{"id":29528,"date":"2023-10-31T15:11:54","date_gmt":"2023-10-31T15:11:54","guid":{"rendered":"https:\/\/swoopfunding.com\/ie\/?post_type=business-glossary&#038;p=29528"},"modified":"2025-04-24T14:31:34","modified_gmt":"2025-04-24T14:31:34","slug":"cash-flow-statement","status":"publish","type":"business-glossary","link":"https:\/\/swoopfunding.com\/ie\/business-glossary\/cash-flow-statement\/","title":{"rendered":"Cash flow statement"},"content":{"rendered":"<h3>Definition\u00a0<\/h3>\n<p><span style=\"font-weight: 400;\">A cash flow statement is a <a href=\"https:\/\/swoopfunding.com\/ie\/business-glossary\/financial-statement\/\">financial statement<\/a> that provides a summary of how a company manages its cash position over a specific period of time. It shows the inflows and outflows of cash and cash equivalents, categorising them into operating, investing, and financing activities.\u00a0<\/span><\/p>\n<h3>What is a cash flow statement?<\/h3>\n<p><span style=\"font-weight: 400;\">The primary purpose of a cash flow statement is to provide a detailed account of how changes in a company&#8217;s <a href=\"https:\/\/swoopfunding.com\/ie\/business-glossary\/balance-sheet\/\">balance sheet<\/a> and <a href=\"https:\/\/swoopfunding.com\/ie\/business-glossary\/income-statement\/\">income statement<\/a> affect its cash and cash equivalents. It helps stakeholders, including investors, creditors, and management, understand how the company generates and uses cash.<\/span><\/p>\n<p><span style=\"font-weight: 400;\">There are three main categories:<\/span><\/p>\n<ol>\n<li style=\"font-weight: 400;\" aria-level=\"1\"><b>Operating activities<\/b><span style=\"font-weight: 400;\">: This section includes <a href=\"https:\/\/swoopfunding.com\/ie\/business-glossary\/cash-flow\/\" data-wplink-edit=\"true\">cash flows<\/a> from the core business operations of the company.<\/span><\/li>\n<li style=\"font-weight: 400;\" aria-level=\"1\"><b>Investing activities<\/b><span style=\"font-weight: 400;\">: This section covers cash flows from activities that involve long-term assets.\u00a0<\/span><\/li>\n<li style=\"font-weight: 400;\" aria-level=\"1\"><b>Financing activities<\/b><span style=\"font-weight: 400;\">: This section focuses on cash flows from transactions with the company&#8217;s owners and creditors.<\/span><\/li>\n<\/ol>\n<p><span style=\"font-weight: 400;\">The cash flow statement is a vital analytical tool for financial analysts, as it helps in evaluating the quality of a company&#8217;s earnings and its capacity to generate sustainable cash flows, and it provides insights into a company&#8217;s ability to withstand economic downturns or unforeseen financial challenges by showing its liquidity and cash flow management.<\/span><\/p>\n<h4>Example of cash flow statement<\/h4>\n\n\n<figure class=\"wp-block-table\"><table><tbody><tr><td><strong>Inflows<\/strong>:<br>Software licensing fees:<br>Sale of equipment:<br>Issuance of new shares:<br><br><strong>Outflows<\/strong>:<br>Payments to suppliers and expenses:<br>Employee salaries:<br>Utilities and rent;<br>Investment in R&amp;D project:<br>Purchase of computer servers:<br>Repayment of loan:<br>Payment of dividends:<\/td><td><br>\u20ac500,000<span style=\"color: #ffffff;\" class=\"stk-highlight\">____<\/span><br>\u20ac30,000<br>\u20ac150,000<br><br><br>\u20ac270,000<br>\u20ac50,000<br>\u20ac20,000<br>\u20ac100,000<br>\u20ac40,000<br>\u20ac50,000<br>\u20ac30,000<\/td><\/tr><tr><td>Net increase in cash:<\/td><td>\u20ac190,000<\/td><\/tr><tr><td>Beginning cash balance:<\/td><td>\u20ac300,000<\/td><\/tr><tr><td>Ending cash balance:<\/td><td>\u20ac490,000<\/td><\/tr><\/tbody><\/table><\/figure>\n\n\n\n<p>This simplified cash flow statement demonstrates how cash is generated and used by a company in its activities during a specific period.<\/p>\n","protected":false},"author":1,"template":"","class_list":["post-29528","business-glossary","type-business-glossary","status-publish","hentry"],"acf":[],"featured_image_urls_v2":{"full":"","thumbnail":"","medium":"","medium_large":"","large":"","1536x1536":"","2048x2048":"","image_blog":"","image_blog_full":"","image_podcast":"","image_banking":"","image_blog_internal":"","image_blog_medium":"","image_single_banking":""},"post_excerpt_stackable_v2":"<p>Definition\u00a0 A cash flow statement is a financial statement that provides a summary of how a company manages its cash position over a specific period of time. It shows the inflows and outflows of cash and cash equivalents, categorising them into operating, investing, and financing activities.\u00a0 What is a cash flow statement? The primary purpose of a cash flow statement is to provide a detailed account of how changes in a company&#8217;s balance sheet and income statement affect its cash and cash equivalents. It helps stakeholders, including investors, creditors, and management, understand how the company generates and uses cash. There&hellip;<\/p>\n","category_list_v2":"","author_info_v2":{"name":"root","url":"https:\/\/swoopfunding.com\/ie\/author\/root\/"},"comments_num_v2":"0 comments","_links":{"self":[{"href":"https:\/\/swoopfunding.com\/ie\/wp-json\/wp\/v2\/business-glossary\/29528","targetHints":{"allow":["GET"]}}],"collection":[{"href":"https:\/\/swoopfunding.com\/ie\/wp-json\/wp\/v2\/business-glossary"}],"about":[{"href":"https:\/\/swoopfunding.com\/ie\/wp-json\/wp\/v2\/types\/business-glossary"}],"author":[{"embeddable":true,"href":"https:\/\/swoopfunding.com\/ie\/wp-json\/wp\/v2\/users\/1"}],"wp:attachment":[{"href":"https:\/\/swoopfunding.com\/ie\/wp-json\/wp\/v2\/media?parent=29528"}],"curies":[{"name":"wp","href":"https:\/\/api.w.org\/{rel}","templated":true}]}}