Preview

Differnce Between Cash Flow and Fund Flow

Good Essays
Open Document
Open Document
1236 Words
Grammar
Grammar
Plagiarism
Plagiarism
Writing
Writing
Score
Score
Differnce Between Cash Flow and Fund Flow
Difference Between Cash Flow and Funds Flow Statement
Many people think that both cash and fund are same, however they both are different and so is the case with cash flow statement and funds flow statement. Let’s look at some of the differences between cash flow and funds flow statement –
1. While funds flow statement reveals the change in the working capital of a company between two balance sheet dates while cash flow statement reveals the change in the cash position of the company between two balance sheet dates.
2. As funds flow statement shows the change in working capital it deals with all the components of working capital while cash flow statement deals only with cash and cash equivalents.
3. In case of funds flow statement schedule of changes in working capital is prepared while in case of cash flow statement no such schedule is prepared.
4. While cash flow statement there is classification of cash flows as cash flow from operating activities, cash flow from investment activities and cash flow from financing activities, but as far as funds flow statement is concerned there is no such classification.
-------------------------------------------------
5. As cash flow statement is only concerned with cash related transactions it is can be easily understood by a person who does not have accounting knowledge which is not the case with funds flow statement.

A summary of main points of differences between these two is give below:-
-------------------------------------------------
(i) Balance sheet is a statement showing the financial position of the concern on a particular date. The asset side portrays the development of resources in various type of properties an liabilities side indicates the manner in which these resources are obtained. It shows all assets and liabilities whether current or fixed, tangible or intangible etc., while Funds Flow Statement shows the changes in current assets an current liabilities during a particular period of time.

You May Also Find These Documents Helpful

  • Satisfactory Essays

    The cash flow statement shows every transaction that has occurred as it happens with in the organization. This statement shows the amount of cash coming in and the cash paid out to other services. This cash flow statement shows a breakdown of the organizations financial statement to show what has occurred in a certain amount of time. For example, you can see the income and expenses for either a month or a year. The cash flow statement generally assesses a business’s financial health. This statement can help investors if they are planning to invest in this business, and to…

    • 374 Words
    • 2 Pages
    Satisfactory Essays
  • Satisfactory Essays

    xacc 291 week 7

    • 391 Words
    • 2 Pages

    The term cash flows refer to the receipts and payment of cash. A financial statement that shows how changes in balance sheet accounts and income affect cash and cash equivalents is known as a statement of cash flow. Similar to an income statement, a cash flow statement records a company’s performance over a period of time. Consistently, companies will disclose the cash arising are generally required to prepare a statement of cash flow in their annual reports because it contains vital information for lenders and investors who primarily make informed and economic decisions about the companies. Generally during a company’s accounting period their cash flow is categorized and divided into three sections which are: cash flow from operations, financing and investing. The primary reasons these transactions are catergorized and divided is so investors will understand what the transactions are related to and how each section paints a vivid picture of how the company is doing from both a cash standpoint and overall health. The statement of cash flow is very important for companies that are required to prepare and present their financial statement in accordance to with international accounting standards and international financial reporting standards.…

    • 391 Words
    • 2 Pages
    Satisfactory Essays
  • Satisfactory Essays

    xacc week 1

    • 376 Words
    • 2 Pages

    “Cash Flow Statement - The cash flow statement shows the amount of monies within the company ("Boundless", 2014).” Anything that affects the cash balance is listed on this statement. This allows managers, creditors, and investors to view the company’s operations from a cash perspective.…

    • 376 Words
    • 2 Pages
    Satisfactory Essays
  • Satisfactory Essays

    Acc291

    • 267 Words
    • 2 Pages

    Companies use a statement of cash flows because it shows where cash came from and how it was used. The other main financial reports only provide a limited insight into the cash transactions of the company. While the other main reports utilize the accrual accounting basis, the statement of cash flows changes the accrual basis using the direct or indirect method. The indirect method is primarily used, however both are acceptable under generally accepted accounting principles. The statement of cash flows is divided into three sections and shown in the report in the following order. Operating activities is reported first, followed by investing activities, and finally financing activities. Operating activities deals with each transaction that involves both revenues and expenses. This category is considered important because operating activities are the best predictor of a company’s ability to generate future cash. This obviously is important information for investors as well as creditors when evaluating a company’s ability to grow and move forward. Investors can make educated guesses regarding the future cash flows based on the statement of cash flows better than viewing the other financial reports that utilize the accrual accounting basis. Investing activities include the transactions to purchase, sell, or dispose of company property. Loans and debt collection are also included in the investing activities with company plant and equipment. Investors can view the statement of cash flows to see if the company has sufficient cash on hand to pay stockholder dividends and meet future demands. Finally, financing activities includes receiving cash from stockholders, buying back company stock, and paying dividends.…

