Hi I have googled everywhere for an accounting spreadsheet that can
A- calculate the statement of cash flows automatically from a data entry input from the balance sheet and Profit and loss (income statement), which will take into account of depreciation and non-cash items,
B - Split the cashflows between operating, investing and financing.
C - Have a reconciliation from profit after tax to the operating cashflow
Does anyone know where I can find such a spreadsheet. Ideally, it is IFRS compliant ie cater for comprehensive income items and is as detailed as can be.
Please let me know if you can find one.
A- calculate the statement of cash flows automatically from a data entry input from the balance sheet and Profit and loss (income statement), which will take into account of depreciation and non-cash items,
B - Split the cashflows between operating, investing and financing.
C - Have a reconciliation from profit after tax to the operating cashflow
Does anyone know where I can find such a spreadsheet. Ideally, it is IFRS compliant ie cater for comprehensive income items and is as detailed as can be.
Please let me know if you can find one.