Market Value Ratios- measure how valuable your company is. Profitability Ratios- measure how your company generates profits using available resources over a given period.ĥ.
Efficiency Ratios- show how effectively your company uses working capital to generate sales.Ĥ. Leverage Ratios- measure how much debt your company has.ģ. Liquidity Ratios- measure working capital performance or the money available to meet your current, short-term obligations.Ģ. This Excel template is a complete 5-in-1 template – it has all of the formulas needed for calculating all of the 5 most important financial ratios:ġ. Use the cash flow statement template to examine your financials.įinancial ratios are an important indicator that are used to get insights and important information on the company’s performance, profitability, and financial health. By examining this, organizations can consider how funds are moving throughout the organization and observe what impact cash flow has on the business. The cash flow statement aims to look at how cash is moving in and out of the business. Alongside the balance sheet and income statement, the cash flow statement is a mandatory component of an organization’s financial reports. The cash flow statement (CFS), also known as a cash flow report, is a financial statement that sums up the amount of cash that enters and leaves an organization.