically, identifies the actual cash flowing in and out of the company and reveals how a company spends its money. Conversely, the income statement is based on the accrual method of accounting and will contain revenue, for example, that has not been received or expenses that have not yet been paid. b. The

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    Direct and Indirect Cash Flows

    Brandy R. Hatcher Direct and Indirect Cash Flows July 3, 2013 The statement of direct and indirect cash flows are financial statements that companies prepare each month. Both methods report the cash flows differently but in the end each statement will result in the same amount. The operating activities provides a company with financial flexibility to invest in other parts of its business such as purchasing new equipment or paying off debt. Investing activities pertain to making capital

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    General Rules for Cash Flows (Indirect)

    GENERAL rules for the Statement of Cash Flows (Indirect Method) Cash provided by op. activities: Net Income (from Income Statement) + Depreciation, amortization, and/or depletion (From Income Statement) + Decrease in CURRENT Asset accounts other than cash (calculate the difference between this period and last period from Balance Sheet) - Increase in CURRENT Asset accounts other than cash (calculate the difference between this period and last period from Balance Sheet) + Increase in CURRENT

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    General Rule for Statement of Cash Flow

    activities. Dividends, if cash, is shown in the financing section. | GENERAL rules for the Statement of Cash Flows (Indirect Method) Cash provided by op. activities: Net Income (from Income Statement) + Depreciation, amortization, and/or depletion (From Income Statement) + Decrease in CURRENT Asset accounts other than cash (calculate the difference between this period and last period from Balance Sheet) - Increase in CURRENT Asset accounts other than cash (calculate the difference between

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    Statement of Cash Flows

    activities and focuses on the valuation of inventory. Topics include the items in inventory, costs assigned, costing methods used, and inventory estimation techniques. Chapter 4 focused on the final steps of the accounting process. We explained the importance of proper revenue and expense recognition and described the closing process. We also showed how to prepare financial statements from a work sheet. Larson−Wild−Chiappetta: Fundamental Accounting Principles, Seventeenth Edition 5. Accounting

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    Statement of Cash Flows

    Chapter: Statement of Cash Flows A statement of cash flows can provide financial users with cash-basis information about a company’s cash receipts and cash payments during a period. In the statement of cash flows, cash refers to cash and cash equivalents. Cash equivalents are defined as highly liquid investments that can be readily convert to cash with little risk of loss. Examples of cash equivalents are market funds, Treasury bills (T-bill), and commercial paper. Cash flows are primarily classified

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    Cash Flow Statement

    to analyze a cash flow statement Once you have constructed a cash flow statement, you will be much closer to understanding the financial position of your company. While a balance sheet and income statement are tools for management, without a cash flow statement they are limited barometers and may even be misleading. Operating Activities The cash flow statement will tell you where money came from and how it was used. When analyzing cash flow, the first place to look is the cash flow from operating

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    Cash Flow Statement

    Statement of cash flows Statement of cash flows helps users in at least 4 ways. • It can help users predict whether a firm will have positive future net cash flows • It can help users determine a firm’s need for external financing and its ability to pay debts and dividends. It gives users information about current cash flow, possible future cash needs, and borrowed cash that must be repaid in the future • The statement also helps users assess a firm’s overall financial health. The combination

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    Income Statement and Cash Flow

    income statement and statement of cash flows used to make business decisions? The income statement reflects the company’s financial performance by showing how much money was generated (revenue), how much was spent (expenses), and the difference (profit) between the two over a period of time. It is divided into the operating and non-operating sections. It can also tell how much money shareholders would receive if the company were to distribute all of its net earnings. The cash flow statement

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    Statement of Cash Flows

    information in the financial statements. The boards goal is to improve the usefulness of the financial information to the users of its’ financial statements and to help users in making their decision. The key financial statement that this paper will focus on is the statement of cash flows. One of the key benefits of the statement of cash flows is its’ comparability. This is due to the fact that although there are differences in accounting frameworks in the world cash flow statements are produced on almost

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    Acctng Ii Statement of Cash Flow

    Spreadsheet for Statement of Cash Flows For Year Ending December 31, 2010___ Analysis of Changes 31-Dec-09 Debit Credit 31-Dec-10 Balance sheet debit bal. accounts: Cash 4000 10000 3500 10500 Accounts receivable 9000 1000 8000 Merchandise inventory 18000 3000 21000 Equipment 15000 3500 500 18000 Balance sheet=credit bal. accounts Accum. Depreciation Equip 3000 1000 4000 Accounts payable 5000 2000 7000 Incomes taxes payable 2000 1000 1000 Common Stock

