Preview

Cash Flow Analysis

Good Essays
Open Document
Open Document
577 Words
Grammar
Grammar
Plagiarism
Plagiarism
Writing
Writing
Score
Score
Cash Flow Analysis
Accounting analysis of Financial StatementsAnalysis of Statement of Cash Flow

Master of Business Administration
University of Kelaniya
1

CASH FLOW RATIOS
• Cash flow ratios can be categorized as,
 Performance ratios
 Coverage ratios

2

Performance Ratios
1.
2.
3.
4.

Operating Cash Flow to Sales
Cash Return to Assets
Cash Return on Equity Ratio
Cash flow per share

1. Operating Cash Flow to Sales
• Expressed as a percentage, compares a company's operating cash flow to its net sales or revenues.
• Gives investors an idea of the company's ability to turn sales into cash.
Operating Cash Flow/ Net Sales

2. Cash Return to Assets
Cash return on assets measures management’s success in generating cash from operating activities (making operating decisions).
Operating Cash Flow/ Total Assets

3. Cash Return On Equity Ratio
This ratio measures the amount of cash generated from operations per one rupee of average shareholders' equity.
Operating Cash Flow/ Total Equity

4. Cash flow per share
• Many analysts and investors place more weight on cash flow per share than earnings per share.
• Because EPS is more easily manipulated, its reliability can at times be questionable. Cash, on the other hand, is difcult to fake. • Therefore, cash flow per share is a useful measure for the strength of a firm and the sustainability of its business model.
Operating Cash Flow/ No. of Shares

Coverage Ratio
1.
2.
3.
4.
5.

Debt coverage ratio
Cash flow interest coverage ratio/Interest coverage Ratio
Reinvestment ratio
Free Cash Flow to Operating Cash Flow Ratio
Cash Flow Adequacy Ratio

8

1. Debt coverage ratio / CF Coverage Ratio
•The cash flow coverage ratio is an indicator of the ability of a company to pay interest and principal amount.
•This ratio tells the number of times the financial obligations of a company are covered by its earnings.
• It is an important indicator of the liquidity position of a company.
 Cash Flow Coverage Ratio = Operating Cash Flows /
Total Debt

You May Also Find These Documents Helpful

  • Satisfactory Essays

    Forensic Accounting Quiz

    • 459 Words
    • 2 Pages

    14. Which financial ratio measures the extent to which the company's capital is in cash or cash equivalents? cash ratio…

    • 459 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
  • Better Essays

    Cash Flow Analysis Paper

    • 935 Words
    • 4 Pages

    Saving money is extremely important however; some people do not have healthy savings thus leading them to financial instability. Therefore, being a good steward over your finances should be consistent and begin at an early age and progress as you age. This will provide an effective growth pattern to allow future financial security.…

    • 935 Words
    • 4 Pages
    Better 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
  • Satisfactory Essays

    Chapter Two

    • 663 Words
    • 3 Pages

    __ Cash flow from operations ___ is calculated by adding back noncash expenses to net income and adjusting for changes in current assets and liabilities.…

    • 663 Words
    • 3 Pages
    Satisfactory Essays
  • Powerful Essays

    Tax Depreciation

    • 4777 Words
    • 20 Pages

    4.2 Discuss the firm's statement of cash flows, operating cash flow, and free cash flow.…

    • 4777 Words
    • 20 Pages
    Powerful Essays
  • Better Essays

    Understanding Cash Flows

    • 992 Words
    • 4 Pages

    When evaluating cash flows for determining whether or not to pursue constructing a building to manufacture cupcakes there are several things to consider. The most important would be looking at a Grammy’s incremental after tax cash flow. Then one needs to determine the projects initial outlay, the differential cash flows over the project’s life, and the terminal cash flow. Also what needs to be looked at is what is the net present value and its internal rate of return.…

    • 992 Words
    • 4 Pages
    Better Essays
  • Better Essays

    Cash Flows

    • 958 Words
    • 9 Pages

    Classify each of the following transactions as arising from an operating (O), investing (I), financing (F), or noncash investing/financing (N) activity.…

    • 958 Words
    • 9 Pages
    Better Essays
  • Powerful Essays

    The purpose of this paper is to present and explain the statement of cash flows by incorporating the statements No. 95, 102 and 104 that establish standards for cash flows reporting issued by FASB[i].…

    • 5136 Words
    • 21 Pages
    Powerful Essays
  • Good Essays

    Cash Flow Analysis Paper

    • 807 Words
    • 4 Pages

    Warranty is the guarantee provided by the seller when a consumer makes the purchase of goods or services. Federal law makes it mandatory for sellers to make warranties available to read for buyers before buying the products and services (Warranties, n.d.). Warranties are realistic promises that can be acted through legal action and they work as pre-sale statements to attract more sales volume. Warranties will be provided for limited time of the purchase (Warranty Accounting, n.d.). When software of Greyhound Gamers are not able to perform well, contain a lot of bugs, or not giving the accurate data as they are promised, customers can ask for repair or exchange of such software or rectify the problem as originally…

    • 807 Words
    • 4 Pages
    Good Essays
  • Good Essays

    4. Now complete the tables to develop pro forma financial statements for 1996 and 1998. In making these calculations, assume that the bank is willing to maintain the present credit lines and to grant the requested additional $12750000 of short-term credit effective January 1, 1996. In the analysis, take account of the amounts of inventory and accounts receivable that would be carried if inventory utilization and day’s sales outstanding were set at industry-average levels. also, assume in your forecast that all of SPC's plans and predictions concerning sales and expenses materialize , and that the firm pays no cash dividends during the forecast period. Finally, in your calculations use the cash marketable securities account as the residual balancing figure.…

    • 390 Words
    • 2 Pages
    Good Essays
  • Powerful Essays

    CHAPTER 24 Full Disclosure in Financial Reporting ASSIGNMENT CLASSIFICATION TABLE Topics Questions Brief Exercises Exercises Problems Cases * 1. The disclosure principle; type of disclosure.…

    • 16743 Words
    • 95 Pages
    Powerful Essays
  • Satisfactory Essays

    e. is both "deducted from net income to obtain net cash inflows" and "the source of all investing and…

    • 537 Words
    • 6 Pages
    Satisfactory Essays
  • Good Essays

    Cash Flow Preparation

    • 410 Words
    • 2 Pages

    operating activities for the firm are positive. Cash is the lifeblood of the firm and…

    • 410 Words
    • 2 Pages
    Good Essays