Manager.io/Manager
-
Edit Bank Rule
Edit Bank Rule
Editar a regra do banco -
Remaining
Remaining
Restante -
Round decimals
Round decimals
Arredondar decimais -
Method
Method
Método -
Direct method
Direct method
Método directo -
Indirect method
Indirect method
Método indirecto -
Changes in working capital
Changes in working capital
Cambios no capital de traballo -
Adjustments to reconcile net profit (loss) to net cash from operating activities
Adjustments to reconcile net profit (loss) to net cash from operating activities
Axustes para reconciliar o beneficio neto (perda) co efectivo neto das actividades operativas -
Operating activities
Operating activities
Actividades de operación -
Investing activities
Investing activities
Actividades de investimento -
Financing activities
Financing activities
Actividades de financiamento -
Cash flows from (used in) operating activities
Cash flows from (used in) operating activities
Fluxo de efectivo de (usado en) actividades operacionais -
Cash flows from (used in) investing activities
Cash flows from (used in) investing activities
Fluxo de caixa procedente (usado en) actividades de investimento -
Cash flows from (used in) financing activities
Cash flows from (used in) financing activities
Fluxo de caixa proveniente de (usado en) actividades de financiamento -
Cash Flow Statement
Cash Flow Statement
Estado de fluxos de caixa -
Subgroup of
Subgroup of
Subgrupo de -
Income group
Income group
Grupo de ingresos -
Expense group
Expense group
Grupo de gastos -
Control account - acquisition cost
Control account - acquisition cost
Conta de control - custo de adquisición -
Control account - accumulated depreciation
Control account - accumulated depreciation
Conta de control - depreciación acumulada
No more segments to load.
Loading more segments…
© 2009-2024 WebTranslateIt Software S.L. All rights reserved.
Terms of Service
·
Privacy Policy
·
Security Policy