2. The cash flow statement is only a "point in time" report, an analytical report of "monetary funds" items.
3. It is a statement that reflects the dynamic status of cash inflows and cash outflows of a company in a certain period.
General Tips for Supplementary Materials to the Cash Flow Statement 1. Quickly select specific columns
Select the table area, click the "Create from selected content" dialog box under the [Formula] tab, and select "First Row". After the settings are completed, open the name box in the upper left corner, and click the corresponding list to jump to the specified column.
2. Quick copy and paste
Select one or some data, and then move the cursor to the lower right corner of the selection box. When the cursor turns into a plus sign, drag it downwards, and it will intelligently fill in 1, 2, 3... for you.
3. Automatic line wrapping
After typing the text in the cell, find the "Automatically wrap" button on the toolbar and you can freely switch the text between wrapping and not wrapping.
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