    • 267 Words
    • 2 Pages
    Satisfactory Essays
  • Satisfactory Essays

    Acc/291 Weekly Reflection

    • 305 Words
    • 2 Pages

    The statement of cash flow is one of the main financial statements which investors rely on to measure a company’s financial strength. Some investors are very much interested in this statement because they absolutely want returns on their investment. The cash flow statement identifies the cash is flowing in and out of the company. If a company is consistently generating more cash than it is using, the company will be able to increase its dividends, reduce debt, and acquire other businesses. All of this is perceived to be good for investors.…

    • 305 Words
    • 2 Pages
    Satisfactory Essays
  • Good Essays

    Intermediate Accounting

    • 826 Words
    • 4 Pages

    The cash flow statement includes only inflows and outflows of cash and cash equivalents; it excludes transactions that do not directly affect cash receipts and payments.…

    • 826 Words
    • 4 Pages
    Good Essays
  • Satisfactory Essays

    ACCT 712

    • 1128 Words
    • 5 Pages

    1. Net cash will be different from a company's net income because of the changes in working capital (inventories, receivables, etc.) which is derived in the operating flows on a cash flow statement. By taking net income and making adjustments to reflect the changes, net cash flow from operating section will show how cash was generated. Another main reason is the translation process from accrual accounting to cash accounting because for example revenue reported on a accrual basis may not have been collected but on the cash flow statement and changes in cash is accounted for.…

    • 1128 Words
    • 5 Pages
    Satisfactory Essays
  • Good Essays

    Brandywine Homecare

    • 1320 Words
    • 6 Pages

    A cash flow, also known as a cash flow statement simply reports the inflows and outflows of cash in a company.…

    • 1320 Words
    • 6 Pages
    Good Essays
  • Better Essays

    The statement of cash flow defines the financial activities during a reporting period for a company. The cash flow statement will define the interest, sale of debt or securities or the purchase of debt or securities with the exception of investments and financing activities that do not require the use of cash.…

    • 2438 Words
    • 10 Pages
    Better Essays
  • Satisfactory Essays

    The statement of cash flow helps determine the change in where cash comes in and cash equivalents are turned into cash, which includes cash on hand and cash that is due to come in (Zion Bank). For my company the statement of cash flow will help summarize the cash that has come in for that year and what has been lost due to depreciation of equipment and funds.…

    • 363 Words
    • 2 Pages
    Satisfactory Essays
  • Powerful Essays

    Tax Depreciation

    • 4777 Words
    • 20 Pages

    1) In the statement of cash flows, the cash flows from financing activities result from debt and equity financing transactions; including incurrence and repayment of debt, cash inflow from the sale of stock, and cash outflows to repurchase stock or pay cash…

    • 4777 Words
    • 20 Pages
    Powerful Essays
  • Good Essays

    Acc 291 Weekly Reflection

    • 380 Words
    • 2 Pages

    I think this week was easier for me than others because of the simplicity behind the terms. The statements of cash flows include operating activities, investing activities and financing activities. Operating activities include cash flow from business operations, things like sales. Investing activities includes assets, and financing activities include stockholders equity. We learned about direct and indirect cash flows this week. Indirect cash flows are the most commonly used by business and consist of three major steps: (1) determine net cash, (2) figure changes in asset and liability accounts, and (3) compare the figures on the statement of cash flows to the balance sheet.…

    • 380 Words
    • 2 Pages
    Good Essays
  • Good Essays

    1. The difference between earnings and cash flow is the firm’s earnings are the bottom line of their income statement and is a measure of the firm’s income over a given period of time. The cash flow of a firm shows how a firm has used the cash it earned during a set of time. There are two reasons that the income statement does not show the amount of cash earned. One, there are non-cash entries on the income statement and second, there are certain uses such as a purchase of a building that are not reported on the income statement. The statement of cash flows utilizes the information from the income statement and balance sheet to determine how much cash the firm has generated and how that cash has been allocated during a set period.…

    • 841 Words
    • 4 Pages
    Good Essays
  • Better Essays

    Acc 291 Week 4

    • 1112 Words
    • 5 Pages

    Statement of Cash Flows can be broken down into three categories; The Statement of Cash Flows: Usefulness and Format, Preparing the Statement of Cash Flows—Indirect Method, and Using Cash Flows to Evaluate a Company. Each is used to…

    • 1112 Words
    • 5 Pages
    Better Essays
  • Good Essays

    A report of cash flows indicates the receipt and payment of cash for the organization. The direct method is desired by the FASB, even though both ways are acceptable, and shows cash receipts and payments in operations whereas the indirect method changes net income which does not influence cash. To get commenced with a report of cash flows, the organization must change its net income from an accrual basis to a cash basis. Ultimately, an organization may decide their free cash flow to find out the amount of money is remaining after adjustments for capital expenses and dividends have been completed.…

    • 662 Words
    • 3 Pages
    Good Essays