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    Ifrs Cash Flow

    Introduction Many argue that the cash flow statement is the most important of the financial statements. This actually quite sound of an argument considering that once a business, particularly small and medium enterprises (SMEs), runs out of cash, it usually winds up out of business soon after. One other reason that cash flow statements are important is the comparability they offer. Cash flow statements can be used to clearly assess the health of one business from another largely because across most

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    Direct and Indirect Cash Flows

    Direct and Indirect Cash Flows XACC/291 August 20, 2014 Direct and Indirect Cash Flows The direct cash flow method is the method that includes a large amount of detail and organization in comparison to the indirect cash flow method. Direct cash flow statements start out with the three sections that contain cash flow which are operational activities, investments, and financing activities. The operating activities section will include receipts and payments that are related to the day to day

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    Direct and Indirect Cash Flow

    Direct and Indirect Cash Flows Melita Bryant XACC/291 08/26/2014 Richard Fielden Direct and Indirect Cash Flows The statement of cash flows is important to a business, it highlights the way in which a company is receiving and spending its money. This process is also complicated by the way in which the business chooses to come to the end results. While the direct and indirect methods of preparing the statement of cash flows come to the same end result, their method is a little different

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    Digi's Cash Flow Statement

    Identify the format of Statement of Cash Flow use by the business (Direct or Indirect) for three consecutive years; the major cash inflow and cash outflow for the three different activities. Cash flow statements for the year ended 31 December 2009 | | | | | | | | | | | Group | | | 2009 | 2008 | 2007 | | Note | RM'000 | RM'000 | RM'000 | Cash flows from operating activities | | | | | Profit before tax | | 1,366,455 | 1,546,896 | 1,445,314 | Adjustment for: | | |

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    Explanation of Statement of Cash Flows

    Centenary College of NJ Explanation of Statement of Cash Flows GAC 515 Professor Frank Longo Sandra Rambert August 7, 2014 Statement of Cash Flows has two main purposes firstly, deliver data about a business’ cash receipts and payments. Secondly, statement of cash flows records changes as a product of operations, investments and financial activities during a period on a cash basis. (Weil, 2014) Information in a statement of cash flows can be useful to investors, creditors and any other

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    Direct and Indirect Cash Flows

    Direct and Indirect Cash Flows XAC/291 When a company has to revenue and expenses on its income statements, they often have the choice of using a direct or indirect presentation of cash flow. Direct presentation of cash flow begins with cash from sales and is deducted from the operating expenses to conclude to a net cash flow from expenses. Cash from operations come from customers, cash paid to suppliers, employees and other expenses. One of the reoccurring problems with the

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    Cash Flow

    4/8/2011 Cash Flows Scribd Upload a Document Search Books, Presentations, Business, Academics... Search Documents Explore Documents Books - Fiction Books - Non-fiction Health & Medicine Brochures/Catalogs Government Docs How-To Guides/Manuals Magazines/Newspapers Recipes/Menus School Work + all categories Featured Recent People Authors Students Researchers Publishers Government & Nonprofits Businesses Musicians Artists & Designers Teachers + all categories Most Followed Popular

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    Direct and Indirect Cash Flows

    Direct and Indirect Cash Flows Companies will typically prepare a cash flow statement every month to determine when it can be expected that an inflow of cash will begin. Officially, these are known as the statement of cash flows. An accounting department can choose from two different methods to prepare the cash flow statements, these are the direct and indirect methods. Each of these methods will approach the reporting of cash flow from different angles, but each method will result if the same

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    Cash Flow Statement

    It is said that the aim of cash flow reporting is to explore ways in which the underlying liquidity of a reporting entity can be revealed in accounting terms. Profit is regarded as an indicator of financial success, but, as anyone running a business will tell you, cash is king. The measurement of profit is usually based on a mixture of factual transactions and unavoidable subjective accounting judgments. “The stock market prefers the fantasy of smooth growth to the reality of fluctuating

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    Direct and Indirect Cash Flows

