I need help completing a Cash Flow Statement Worksheet Template (Indirect Method)
Can you help me understand this Accounting question?
The cash flows worksheet in the “Corporate Final Project Financials” file is what needs to be completed. The actual cash flows statement is already done. I just need the last tab that says Cash Flows Statement to be completed. This is indirect method.
The Indirect Method File is an example of what needs to be done.
Note: Accounts need to be adjusted on the cash flows worksheet.