{"id":38008,"date":"2024-02-20T08:06:58","date_gmt":"2024-02-20T08:06:58","guid":{"rendered":"https:\/\/www.process.st\/templates\/statement-of-cash-flows-template\/"},"modified":"2024-03-05T17:17:29","modified_gmt":"2024-03-05T17:17:29","slug":"statement-of-cash-flows-template","status":"publish","type":"post","link":"https:\/\/www.process.st\/templates\/statement-of-cash-flows-template\/","title":{"rendered":"Statement of Cash Flows Template"},"content":{"rendered":"\n<section id=\"gather-all-relevant-financial-data\"> \n <h2>Gather all relevant financial data<\/h2>\n <div class=\"text-content\">\n   In order to create an accurate Statement of Cash Flows, gather all the relevant financial data including income statements, balance sheets, and cash flow statements. This task is crucial as it forms the foundation for the entire process. Make sure to include all necessary financial documents and reports. \n <\/div> \n <div class=\"file-field-content form-field-content\"> \n  <div class=\"form-group\"> <label> Financial documents <\/label> \n   <div class=\"file-container\"> <button type=\"button\" disabled class=\"btn btn-default\"> <i class=\"fa fa-upload btn-icon\"><\/i> File will be uploaded here <\/button> \n   <\/div> \n  <\/div> \n <\/div> \n<\/section> \n<section id=\"determine-the-time-period-for-which-the-statement-of-cash-flows-will-be-generated\"> \n <h2>Determine the time period for which the Statement of Cash Flows will be generated<\/h2>\n <div class=\"text-content\">\n   Decide on the specific time period for which the Statement of Cash Flows will be generated. Consider factors such as quarterly or annual reporting requirements, the availability of financial data, and any applicable accounting standards. This task determines the timeframe for the entire statement. \n <\/div> \n <div class=\"select-field-content form-field-content\"> \n  <div class=\"form-group\"> <label> Time period <\/label> <select disabled class=\"form-control\"> <option value=\"An option will be selected here\">An option will be selected here<\/option> <\/select> \n  <\/div> \n  <ul class=\"items\"> \n   <li class=\"item\"> \n    <div class=\"step-number-container\"> \n     <div class=\"step-number\">\n       1 \n     <\/div> \n    <\/div> \n    <div class=\"step-checkbox-container\"> \n     <div class=\"step-checkbox\"><\/div> \n    <\/div> \n    <div class=\"item-name-static\">\n      Quarterly \n    <\/div> <\/li>\n   <li class=\"item\"> \n    <div class=\"step-number-container\"> \n     <div class=\"step-number\">\n       2 \n     <\/div> \n    <\/div> \n    <div class=\"step-checkbox-container\"> \n     <div class=\"step-checkbox\"><\/div> \n    <\/div> \n    <div class=\"item-name-static\">\n      Annually \n    <\/div> <\/li> \n  <\/ul> \n <\/div> \n<\/section> \n<section id=\"calculate-the-companys-cash-flow-from-operating-activities\"> \n <h2>Calculate the company's cash flow from operating activities<\/h2>\n <div class=\"text-content\">\n   Calculate the cash flow from the company's operating activities. This involves analyzing the company's income statement and adjusting for non-cash expenses and changes in working capital. It is important to accurately calculate this figure as it reflects the company's core operational cash flow. \n <\/div> \n <div class=\"number-field-content form-field-content\"> \n  <div class=\"form-group\"> <label> Net income <\/label> \n   <input type=\"text\" placeholder=\"Something will be typed here...\" disabled class=\"form-control\"> \n  <\/div> \n <\/div> \n <div class=\"number-field-content form-field-content\"> \n  <div class=\"form-group\"> <label> Depreciation and amortization <\/label> \n   <input type=\"text\" placeholder=\"Something will be typed here...\" disabled class=\"form-control\"> \n  <\/div> \n <\/div> \n <div class=\"number-field-content form-field-content\"> \n  <div class=\"form-group\"> <label> Changes in working capital <\/label> \n   <input type=\"text\" placeholder=\"Something will be typed here...\" disabled class=\"form-control\"> \n  <\/div> \n <\/div> \n<\/section> \n<section id=\"calculate-the-companys-cash-flow-from-investing-activities\"> \n <h2>Calculate the company's cash flow from investing activities<\/h2>\n <div class=\"text-content\">\n   Calculate the cash flow from the company's investing activities. This includes evaluating the company's capital expenditures, acquisitions, and the sale of assets. It is essential to accurately calculate this figure as it reflects the company's investment-related cash flow. \n <\/div> \n <div class=\"number-field-content form-field-content\"> \n  <div class=\"form-group\"> <label> Capital expenditures <\/label> \n   <input type=\"text\" placeholder=\"Something will be typed here...