I need a paper on the CanGo
Corporation that provides the following:
The additional information is to assist in doing the research.
The pro forma balance sheet deals with cash and income and also with assets, liabilities, and capital. The balance should result in the debit and credit balances ending up equal.
The break-even analysis results from an estimate of income and expenses. It determines whether or not your business will bring in enough money to meet its costs.
The sales forecast which outlines the methodology.
The business “inventory” for sale, which is based on value.
The business potential of selling, based on the market.
The business capacity for producing to sell, based on resources.
The personnel plan ??" this subject is also dealt with in the Management Team section. The resulting figures should be used further in cost calculations.
Profit and loss. Here you will consider the sales forecast, the sales costs, operating expenses, and the profits. Make month-by-month formal estimates of sales and expenses to obtain a profit projection for your first year of operations. It will reveal gross margin (obtained from sales, less cost of sales), gross profit or profit before interest and taxes (obtained from gross margin, less operating expenses) and net profit (obtained from gross profit, less interest and taxes).
The business ratio analysis results from existing figures. The financial sections of business plans require key ratios such as profitability ratios, gross margin, return on sales, return on investment and liquidity ratios such as current ratio, debt to equity and working capital.
The market forecast is treated in detail in the chapter on Strategy Implementation. A few lines on marketing may be appropriate here. Project the number of potential customers and the impact of market growth on the business.
This should include the following information:
10.1 Profit and Loss statement for previous X years
10.2 Balance Sheet for previous X years
10.3 Fixed and variable cost projections
10.4 Sales projections for the next 3-5 years
10.5 Projected Cash Flow analysis for the next 3-5 years
10.6 Projected Profit and Loss statements for the next 3-5 years
10.7 Projected Balance Sheets for the next 3-5 years
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