Financial Statements

In the second phase of the valuation process, you enter, adjust, and annualize the historic financial statements, using the worksheets that appear in the Financial Statements folder. The worksheets are grouped into two subfolders, one for the balance sheet, and one for the income statement.

Please Note: The financial statements are part of the Analysis file's Microsoft® Excel workbook. While this means that you can edit the financial statements using Excel, we recommend that you exercise extreme caution when doing so.

ValuSource Pro provides a complete set of tools for editing your financial statements. Click on a link below to learn more.

bAssumptions

bAnalysis Columns

bAdding an Account

bMoving an Account

bDeleting an Account

bAccount Type and Property

bAnnualizing a Partial Period

bAdjusting the Financial Statements

bSummary Financial Statements

bAdding a Fiscal Period

bPrinting the Financial Statements