Use the provided Excel template to submit your responses to each of the study problems from the textbook below:
- 3–13, p. 73. Reviewing financial statements
- 3–15, p. 74. Analyzing the cash flow statement
- 4–25, p. 118. Calculating financial ratios
Each question has a corresponding worksheet (look for the tab along the bottom of the workbook). The cells can be adjusted, added, or removed as necessary.