An interactive Excel Worksheet designed to highlight key financial information on an organisations Balance Sheet, Income Statement & Cashflow Statement across two reporting periods.
Financial Statement Analysis Tool
$575.00Price
The Excel Worksheet includes:
1) Data input
2) Balance Sheet review
- Going Concern
- Solvency
- Gearing
- Significance of Intangible Assets
3) Income Statement review
- Total Revenue
- Gross Profit
- Total Expenses
- Net Profit After Tax
4) Statement of Cash Flows review
- Cash at Bank
- Cash Flow from Operating Activities
- Cash Flow from Investing Activities
- Cash Flow from Financing Activities

