Hi everyone,
I’m looking to improve my approach to manually
spreading financial statements and would love to hear how others do it efficiently and accurately.
What’s the best method or workflow you use for organizing and spreading income statements, balance sheets, and cash flow statements? Do you rely on any specific templates, tools (like Excel), or best practices to ensure consistency and reduce errors?
Appreciate any tips, templates, or insights you can share!
Thanks in advance!
Kellywalker