Acct& 202 cash flow lab09

Acct& 202 cash flow lab09 - Accnt 202 Problem147A...

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Accnt 202 Cash Flows Problem 14-7A Textbook, page 683 Objectives: To use Microsoft Excel to prepare a working paper for the Statement of Cash Flows using the Indirect Method. To further the learner's understanding of the Statement of Cash Flows. Procedures: Set up a worksheet for the Statement of Cash Flows. A framework  may be found on the attached page. Print the worksheet after completing the framework so you have a hard copy to look at. Use the Comparative Balance Sheet as your guideline for finding elements of cash flow. After completing the worksheet, prepare the Statement of Cash Flows using either the Statement form in your working papers to prepare a formal document or prepare using Excel. Hand in the printed Excel worksheet and the Statement of Cash Flows you have prepared.
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Weller Company Worksheet for Statement of Cash Flows For year ended December 31, 2008 debit balance accounts: 2007 debit credit 2008 Change Cash 20,000 35,000 15,000 Accounts Receivable 14,000
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Acct& 202 cash flow lab09 - Accnt 202 Problem147A...

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