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Non-recurring cash flows means cash flows which are of capital expenditure nature or for long term cash flows.

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Q: What is the meaning of non recurring cash flow in cashflow statement?
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Related questions

What is the statement of cash flow used for?

The cashflow statement is used for knowing the cash out flow and inflow in a business/project.


How does Asset revaluation reserve affect cashflow statement. Is it even included in cashflow statement. Or does the increase in freehold property offset the increase in revaluation reserve?

it is included in cash flow statement


What is a cashflow budget?

Budgeted cash flow statement is the estimated cash flow statement for planning purpose before the actual activity starts


Is a cashflow statement an obligatory financial statement?

Yes Cash flow statement is an obligatory financial statement alongwith income statement and balance sheet.


How you can treat capital work in progress in cash flows statement?

This would be treated as cash outflow in investing activities ....indirect method of cashflow statement ..Regards Aurangzaib Iqbal ACCA


Where in cashflow statement you report additional paid in capital from a new business partner?

In Cash flow statement, additional paid in capital from new business partner is shown under "cash flow from financing activities".


Why cash flow is made after balance sheet?

Cashflow statement is preferably prepared after the balance sheet because it becomes much more easier to pick cashflow items from the bal. sheet than from individual ledgers.


What is the purpose of the word cashflow?

Cashflow describes the flow of cash between cash coming in and cash going out. The word Cashflow usually arises in businesses and its purpose is to influence the entrepreneur to ensure he/she has enough money coming in to cover monies going out.


What is a budgeted cashflow statement?

Operating cash flows shows the overall cash inflows and outflows which initiate completely due to operating activities of business like receipts from debtors or payment to creditors etc.


Why do you need cash flow balance sheet and income statement to understand how a business is performing?

You need an income statement to see that the company is profitable, a cashflow statement to see it is solvent and a balance sheet to see it is healthy.


What is the meaning of cwdr meaning in bank statement?

cash withdrawal


Why is depreciation an adjustment to net income in the operating activities section of the standard statement of cash flows?

When you start from net income to calculate the operativ cashflow you have to (1) add (substract) all operativ expenses (income) that appear in the income statement but did not result in cash in- or outflow, and (2) add (substract) all operativ cash inflow (outflow) that were not income (expense) and thus not recorded in the income statement. The net income plus all these adjustments equals the operativ cashflow. Depreciation were recorded in the income statement as an expense but it did not result in an cash outflow. You have to add it therefore to the net income. The method described above is the indirect method to calculate the operativ cash flow.