PROBLEM 1: – Prepare a schedule of net cash provide by operating activities.PLEASE ANSWER HOW TO GET EACH HIGHLIGHTED YELLOW CELL. I HAVE TO ANSWER USING THE FORMULA SO CAN YOU PLEASE SHOW YOUR WORK USING EXCEL SPREADSHEET. CORRECT ANSWERS ONLY…THANK YOU!!PROBLEM 2:- Please refer to the word document (Unit 3 Problem 2) for instructions.PROBLEM 3:- Compute and interpret financial ratios that managers use to assess liquidity.- Compute and interpret financial ratios that managers use for asset management purposes.- Compute and interpret financial ratios that managers use for debt management purposes.PLEASE ANSWER HOW TO GET EACH HIGHLIGHTED YELLOW CELL. I HAVE TO ANSWER USING THE FORMULA SO CAN YOU PLEASE SHOW YOUR WORK USING EXCEL SPREADSHEET…THANK YOU!PROBLEM 4:- Please refer to the word document (Unit 3 Problem 4) for instructions.

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