    Direct & Indirect Cash Flows The cash flow statement is an important financial document that gives an in depth view of a company’s finances. It specifically focuses on the company’s cash flow into and out of the business. There are two methods for preparing and presenting the cash flow statement, the direct method and the indirect method. The two methods of reporting affect only the presentation of the operating section. The remaining two sections (the investing and financing sections) remain

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    Cash Flow Statements

    its statement of cash flows, you note that over the last three years a firm has consistently reported negative cash flow from operating activities, positive cash flow from investing activities, and negative cash flow from financing activities. What does this combination of cash flows suggest to you about the firm? Is there any additional information that you would like to see? If so, what? When a company spends more than it receives, it is said to have a ‘negative’ cash flow. Negative cash flows

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    Statement of Cash Flow

    9-193-103 Rev. November 3, 1998 Statements of Cash Flows: Three Examples John Stacey, a sales engineer for Aldhus Corporation, was worried. A flight delay had caused him to miss last week’s accounting class in the evening MBA program in which he had enrolled at the suggestion of the personnel director at Aldhus, a growing manufacturer of computer peripherals. The class he had missed had been devoted to a lecture and discussion of the statement of cash flows, and he was sure the material he had

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    Direct and Indirect Cash Flow Method

    Direct Vs. Indirect Cash Flow Method A company reports revenues and expenses on its income statement. Since most companies use accrual accounting, the income statement reveals little about cash flowing into and out of the business. To provide an understanding of cash flows, companies turn to the cash flow statement, which includes a section that restates income on a cash basis. You can choose between the direct and indirect methods to report operational cash flow. Cash Flow Statement The statement

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    Cash Flow Statement

    In financial accounting, a cash flow statement, also known as statement of cash flows or funds flow statement,[1] is a financial statement that shows how changes in balance sheet accounts and income affect cash and cash equivalents, and breaks the analysis down to operating, investing, and financing activities. Essentially, the cash flow statement is concerned with the flow of cash in and cash out of the business. The statement captures both the current operating results and the accompanying changes

    Words: 2959 - Pages: 12

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    Direct and Indirect Cash Flows

    Direct and Indirect Cash Flows A company reports revenues and expenses on an income statement which reveals little about cash flowing into and out of the business. Because of the lack of cash flow information, companies turn to a cash flow statement that has a section to restate income on a cash basis. There are two choices to report operational cash, direct and indirect methods. When the direct method is used, cash flows are listed in the operations of the cash flow statement. These cash flows

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    Grania Company Cash Flow Statement

    Question P12-5 GRANIA COMPANY Statement of Cash Flow-Indirect Method ------------------------------------------------- For the year ended December 31, 2007 $ $ Cash flows from operating expenses |   |   |   | net income |   |   | 230,000 | Adjustments to reconcile net income to Net cash  |   |   |   | provided by op activities: |   |   |   |

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    Chapter 13 Statement of Cash Flow Exercises

    CHAPTER 13 STATEMENT OF CASH FLOWS OVERVIEW OF EXERCISES, PROBLEMS, CASES, AND INTERNET ASSIGNMENT Exercises 13–1 13–2 13–3 13–4 13–5 13–6 13–7 13–8 *13–9 *13–10 13–11 Problems 13–1 13–2 13–3 13–4 13–5 13–6 13–7 *13–8 Topic Using a cash flow statement Using a cash flow statement Using noncash accounts to compute cash flows Relationship between accrual and cash flows Accrual versus cash flows Investing activities and interest revenue Format of a cash flow statement Cash effects of business strategies

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    Cash Flow Statement

    od. BOYUP PTY LTD Cash flow statement for the year ended 30 June 2009 Cash flows from operating activities Cash receipts from customers $174 000 Cash paid to suppliers and employees (148 000) Net cash from operating activities $26 000 Cash flows from investing activities Proceeds from sale of property 32 000 Proceeds from sale of equipment 4 000 Payment for equipment (24 000) Net cash from investing activities 12 000 Cash flows from financing activities Proceeds from capital

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    Statement of Cash Flows

    Reformulated Cash Flow Statement Throughout the reformulation of Procter and Gamble’s Statement of Cash Flows, multiple adjustments or assumptions had to be made along the way. One of the first of these assumptions was made regarding the net cash interest. The cash interest payments are disclosed in the supplemental disclosure at the foot of the cash flow statement for $686 million, and were also disclosed in the notes. However, the cash interest receipts were not reported and the accrual number

