You'll construct a single year cash flow statement using advanced balance sheet and income statement analysis, then reconcile the projected cash flows back to the balance sheet to ensure proper balancing.Concepts like operating, investing, financing activities, stock holder's equity, net income, retained earnings and changes in working capital are significant elements of building a cash flow statement.
Practice Cash Flow Statement Forecast 2 with interactive Excel modeling exercises in our Financial Statement Modeling module.
This hands-on modeling exercise helps you master Cash Flow Statement Forecast 2 through real-world Excel practice and financial modeling techniques.