Cash Flow Statements: A Quick Guide

The Cash Flow Statement is one of the three primary financial statements. It outlines the sources & uses of cash by the company and has three main categories of cash flows: The Cash Flow Statement is an integral part of the company’s financial statements, alongside the Income Statement and the Balance Sheet. It adds more […]
Trial Balance Mapping for Financial Reports

Most ERP and accounting software solutions out there can generate decent standard reports. However, we often need more than that. One way to approach the preparation of more specific statements is to do it in Excel. We can export the data from our systems and prepare a template for the Excel statement, where we will […]