Sample

Statement of Cash Flow report

Statement of Cash Flow
1/1/2003 through 1/31/2003
Account Balance
  Cash from Operating Activities $0.00  
         
  Net Income $0.00  
         
  Adjustment $0.00  
         
    Operating capital before working capital changes $0.00  
    Accounts Receivables $0.00  
    Sales Tax Payable $0.00  
  Net Cash Flows from Operating Activities $0.00
         
  Cash from Investing Activities   $0.00
  Net Cash Flows from Investing Activities   $0.00
       
  Net: Increase/Decrease for the Period   $0.00
  Cash at the Beginning of the Period   $0.00
  Cash at the End of the Period   $0.00
  Payment; Mary Jones $620.00  
  Total $620.00  
  MYOB Balance on 2/3/2003: $13,719.83