Statement of Cash Flows: Preparation and Analysis Webinar

Jun 17
11:30 - 7:30 p.m.

Online

8-A&A
CPE Credits

  • Recognize how to prepare a cash flow statement.
  • Determine how to differentiate between operating, investing and financing cash flows.
  • Identify issues to comply with cash flow statement reporting requirements included in GAAP Codification Topic No. 230.
  • Determine how to effectively analyze the cash flow statement when assessing entity performance.

Highlights

The statement of cash flows is a critical component of a company's set of financial statements. Cover the proper preparation of the statement, including analysis techniques.

Learn about how financial statements enable CPAs and financial professionals to see the cash inflows and outflows of a business relating to operating, investing and financing activities, and evaluation of liquidity and quality of earnings.

Case studies and sample documentation reinforce major concepts and help participants apply analysis techniques discussed.

Materials provided as an eBook.

Registration

PICPA Member: $245
Nonmember: $345

More Information

Course No. 4192284B

Level: Intermediate

Prerequisites: General knowledge in Excel.

Speaker(s)

Summer Taylor

California Society of CPAs