Use the provided Excel template to submit your responses to each of the study problems from the textbook below:
3-13, p. 72. Review of financial statements
3-15, p. 73. Analyzing the cash flow statement
4-25, p. 116. 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.
Click here for the Excel assignment template.
Information about accessing the Grading Rubric for this assignment is provided below.