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    Statement of Cash Flows

    Chapter 5: Statement of Cash Flows Introduction Objectives of the SCF •Companies are required to include statement of cash flows (SCF) as part of their F/S. •Historical CF are often used as indicator of amount, timing, and uncertainty of future CF. •The objective of the SCF is to disclose the historical cash flows of the enterprise during the reporting period for both feedback and predictive purposes. Classification and Organization The SCF is classified on the basis of the type of cash flow:

    Words: 1644 - Pages: 7

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    Statement of Cash Flows

    Statement of Cash Flows It was the fall of 2011 and I was reporting sales close to $10,000 for the month of November, thanks in part, to the holiday rush. On the surface, it was pretty good for a first-year online “micro” business selling custom tableware and home decor, run by one person on a part-time basis. As I was caught up on the selling-to-customers aspect of my business, I neglected to pay attention to the inflows and outflows of cash until it was time to file tax returns the following

    Words: 975 - Pages: 4

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    Fasb’s and Iasb’s Approach for Statement of Cash Flows

    Approach for Statement of Cash Flows Over the years, the FASB’s and the IASB’s efforts to converge accounting standards have been a major development in the area of accounting. The convergence of accounting standards between the two accounting organizations has been successful in some areas while the convergence in other areas emphasizes the differences between the two financial reporting standards. U.S. GAAP (ASC 230) and IFRS (IAS 7) are the standards for presenting the Statement of Cash flows under

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    Method of Optimization Cash Flow

    TERM PAPER “Methods of optimization of cash flows of the company” Done by: Klimov Kirill 4rt year student, Finance, 1202 Checked by: d.ec.sc.,Yelubayeva Zh.M. Almaty, 2015 CONTENT INTRODUCTION 3 1. FINANCIAL AND ECONOMIC ESSENCE OF CASH 4 1.1 Definition and classification of cash flows 4 2. OPTIMIZATION OF CASH FLOWS ON THE EXAMPLE OF THE COMPANY LLP “BASHLAK

    Words: 11703 - Pages: 47

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    Statement of Cash Flows

    warehouses for which the settlement date is indeterminate. Literature Statement 143 Paragraph 35 of FASB Concepts Statement NO. 6, Elements of Financial Statements, Characteristics of a liability 1. It embodies a duty or responsibility 2. There is little or no discretion to avoid a future transfer or use of assets to satisfy the obligation, and 3. The obligating event has already occurred. In June 2001 the FASB issued a Statement No. 143, Accounting for Asset Retirement Obligations requiring entities

    Words: 1864 - Pages: 8

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    Cash Flow Statements

    STATEMENT OF CASH FLOWS Cash flows are critical to a company’s success because among other things they measure the ability of a business to generate cash internally. Positive cash flows allow a company to meet its obligations with creditors and suppliers, take advantage of investment opportunities, replace assets, negotiate better pricing in purchases, and pay dividends; all these without the need of incurring in external financing. Net cash flow needs to be distinguished from Net Income, which

    Words: 1673 - Pages: 7

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    Scan Method for Cash Flow Statement

    This should be a very short assignment.  Definitely less than 8 hours.  Perform the 8 step scan method for this cash flow statement.  Comment on the sign, direction, and whether the trend is good or bad for the corporation.  Do not start this assignment before consumption of coffee and donuts on the weekend. Sources of cash Uses of cash Net income purchase of capital spending Depreciation expense dividends Change in A/R

    Words: 257 - Pages: 2

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    Cash Flows

    According to “Financial Accounting, sixth edition”, cash flow “permits a company to expand operations, replace worn assets, take advantage of new investment opportunities, and pay dividends to its owners”. Analyzing cash flow enables one to understand what happened to cash and cash equivalents throughout a specific period – how to the beginning balance of cash become the ending balance. The statement classifies cash flow in three different categories; operating activities, investing activities,

    Words: 1340 - Pages: 6

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    Direct and Indirect Cash Flows

    Direct and Indirect Cash Flows The statement of cash flows is one of the components of a company’s set of financial statements that show the changes in the balance sheet accounts and income affect cash and cash equivalents, and breaks the analysis down to operating, investing and financing activities (Accountingtools, 2016). Companies must adjust the effect of the use of accrual accounting to determine cash flows. In order to prepare this statement, the information needed usually comes from three

