| A cash flow statement is a financial report that shows
incoming and outgoing money during a particular period (often monthly or quarterly). It
does not include non-cash items such as depreciation. This makes it useful
for determining the short-term viability of a company, particularly its ability to pay bills.
People and groups interested in cash flow statements include:
- Accounting personnel, who need to know whether the organization will be able to cover payroll and other immediate
expenses
- Potential lenders/creditors, who want a clear picture of a company's ability to repay
- Potential investors who need to judge whether the company is financially
sound
- Potential employees or contractors who need to know whether the company will be able to afford compensation
Cash flow statements are particularly important for start-up companies with limited liquid assets. These companies are
vulnerable to devastating cash shortages, even when Accounts Receivable balances point to long-term financial health.
Statement of Cash Flows
Statement of Cash Flow for the period 1/1/xx to 1/1/xx+1
Cash flow from operations (CFO) +/- x x
Cash flow from investing (CFI) +/- y y
Cash flow from financing (CFF) +/- z z
Equals change in cash account = change of cash balance
+ Beginning of period cash + Beginning cash
= Ending cash balance = Ending cash
Operating activites
Investing activities
Financing activities
Preparation methods
- Direct Method
- Indirect Method
Examples
Citigroup Incorporated cash flow: ([1]
(http://finance.yahoo.com/q/cf?s=C&annual)) ([2]
(http://www.citigroup.com/citigroup/fin/ar.htm))
Cash Flow (In millions of dollars)
| Period Ending |
31-Dec-03 |
| Operating Activities, Cash Flows Provided By or Used In |
| Depreciation |
2,121 |
| Changes In
Liabilities |
31,571 |
| Other |
985 |
| Total Cash Flow From Operating Activities |
(14,854) |
| Operating Activities, Cash Flows Provided By or Used In |
| Capital Expenditures |
(2,354) |
| Investments |
(23,757) |
| Other Cashflows from Investing Activities |
(20,196) |
| Total Cash Flows From Investing Activities |
(46,307) |
| Investing Activities, Cash Flows Provided By or Used In |
| Dividends Paid |
5,773 |
| Issuance of long-term
debt |
67,054 |
| Payments and redemptions of long-term debt |
(45,800) |
| Change in deposits |
42,136 |
| Other |
(4,758) |
| Cash flows from financing activities of continuing operations |
64,405 |
| Effect Of Exchange Rate Changes |
| Effect of exchange rate changes on cash and cash equivalents |
579 |
| Change In Cash and Cash Equivalents |
| Change in cash and due from banks |
$3,823 |
|