DISCUSSION BOARD: Before & after reformulation of financial statements.
Compare the results of regular Balance sheet, income statement and cash flow statement to Reformulated Balance sheet, income statement and cash flow of the 5 years data of your own firm, and report on the effect. Make a professional and technical report in a word document. Use a cover sheet and paste-insert copies of the both sets of data (not the actual spreadsheet). Post it in this forum as an attachment.
The response should include a reference list. Double-space, using Times New Roman 12 pnt font, one-inch margins, and APA style of writing and citations.