    Words: 414 - Pages: 2

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    Chapter23 Cash Flow

    the Statement of Cash Flows? Cash received from Customers, Interest & Dividends, Trading Securities Cash paid to Vendors, Suppliers, Interest, Taxes, Trading Securities  What items are included in investing activities on a Statement of Cash Flows? Cash received: Sale of PP&E, Sale of Investments, Loan Principle Cash paid: Loans, Acquisitions, AFS or HTM Securities, Taxes, Trading Securities  What items are included in Financing Activities in a Statement of Cash Flows? Cash received:

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    Direct and Indirect Cash Flows

    Direct and Indirect Cash Flows Jayla West ACC291 February 21, 2016 Debra Peterson Direct and Indirect Cash Flows The direct method for creating a cash flow statement reports major classes of gross cash receipts and payments. Under IAS 7, dividends received may be reported under operating activities or under investing activities. If taxes paid are directly linked to operating activities, they are reported under operating activities; if the taxes are directly linked

    Words: 488 - Pages: 2

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    Cash Flow Methods Acc230 Essay

    L 11 ESSAY ACC 230 - Cash Flow Methods By definition, the statement of cash flows is, “a financial statement that shows the sources and all of the uses of cash for an accounting period.” (Kemp & Waybright, 2013; 2010, p. 586) The statement of cash flows is also called the cash flow statement. Cash is the most important life line of a business. Without cash, the business cannot successfully maintain stability. Furthermore, without knowing where the cash is coming from, and going to, investors

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    Understanding the Statement of Cash Flows

    Interpretation of Statement of Cash Flows Cash Flows from Operating Activities Net Income/Loss: Cash flow from operating activities is positively affected by accrual profit and affected negatively by losses. “Add-backs” to Net Income: Depreciation and Amortization: Expenses from depreciation and amortization are added back to net income when calculating operating cash flow. Such expenses are classified as “non-cash items or expenses” because companies do not “cut checks” for these expenses

    Words: 1918 - Pages: 8

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    Cash Flow Statements

    Date: November 18, 2010 Re: Cash Flows The Carpino Company’s Accounting Team is pleased to announce that the organization has experienced a very productive and exciting first year. This memo and the attached cash flow statement summarize the important details of Carpino’s statement of cash flows for the period ending January 31, 2007. The information from this financial statement will provide Carpino’s shareholders reasons for the difference between net income and net cash used by operating, investing

    Words: 377 - Pages: 2

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    Statement of Cash Flows

    Statement of Cash Flows Paper ”What is the purpose of the statement of cash flows? What information does it provide”(Kieso, Weygandt, & Warfield, p. 1253)? Companies provide four statements to abide by the Generally Accepted Accounting Principles (GAAP). These financial statements are the income statement, equity statement, the balance statement, and the statement of cash flows. Each statement provides different types of information necessary to make a knowledgeable decision about a investing

    Words: 784 - Pages: 4

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    Statement of Cash Flows

    Statement of Cash Flows Statement of Cash Flows Accounting is the major means of organizing and summarizing information regarding economic activities. The information provided by the accounting practices through financial reporting helps decision makers make appropriate business decisions. The statement of cash flows is one of the three primary financial reports that companies should include in external financial reports to its users according to the generally accepted accounting principles

    Words: 765 - Pages: 4

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    Statement of Cash Flows

    CHAPTER 23 Statement of Cash Flows EXERCISE 23-1 E23-1 (Classification of Transactions) Springsteen Co. had the following activity in its most recent year of operations. (a) Pension expense exceeds amount funded. (b) Redemption of bonds payable. (c) Sale of building at book value. (d) Depreciation. (e) Exchange of equipment for furniture. (f) Issuance of ordinary shares. (g) Amortization of intangible assets. (h) Purchase of treasury shares. (i) Issuance of bonds for land. (k) Increase

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    Shareholder Memo - Statement of Cash Flows

    positive operating cash flow, and a healthy balance sheet. Our 2011 financials are presented for your reference following this memo. Fiscal year 2011 produced earnings in excess of $2.23 million. The rate of return on equity was 16.4% this year, and we feel confident we can continue to provide shareholders with a return that makes investment in our company a sound choice. Cash generated from operations in 2011 was $1.5 million. The current cash debt coverage ratio of 0.20 and cash debt coverage

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