The Cash Flow Statement Template is a vital tool for any business, simplifying the creation of this key financial statement. Designed to track operating, investing, and financing activities, this Excel template ensures that you can easily input and manage your cash receipts and payments for each month.
Operating activities cover cash generated from core business operations, such as sales, production, and services, along with routine expenses like payroll and rent.
Investing activities reflect transactions involving the acquisition or sale of long-term assets, including equipment, securities, and loans.
Financing activities focus on cash related to borrowing, repaying loans, and issuing or redeeming equity. It calculates "Net Cash Flow" by comparing total proceeds against cash outlays.
Dashboard The template's dashboard visually presents your cash flow trends using intuitive charts, offering a clear and comprehensive view of the company's financial health. This tool is perfect for showcasing both the structure and movement of cash inflows and outflows.
This easy-to-use template is a must for businesses looking to streamline their financial reporting.
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Source: Best Practices in Cash Flow Management Excel: Cash Flow Statement Template Excel (XLSX) Spreadsheet, Improve Your Excel
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