How are the investing and financing activities sections of the statement of cash flows prepared?
What will be an ideal response?
Cash flows from investing and financing activities are determined by examining each of the noncurrent balance sheet accounts. For example, a net increase in store equipment would be interpreted as a net cash outflow for investing activities. A net increase in the treasury stock account would mean that a corporation has spent cash to purchase treasury stock. Each of the inflows or outflows is categorized as either an investing or financing activity. Then the net cash inflows or outflows from investing and financing activities are determined.
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In a typical agreement, the property manager would be authorized to do all of the following except:
a. enter in to a 2 year lease verbally b. hire and fire new employees c. collect rents every month d. furnish owner with a monthly statement of income and expenditures
Which of the following is most likely true about international research?
A) The availability of good secondary data makes international research rewarding. B) The costs of conducting international research are much higher than the benefits offered. C) Technology enables customer responses to be translated quickly and accurately. D) Costly international research is necessary if firms want to succeed in foreign markets. E) Interpretations of data are fairly consistent among different countries.