\" disabled class=\"form-control\"> \n  <\/div> \n <\/div> \n <div class=\"number-field-content form-field-content\"> \n  <div class=\"form-group\"> <label> Acquisitions <\/label> \n   <input type=\"text\" placeholder=\"Something will be typed here...\" disabled class=\"form-control\"> \n  <\/div> \n <\/div> \n <div class=\"number-field-content form-field-content\"> \n  <div class=\"form-group\"> <label> Sale of assets <\/label> \n   <input type=\"text\" placeholder=\"Something will be typed here...\" disabled class=\"form-control\"> \n  <\/div> \n <\/div> \n<\/section> \n<section id=\"calculate-the-companys-cash-flow-from-financing-activities\"> \n <h2>Calculate the company's cash flow from financing activities<\/h2>\n <div class=\"text-content\">\n   Calculate the cash flow from the company's financing activities. This involves analyzing the company's debt issuance, equity financing, and dividend payments. It is crucial to accurately calculate this figure as it reflects the company's financing-related cash flow. \n <\/div> \n <div class=\"number-field-content form-field-content\"> \n  <div class=\"form-group\"> <label> Debt issuance <\/label> \n   <input type=\"text\" placeholder=\"Something will be typed here...\" disabled class=\"form-control\"> \n  <\/div> \n <\/div> \n <div class=\"number-field-content form-field-content\"> \n  <div class=\"form-group\"> <label> Equity financing <\/label> \n   <input type=\"text\" placeholder=\"Something will be typed here...\" disabled class=\"form-control\"> \n  <\/div> \n <\/div> \n <div class=\"number-field-content form-field-content\"> \n  <div class=\"form-group\"> <label> Dividend payments <\/label> \n   <input type=\"text\" placeholder=\"Something will be typed here...\" disabled class=\"form-control\"> \n  <\/div> \n <\/div> \n<\/section> \n<section id=\"summarize-the-total-change-in-cash\"> \n <h2>Summarize the total change in cash<\/h2>\n <div class=\"text-content\">\n   Summarize the company's total change in cash by incorporating the cash flow figures from operating activities, investing activities, and financing activities. This summary provides an overview of the company's overall cash flow for the selected time period. \n <\/div> \n <div class=\"number-field-content form-field-content\"> \n  <div class=\"form-group\"> <label> Cash flow from operating activities <\/label> \n   <input type=\"text\" placeholder=\"Something will be typed here...\" disabled class=\"form-control\"> \n  <\/div> \n <\/div> \n <div class=\"number-field-content form-field-content\"> \n  <div class=\"form-group\"> <label> Cash flow from investing activities <\/label> \n   <input type=\"text\" placeholder=\"Something will be typed here...\" disabled class=\"form-control\"> \n  <\/div> \n <\/div> \n <div class=\"number-field-content form-field-content\"> \n  <div class=\"form-group\"> <label> Cash flow from financing activities <\/label> \n   <input type=\"text\" placeholder=\"Something will be typed here...\" disabled class=\"form-control\"> \n  <\/div> \n <\/div> \n<\/section> \n<section id=\"verification-of-calculated-cash-flows-with-initial-data\"> \n <h2>Verification of calculated cash flows with initial data<\/h2>\n <div class=\"text-content\">\n   Verify the calculated cash flows from the previous tasks by cross-referencing with the initial financial data. This task helps to ensure the accuracy of the cash flow figures and identify any discrepancies that need to be resolved. \n <\/div> \n <div class=\"file-field-content form-field-content\"> \n  <div class=\"form-group\"> <label> Initial financial data <\/label> \n   <div class=\"file-container\"> <button type=\"button\" disabled class=\"btn btn-default\"> <i class=\"fa fa-upload btn-icon\"><\/i> File will be uploaded here <\/button> \n   <\/div> \n  <\/div> \n <\/div> \n<\/section> \n<section id=\"add-an-introductory-statement-at-the-start-of-the-template\"> \n <h2>Add an introductory statement at the start of the template<\/h2>\n <div class=\"text-content\">\n   Add an introductory statement at the beginning of the template to provide context and set the tone for the Statement of Cash Flows. This statement should briefly explain the purpose and significance of the statement. \n <\/div> \n <div class=\"textarea-field-content form-field-content\"> \n  <div class=\"form-group\"> <label> Introductory statement <\/label> <textarea placeholder=\"Something will be typed here...