SBFM: Standard Financial Reports and Related Sub Reports
ID: Q153440
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The information in this article applies to:
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Microsoft Excel for Windows 95, versions 7.0, 7.0a
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Microsoft Small Business Financial Manager for Microsoft Excel, version 1.0
This article describes the four standard financial reports that are
generated by the Report Wizard in Microsoft Small Business Financial
Manager for Microsoft Excel (SBFM), and the related sub reports that are
available for each report. The four standard financial reports that are
generated by the Report Wizard are as follows: the Income Statement, the
Balance Sheet, the Trial Balance, and the Statement of Change in
Stockholders' Equity. These reports in turn have related sub reports.
INCOME STATEMENT
The Income Statement reports the profit (or loss) performance of a business
entity for a specific period of time.
One Period & YTD Comparisons
Shows the company's financial performance during a designated period and
includes year-to-date results
Rolling 12 Period Trend
Shows the company's financial performance for each of the last 12 months
for comparative analysis.
Rolling 12 Period Trend with Projections
Shows the company's financial performance for each of the last 12 months
for comparative analysis. Includes additional report columns containing
formulas for projections
Rolling 4 Quarter Trend
Shows the company's financial performance for each of the last four
quarters for comparative analysis.
Fiscal Year by Period
Shows the company's financial performance for each month of a designated
fiscal year.
Fiscal Year by Period with Projections
Shows the company's financial performance for each month of a designated
fiscal year. Includes additional report columns containing formulas for
projections.
Fiscal Year by Quarter
Shows the company's financial performance for each quarter of a designated
fiscal year.
Fiscal Year by Quarter with Projections
Shows the company's financial performance for each quarter of a designated
fiscal year. Includes additional report columns containing formulas for
projections.
One Period Income Statement with Scenarios
Shows the company's financial performance during a designated period, and
includes the projected performance based on any existing What-If scenarios.
BALANCE SHEET
The Balance Sheet provides a snapshot of a company's financial health at a
given point in time.
Balance Sheet
Shows the company's financial condition at the end of a designated time
period.
Balance Sheet with Prior Year Comparisons
Shows financial condition at the end of a designated time period, and prior
year's figures for comparison.
Balance Sheet with Scenarios
Shows financial condition at the end of a designated time period, and/or
shows the projected condition based on existing What-If scenarios.
STATEMENT OF CHANGE IN STOCKHOLDERS' EQUITY
The Statement of Change in Stockholders' Equity provides a supporting
schedule to the stockholders equity section of the Balance Sheet. During an
accounting period, business owners/shareholders may withdraw or add funds
to the contributed capital for the business. This schedule reflects the net
effect of these transactions between the business owner(s) and the business
entity.
One Period Activity
Analyzes changes to shareholders' equity for a specified time period.
Year to Date Activity
Analyzes changes to shareholders' equity for the year to date.
TRIAL BALANCE
The Trial Balance provides a full audit trail of the balance and net change
for each account. It lists the titles of each account in the General
Ledger, the debit or credit balance of each account, and the totals of the
debit and credit balances. It is not a formal accounting statement.
One Period & YTD with Comparisons
Lists balances of all open accounts in the ledger. Includes the beginning
balances and the net change for the designated year and period.
Trial Balance with Scenarios
Lists balances of open accounts in the ledger. Includes beginning balances
and net change for designated year and period, and projected balances based
on scenarios.
Cash Flows
A Cash Flow statement is a financial statement that shows a company's
sources and uses of cash during an accounting period.
One Period & YTD with Comparisons
Shows cash provided and used by operating, investing, and financing
activities during a designated period. Includes the prior year-to-date
amounts for comparison.
Rolling 12 Period Trend
Shows the cash provided and used by operating, investing, and financing
activities during a 12-month period.
Rolling 12 Period Trend with Projections
Shows the cash provided and used by operating, investing, and financing
activities during a 12-month period. Additional report columns contain
formulas for projections.
One Period Cash Flow Statement with Scenarios
Shows the cash provided and used by operating, investing, and financing
activities during a designated period. Also shows the projected conditions
based on existing What-If scenarios.
YTD Cash Flow Statement with Scenarios
Shows the cash provided and used by operating, investing, and financing
activities for the year to date. Also shows the projected conditions based
on existing What-If scenarios.
Additional query words:
7.00a
Keywords :
Version : 7.00 7.00a
Platform : WINDOWS
Issue type :
Last Reviewed: July 23, 1999