Estado de flujos de tesorería

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IE code
CG2-035-M
Language
Spanish
Format
Multimedia and interactive
Est. dedication time
90 minutes
Type of publication
Technical Note and tutorial

Description

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.

Estado de flujos de tesorería