\" rows=\"3\" disabled class=\"form-control\"><\/textarea> \n  <\/div> \n <\/div> \n<\/section> \n<section id=\"create-appropriate-sections-to-separate-the-types-of-cash-flows\"> \n <h2>Create appropriate sections to separate the types of cash flows<\/h2>\n <div class=\"text-content\">\n   Create sections within the template to clearly separate and distinguish the different types of cash flows, namely cash flows from operating activities, investing activities, and financing activities. This helps to organize the statement and improves readability. \n <\/div> \n <div class=\"multi-select-content form-field-content\"> \n  <div class=\"form-group\"> <label> Sections <\/label> \n  <\/div> \n  <ul class=\"items\"> \n   <li class=\"item\"> \n    <div class=\"step-number-container\"> \n     <div class=\"step-number\">\n       1 \n     <\/div> \n    <\/div> \n    <div class=\"step-checkbox-container\"> \n     <div class=\"step-checkbox\"><\/div> \n    <\/div> \n    <div class=\"item-name-static\">\n      Cash flows from operating activities \n    <\/div> <\/li>\n   <li class=\"item\"> \n    <div class=\"step-number-container\"> \n     <div class=\"step-number\">\n       2 \n     <\/div> \n    <\/div> \n    <div class=\"step-checkbox-container\"> \n     <div class=\"step-checkbox\"><\/div> \n    <\/div> \n    <div class=\"item-name-static\">\n      Cash flows from investing activities \n    <\/div> <\/li>\n   <li class=\"item\"> \n    <div class=\"step-number-container\"> \n     <div class=\"step-number\">\n       3 \n     <\/div> \n    <\/div> \n    <div class=\"step-checkbox-container\"> \n     <div class=\"step-checkbox\"><\/div> \n    <\/div> \n    <div class=\"item-name-static\">\n      Cash flows from financing activities \n    <\/div> <\/li> \n  <\/ul> \n <\/div> \n<\/section> \n<section id=\"generate-a-total-cash-flow-figure-at-the-end-of-the-template\"> \n <h2>Generate a total cash flow figure at the end of the template<\/h2>\n <div class=\"text-content\">\n   Generate a total cash flow figure at the end of the template by summing up the cash flow figures from operating activities, investing activities, and financing activities. This total cash flow figure represents the overall change in cash for the selected time period. \n <\/div> \n <div class=\"number-field-content form-field-content\"> \n  <div class=\"form-group\"> <label> Total cash flow <\/label> \n   <input type=\"text\" placeholder=\"Something will be typed here...\" disabled class=\"form-control\"> \n  <\/div> \n <\/div> \n<\/section> \n<section id=\"preview-the-output-for-any-misalignment-or-errors-before-generating-the-report\"> \n <h2>Preview the output for any misalignment or errors before generating the report<\/h2>\n <div class=\"text-content\">\n   Preview the output of the Statement of Cash Flows template for any misalignment or errors before generating the final report. This allows for adjustments to be made to ensure the accuracy and presentation of the statement. \n <\/div> \n <div class=\"file-field-content form-field-content\"> \n  <div class=\"form-group\"> <label> Output preview <\/label> \n   <div class=\"file-container\"> <button type=\"button\" disabled class=\"btn btn-default\"> <i class=\"fa fa-upload btn-icon\"><\/i> File will be uploaded here <\/button> \n   <\/div> \n  <\/div> \n <\/div> \n<\/section> \n<section id=\"approval-financial-manager-for-the-initial-draft-of-the-statement-of-cash-flows-template\"> \n <h2>Approval: Financial Manager for the initial draft of the Statement of Cash Flows Template<\/h2>\n <div class=\"approval-content\"> \n  <div class=\"header\"> \n   <div class=\"list-title\">\n    Will be submitted for approval:\n   <\/div> \n  <\/div> \n  <div class=\"approval-rule-subject-tasks-list\"> \n   <ul class=\"list\"> \n    <li> \n     <div class=\"approval-rule-subject-tasks-list-item\"> \n      <div class=\"item\"> \n       <div class=\"container\"> <span class=\"title\">Create appropriate sections to separate the types