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Which one of the following is the rationale for the statement of cash flows? Ensure that the cash account balances at year-end. Calculate the companys

Which one of the following is the rationale for the statement of cash flows?

Ensure that the cash account balances at year-end.
Calculate the companys free cash flow.
Reconcile the change in cash on the balance sheet and net income on the income statement.
Examine the cash effects of income from discontinued operations, extraordinary items, and changes in accounting principles.

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