Free practice · single-choice · easy

Practice

Choose an ending-cash formula

Which formula calculates ending cash for a defined period?

Period cash-flow map

Keep plans, actuals, and cash direction visible

Budget view

PlannedExpected
ActualRecorded
VarianceActual − plan

Cash view

BeginningOpening balance
Inflows+ cash in
Outflows− cash out

Control

EndingBegin + in − out
GapDetail vs summary

A stated sign convention makes variance interpretable, while detail-to-summary reconciliation catches omitted, duplicated, or mistyped entries.

Choose one answer