Consolidated Cash Flow Statement
Track cash inflows and outflows across multiple business units for accurate financial reporting.
This template presents a comprehensive consolidated cash flow statement showing cash movements across your entire organization for comparative periods. It captures operating, investing, and financing activities in a professional format suitable for financial reporting and stakeholder communication.
Ideal for multi-division companies, holding companies, or consolidated entities needing to reconcile cash positions across subsidiaries. The comparative year structure helps identify trends and cash flow changes, supporting financial analysis and audit requirements.
What's inside
- Consolidated cash flow from operations
- Investing activities tracking
- Financing activities section
- Comparative period columns
- Professional financial statement formatting
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.xlsx · 1 sheet · included with lifetime access
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