Statement of Cash Flows

What it is: This report shows how cash moved in and out of the organization over a specific period.

What it shows: It categorizes cash inflows and outflows into three types of activities:

  • Operating activities: Cash from the day-to-day operations, such as donations, grants, and program revenue, and payments for salaries, rent, and supplies.
  • Investing activities: Cash from the purchase or sale of long-term assets like buildings or equipment, and investments.
  • Financing activities: Cash from activities related to debt, such as borrowing or repaying loans.

Cashflow Statement 2025-02-01..2025-08-10

2025-02-01..2025-08-10
$1,643.73
$200.00
$462.72
$12,453.59
$4,004.47
$18,764.51