of cash flows<\/span> \n        <div class=\"body\">\n         Will be submitted\n        <\/div> \n       <\/div> \n      <\/div> \n     <\/div> <\/li>\n    <li> \n     <div class=\"approval-rule-subject-tasks-list-item\"> \n      <div class=\"item\"> \n       <div class=\"container\"> <span class=\"title\">Generate a total cash flow figure at the end of the template<\/span> \n        <div class=\"body\">\n         Will be submitted\n        <\/div> \n       <\/div> \n      <\/div> \n     <\/div> <\/li> \n   <\/ul> \n  <\/div> \n <\/div> \n<\/section> \n<section id=\"make-any-necessary-edits-and-modifications-based-on-the-managers-feedback\"> \n <h2>Make any necessary edits and modifications based on the manager's feedback<\/h2>\n <div class=\"text-content\">\n   Review the Statement of Cash Flows template and make any necessary edits and modifications based on the feedback received from the manager. This task ensures that any requested changes or improvements are implemented before finalizing the template. \n <\/div> \n <div class=\"textarea-field-content form-field-content\"> \n  <div class=\"form-group\"> <label> Manager's feedback <\/label> <textarea placeholder=\"Something will be typed here...\" rows=\"3\" disabled class=\"form-control\"><\/textarea> \n  <\/div> \n <\/div> \n<\/section> \n<section id=\"run-a-final-check-on-the-figures-and-language-used-in-the-statement-of-cash-flows-template\"> \n <h2>Run a final check on the figures and language used in the Statement of Cash Flows Template<\/h2>\n <div class=\"text-content\">\n   Perform a final check on the figures and language used in the Statement of Cash Flows template to ensure accuracy, consistency, and clarity. This task helps to identify and correct any potential errors or issues before finalizing the template. \n <\/div> \n <div class=\"file-field-content form-field-content\"> \n  <div class=\"form-group\"> <label> Final check <\/label> \n   <div class=\"file-container\"> <button type=\"button\" disabled class=\"btn btn-default\"> <i class=\"fa fa-upload btn-icon\"><\/i> File will be uploaded here <\/button> \n   <\/div> \n  <\/div> \n <\/div> \n<\/section> \n<section id=\"remember-to-save-the-final-version-of-the-template-for-future-reference\"> \n <h2>Remember to save the final version of the template for future reference<\/h2>\n <div class=\"text-content\">\n   Save the final version of the Statement of Cash Flows template for future reference and use. This task ensures that the completed template is securely stored and easily accessible for future use or revisions. \n <\/div> \n <div class=\"file-field-content form-field-content\"> \n  <div class=\"form-group\"> <label> Final template <\/label> \n   <div class=\"file-container\"> <button type=\"button\" disabled class=\"btn btn-default\"> <i class=\"fa fa-upload btn-icon\"><\/i> File will be uploaded here <\/button> \n   <\/div> \n  <\/div> \n <\/div> \n<\/section> \n<section id=\"print-the-statement-of-cash-flows-template\"> \n <h2>Print the Statement of Cash Flows template<\/h2>\n <div class=\"text-content\">\n   Print a physical copy of the Statement of Cash Flows template for record-keeping and distribution purposes. This task ensures that a hard copy is available and can be referenced or shared as needed. \n <\/div> \n <div class=\"text-field-content form-field-content\"> \n  <div class=\"form-group\"> <label> Print name <\/label> \n   <input type=\"text\" placeholder=\"Something will be typed here...\" disabled class=\"form-control\"> \n  <\/div> \n <\/div> \n <div class=\"date-field-content form-field-content\"> \n  <div class=\"form-group\"> <label> Print date <\/label> \n   <div class=\"date-container\"> <button type=\"button\" disabled class=\"btn btn-default\"> <i class=\"fa fa-calendar btn-icon\"><\/i> Date will be set here <\/button> \n   <\/div> \n  <\/div> \n <\/div> \n<\/section> \n<section id=\"approval-cfo-for-the-final-statement-of-cash-flows-template\"> \n <h2>Approval: CFO for the final Statement of Cash Flows Template<\/h2> \n<\/section> \n<section id=\"prepare-to-present-the-statement-of-cash-flows-to-stakeholders-if-necessary\"> \n <h2>Prepare to present the Statement of Cash Flows to stakeholders if necessary<\/h2>\n <div class=\"text-content\">\n   Prepare to present the Statement of Cash Flows to stakeholders if necessary. This may include creating a presentation or summary