(v4450.00) Other Operating Uses
This account, which appears on the Indirect Cash Flow Statement, is calculated as follows:
(v2440.01) Incr. in Other Assets
+ (v3020.00) Funds Flow Adj: Uses
- (v2790.01) Incr. in Other Liabilities
- (v3000.00) Funds Flow Adj: Sources
=(v4450.00) Other Operating Uses