Preparing cash flow statements under Czech and International Accounting Standards

We will help you understand the basic principles and methods behind the cash flow statement, its coherence with other statements and calculation procedures necessary for preparing this statement.

Who are the intended participants?

  • Accountants, analysts, controlling, financial and internal audit employees.

  • Anyone interested in better understanding cash flow reporting issues and their monitoring.

Programme

  • Current cash flow regulation under Czech Accounting Standards.

  • Current cash flow regulation under International Accounting Standards.

  • Relevant information and auxiliary calculations necessary to prepare the statement.

  • Coherence of cash flow statement with other statements (balance sheet, income statement, statement of changes in equity).

  • Cash flow preparation examples using direct and indirect methods.

  • Comprehensive cash flow preparation examples under Czech Accounting Standards.

  • Comprehensive cash flow preparation examples under International Accounting Standards.

  • Consolidated cash flow statements.

Benefits

  • After completing the course, you will:

    • Understand better the legal framework and methodology behind cash flow statement preparation under Czech and International Accounting Standards;

    • Be able to prepare basic auxiliary calculations and a statement as such.

  • You will be able to plan your activities on time and identify essential information to calculate and prepare the statement, hence lessening your administrative burden.
Dates

Preparing cash flow statements under Czech and International Accounting Standards

21. 9. 2017 09:00–16:30
KPMG Česká republika, Pobřežní 1a, Praha 8
Course fee: 6 600,- CZK ex. VAT
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The fee includes training materials, morning and afternoon refreshments and lunch. The training will be conducted in Czech.

For attending this training course, you are eligible to gain 7 of CPD points.