document to effectively communicate the key findings and insights from the statement. \n <\/div> \n <div class=\"multi-select-content form-field-content\"> \n  <div class=\"form-group\"> <label> Preparation tasks <\/label> \n  <\/div> \n  <ul class=\"items\"> \n   <li class=\"item\"> \n    <div class=\"step-number-container\"> \n     <div class=\"step-number\">\n       1 \n     <\/div> \n    <\/div> \n    <div class=\"step-checkbox-container\"> \n     <div class=\"step-checkbox\"><\/div> \n    <\/div> \n    <div class=\"item-name-static\">\n      Create presentation slides \n    <\/div> <\/li>\n   <li class=\"item\"> \n    <div class=\"step-number-container\"> \n     <div class=\"step-number\">\n       2 \n     <\/div> \n    <\/div> \n    <div class=\"step-checkbox-container\"> \n     <div class=\"step-checkbox\"><\/div> \n    <\/div> \n    <div class=\"item-name-static\">\n      Compile summary document \n    <\/div> <\/li>\n   <li class=\"item\"> \n    <div class=\"step-number-container\"> \n     <div class=\"step-number\">\n       3 \n     <\/div> \n    <\/div> \n    <div class=\"step-checkbox-container\"> \n     <div class=\"step-checkbox\"><\/div> \n    <\/div> \n    <div class=\"item-name-static\">\n      Practice presentation \n    <\/div> <\/li> \n  <\/ul> \n <\/div> \n<\/section> \n<section id=\"archive-the-prepared-statement-for-future-reference\"> \n <h2>Archive the prepared statement for future reference<\/h2>\n <div class=\"text-content\">\n   Archive the prepared Statement of Cash Flows for future reference and compliance purposes. This involves securely storing the statement in a designated location with appropriate access controls to ensure its integrity and confidentiality. \n <\/div> \n <div class=\"file-field-content form-field-content\"> \n  <div class=\"form-group\"> <label> Archived statement <\/label> \n   <div class=\"file-container\"> <button type=\"button\" disabled class=\"btn btn-default\"> <i class=\"fa fa-upload btn-icon\"><\/i> File will be uploaded here <\/button> \n   <\/div> \n  <\/div> \n <\/div> \n<\/section>\n","protected":false},"excerpt":{"rendered":"<p>Gather all relevant financial data In order to create an accurate Statement of Cash Flows, gather all the relevant financial data including income statements, balance sheets, and cash flow statements. This task is crucial as it forms the foundation for the entire process. Make sure to include all necessary financial documents and reports. Financial documents [&hellip;]<\/p>\n","protected":false},"author":3,"featured_media":0,"comment_status":"closed","ping_status":"open","sticky":false,"template":"","format":"standard","meta":{"_acf_changed":false,"ep_exclude_from_search":false,"cover_icon_emoji":"\ud83d\udcb0","cover_icon_url":"","tasks_count":"19","template_description":"Explore our comprehensive workflow for creating a meticulous Statement of Cash Flows Template, making data gathering, calculations, approvals and presentation effortless.","template_id":"mqxMI6FXw_JLUFQFtilA_A","task_0":"Gather all relevant financial data","task_slug_0":"gather-all-relevant-financial-data","task_1":"Determine the time period for which the Statement of Cash Flows will be generated","task_slug_1":"determine-the-time-period-for-which-the-statement-of-cash-flows-will-be-generated","task_2":"Calculate the company's cash flow from operating activities","task_slug_2":"calculate-the-companys-cash-flow-from-operating-activities","task_3":"Calculate the company's cash flow from investing activities","task_slug_3":"calculate-the-companys-cash-flow-from-investing-activities","task_4":"Calculate the company's cash flow from financing activities","task_slug_4":"calculate-the-companys-cash-flow-from-financing-activities","task_5":"Summarize the total change in cash","task_slug_5":"summarize-the-total-change-in-cash","task_6":"Verification of calculated cash flows with initial data","task_slug_6":"verification-of-calculated-cash-flows-with-initial-data","task_7":"Add an introductory statement at the start of the template","task_slug_7":"add-an-introductory-statement-at-the-start-of-the-template","task_8":"Create appropriate sections to separate the types of cash flows","task_slug_8":"create-appropriate-sections-to-separate-the-types-of-cash-flows","task_9":"Generate a total cash flow figure at the end of the 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