Project Outline
You will find the company's data needed in the Excel file on the portal (MYGUST). Use the data provided to prepare the statement of cash flows (using the indirect method for the operation activities section).
You need to prepare the statement of cash flows using excel, excel skills such as reference and formulas. (All calculations are supposed to be done using formulas). Please prepare the Statement in good professional format, as if you are submitting it to the top management.
You need to submit:
1. a soft copy on the portal ( upload the file on the portal )
2. a hard (printed) copy of you statement of cash flows ( showing the amounts)
3. a hard (printed) copy of you statement of cash flows ( showing the formulas) - to show the formulas click on show formulas from formulas tab.
Please make sure you write your name, GUST ID, and section on the hard copies.
Attachment:- Project_Spring_2016-2017.rar