Create your Cash flow statement from Balance Sheet Template from scratch

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Here's how it works

01. Start with a blank Cash flow statement from Balance Sheet Template
Open the blank document in the editor, set the document view, and add extra pages if applicable.
02. Add and configure fillable fields
Use the top toolbar to insert fields like text and signature boxes, radio buttons, checkboxes, and more. Assign users to fields.
03. Distribute your form
Share your Cash flow statement from Balance Sheet Template in seconds via email or a link. You can also download it, export it, or print it out.

Craft Cash flow statement from Balance Sheet Template from scratch with these detailed guidelines

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Step 1: Start off by launching DocHub.

Begin by creating a free DocHub account using any available sign-up method. Simply log in if you already have one.

Step 2: Register for a 30-day free trial.

Try out the complete collection of DocHub's pro features by registering for a free 30-day trial of the Pro plan and proceed to build your Cash flow statement from Balance Sheet Template.

Step 3: Start with a new empty doc.

In your dashboard, choose the New Document button > scroll down and choose to Create Blank Document. You will be taken to the editor.

Step 4: Organize the document’s layout.

Utilize the Page Controls icon marked by the arrow to toggle between two page views and layouts for more flexibility.

Step 5: Begin by adding fields to create the dynamic Cash flow statement from Balance Sheet Template.

Navigate through the top toolbar to add document fields. Insert and configure text boxes, the signature block (if applicable), insert images, etc.

Step 6: Prepare and customize the incorporated fields.

Organize the fillable areas you incorporated based on your preferred layout. Adjust the size, font, and alignment to ensure the form is straightforward and professional.

Step 7: Finalize and share your template.

Save the completed copy in DocHub or in platforms like Google Drive or Dropbox, or create a new Cash flow statement from Balance Sheet Template. Send out your form via email or get a public link to reach more people.

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Four Steps to Prepare a Cash Flow Statement Start with the Opening Balance. Calculate the Cash Coming in (Sources of Cash) Determine the Cash Going Out (Uses of Cash) Subtract Uses of Cash (Step 3) from your Cash Balance (sum of Steps 1 and 2)
To calculate net cash flow, simply subtract the total cash outflow by the total cash inflow. Net Cash-Flow = Total Cash Inflows Total Cash Outflows. Net Cash Flow = Operating Cash Flow + Cash Flow from Financial Activities (Net) + Cash Flow from Investing Activities (Net)
How to Prepare a Cash Flow Statement Step 1: Remember the Interconnectivity Between PL and Balance Sheet. Step 2: The Cash Account Can Be Expressed as a Sum and Subtraction of All Other Accounts. Step 3: Break Down and Rearrange the Accounts. Step 4: Convert the Rearranged Balance Sheet Into a Cash Flow Statement.
How to prepare a fund flow statement? STEP 1: Collect financial data. STEP 2: Identify changes in working capital. STEP 3: Classify sources and uses of funds. STEP 4: Calculate net changes in working capital. STEP 5: Determine long-term sources and uses. STEP 6: Consider additional income.
To prepare a cash flow statement, follow these six steps: List the opening balance. Input cash flow related to operating activities. Input cash flow related to investing activities. Total cash flow related to financing activities. Determine the total change in cash. Calculate the cash at end of year.
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Related Q&A to Cash flow statement from Balance Sheet Template

Follow these steps to prepare a statement of cash flows: Choose a time frame and method to use. Collect basic data and documents. Calculate balance sheet changes and add them to the statement of cash flows. Adjust all noncash expenses and transactions. Complete the three sections of the statement.

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