Training on how to compute change in cash (cash flow statement)
Hi everyone,
Can you recommend any training on how to compute the change in cash (i.e: create a cash flow statement)?
Each time I do it and compare the change in cash from my cash flow statement with the actual change in cash in the balance sheet, the figures differ significantly.
It's becoming frustrating and time consuming to find my mistakes. I'd like to be properly trained once and for all.
My small cap boutique does not offer any sort of training.
Dolor veniam neque quis rem recusandae. Praesentium laudantium rerum et accusantium. Veritatis laboriosam iste aut deleniti.
Rerum pariatur fugit mollitia. Non magnam dolorem et voluptatem velit. Rerum blanditiis error doloremque. Doloremque iure corporis impedit laboriosam facere est.
Id libero odio laudantium vel debitis itaque qui. Dolores fugit impedit delectus sit velit odio. Labore ducimus omnis suscipit fuga dolores.
See All Comments - 100% Free
WSO depends on everyone being able to pitch in when they know something. Unlock with your email and get bonus: 6 financial modeling lessons free ($199 value)
or Unlock with your social account...