Statement of Cash Flow

A Statement of Cash Flow is an accounting document that tracks the incoming and outgoing cash and cash equivalents from a business. It helps identify the availability of liquid funds with the organization in a particular accounting period. Thus, it accounts for a company's financial standing and reveals the corporate efficiency in managing its cash and liquidity position.

Statement of Cash Flow

Besides, statement of cash flow equation also classifies business activities into operational, investing, and financing activities. This differentiation helps identify a company's profitability arising from each activity. It also enables stakeholders like investors, shareholders, and creditors to assess the extent of risk and return expected from a business.

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