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Cash Flow Statement Format V5

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0% found this document useful (0 votes)
16 views

Cash Flow Statement Format V5

Uploaded by

deepakrajdevan01
Copyright
© © All Rights Reserved
We take content rights seriously. If you suspect this is your content, claim it here.
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AS-3 Cash Flow Statement

Simple format
Cash Flow Statement of ......... For the year ended ......
Rs. Rs.
Cash flow from/ (used in) operating activities Xxx
Cash flow from/ (used in) investing activities Xxx
Cash flow from/(used in) financing activities Xxx
Net income / (decrease) in cash and cash equivalents Xxx
Cash and cash equivalents as at the beginning Xxx
Cash and cash equivalents as at the end Xxx

Detailed format
Cash flow Statement (indirect method) of ......... For the year ended

1. Cash Flow from operating activities Rs. Rs.

(a) Net profit after tax, dividend, reserve and Extraordinary


items or difference between opening and closing balance
of profit or loss a/c Xxx
Add: Transfer to reserve Xxx
Less: Transfer from reserve (xxx)
Add: Dividend declared and debited to P& L A/c Xxx
Add: Provision for tax made during the current year Xxx
Less: Refund of tax, if any, credited to P & L A/c (xxx)
Add: Interim dividend paid during the year Xxx
Less: Extraordinary items, if any, credited to P & L A/c (xxx)
Add: Extraordinary items, if any, debited to P & L A/c Xxx

(b) Net profit before tax, dividend, reserve, and extraordinary


items. Xxx
Add: Depreciation on tangible fixed assets Xxx
Add: Amortization of intangible assets (eg. Goodwill) Xxx
Add: Fictitious assets written off (eg. Discount on issue
debentures, preliminary expense written off) Xxx
Add: Loss on sale of tangible / intangible fixed assets Xxx
Add: Loss on sale of investments Xxx
Add: Premium on redemption of preference shares/debentures
debited to P & L A/c during the current year Xxx
Add: Interest on debentures / loans debited to P & L A/c Xxx
Less: Interest income from investment credited to P & L A/c (xxx)
Less: Rental income from investment credited to P & L A/c (xxx)
Less: Profit on sale of tangible /intangible assets & investments (xxx)
(c) Operating profit before working capital changes
Add: Decrease in current assets
(other than cash, bank, interest accrued on investment, dividend
accrued on investments, advance tax, short term marketable
securities)
Decrease in stock Xxx
Decrease in debtors Xxx
Decrease in bills receivable Xxx
Decrease in accrued commission Xxx
Decrease in prepaid expenses Xxx
Decrease in other current assets Xxx Xxx

Add: Increase in Current Liabilities


(other than cash credit, Bank o/d, interest due on debentures/
loans, provision for tax, tax payable, dividend payable, etc.)
Increase in creditors Xxx
Increase in bills payable Xxx
Increase in outstanding expenses Xxx
Increase in other current liabilities Xxx Xxx

Less: Increase in current assets


(other than cash, bank, interest accrued on investment, dividend
accrued on investment, advance tax, short term marketable
securities)
Increase in stock Xxx
Increase in debtors Xxx
Increase in bills receivable Xxx
Increase in accrued commission Xxx
Increase in prepaid expenses Xxx
Increase in other current assets Xxx (xxx)

Less: Decrease in current liabilities


(other than bank o/d, cash credit, interest due on
debentures/loans, provision for tax, tax payable, dividend
payable etc)
Decrease in creditors Xxx
Decrease in bills payable Xxx
Decrease in outstanding expenses Xxx
Decrease in other current liabilities Xxx (xxx)

(d) Cash Flow from operating activities before tax and


extraordinary items Xxx
Less: Tax paid during the year (including advance tax) (xxx)
Add: Refund of tax Xxx

(e) cash flow from operating activities before extraordinary


item Xxx
Less: Extraordinary expenses paid during the year (xxx)
Add: Extraordinary income received during the year Xxx

Cash flow from/(used in) operating activities (A) XXX

2. Cash flow from investing activities Rs. Rs.


Sale of tangible fixed assets for cash Xxx
Sale of intangible fixed assets for cash Xxx
Sale of investment for cash Xxx
Repayment received on loans and advances granted Xxx
Purchase of tangible fixed assets for cash (xxx)
Purchase of intangible fixed assets for cash (xxx)
Purchase of investments for cash (xxx)
Loans and advances granted (xxx)
Interest received from investments Xxx
Dividend received from investments Xxx
Rental income received from investments Xxx

Cash flow from/(used in) in investing activities (B) XXX

3. Cash flow from financing activities


Issue of equity shares for cash (including premium, adjusting
discount) Xxx
Issue of preference shares for cash (including premium, adjusting
discount) Xxx
Issue of debentures for cash (including premium, adjusting
discount) Xxx
Loans borrowed during the year Xxx
Increase in Bank overdraft/Cash credit Xxx
Buy back of equity shares (including premium on redemption) (xxx)
Redemption of preference shares by cash (including premium on
redemption) (xxx)
Redemption of debentures by cash (including premium on
redemption) (xxx)
Loans repaid during the year (xxx)
Interim dividend paid during the year (xxx)
Decrease in Bank overdraft/Cash credit (Xxx)
Final dividend on equity shares paid during the year (xxx)
Preference dividend paid during the year (xxx)
Interest paid on debentures/loans (xxx)
Underwriting commission paid (xxx)
Expenses on issue of shares paid (xxx)
Cash flow from/ (used in) finance activities (C) XXX
Cash flow from Operating activities (A) xxx
Cash flow from Investing activities (B) xxx
Cash flow from Financing activities (C) xxx
Net Increase/decrease in cash & cash equivalents(A+B+C) XXX

Opening Cash and Cash Equivalents xxx


Closing Cash and Cash Equivalents xxx
Net Increase/decrease in cash & cash equivalents XXX

Cash and Cash equivalent as at the Beginning End


Cash on hand xxx xxx
Cash at bank xxx xxx
Short term highly liquid marketable securities (i.e. Having shorter
maturity period (3 months or less) and subject to insignificant
risk of change in value) xxx xxx

CASH AND CASH EQUIVALENTS XXX XXX

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