Manager.io/Manager
-
Edit Bank Rule
Edit Bank Rule
Editar regla bancaria -
Remaining
Remaining
Restante -
Round decimals
Round decimals
Redondear decimales -
Method
Method
Método -
Direct method
Direct method
Método directo -
Indirect method
Indirect method
Método indirecto -
Changes in working capital
Changes in working capital
Variaciones en el capital de trabajo -
Adjustments to reconcile net profit (loss) to net cash from operating activities
Adjustments to reconcile net profit (loss) to net cash from operating activities
Ajustes para conciliar el beneficio (pérdida) neto proveniente de las actividades de explotación -
Operating activities
Operating activities
Actividades de operación -
Investing activities
Investing activities
Actividades de inversión -
Financing activities
Financing activities
Actividades de financiación -
Cash flows from (used in) operating activities
Cash flows from (used in) operating activities
Efectivo proveniente (usado en) actividades de operación -
Cash flows from (used in) investing activities
Cash flows from (used in) investing activities
Efectivo proveniente (usado en) actividades de inversión -
Cash flows from (used in) financing activities
Cash flows from (used in) financing activities
Efectivo proveniente (usado en) actividades financiación -
Cash Flow Statement
Cash Flow Statement
Estado de flujos de efectivo -
Subgroup of
Subgroup of
Subgrupo de -
Income group
Income group
Grupo de ingreso -
Expense group
Expense group
Grupo de gasto -
Control account - acquisition cost
Control account - acquisition cost
Cuenta de control - costo de adquisición -
Control account - accumulated depreciation
Control account - accumulated depreciation
Cuenta de control - depreciación acumulada
Il n’a plus de segments à afficher.
Chargement d’autres segments en cours…
© 2009-2024 WebTranslateIt Software S.L. Tous droits réservés.
Termes d’utilisation
·
Politique de confidentialité
·
Politique de sécurité