Estado de flujos de tesorería

IE code:
Language:   Spanish
Est. dedication time:
90 minutes
Type of publication:
Technical Note
Estado de flujos de tesorería


This multimedia tutorial deals with cash flow statements and the methods for calculating cash flow: direct and indirect. It includes explanations and examples that help students to understand basic concepts, and a self-assessment test to reinforce their knowledge of the theory.

There are also three case studies with Excel templates that offer immediate feedback to students, guiding them towards the solutions.