transcribing of some information to other separate file copy to store a back-up files. During the succeeding days of my stay in Relation House Inc.‚ I was commanded by my superior to make summary of the expenses occurred for the replenishment of the petty cash fund and then sort & file the receipts. I also did Inventory Checking in the office and pantry with Krisha and Yoradel then update its count by making an Excel report of it as of the date we did it. While being trusted of the
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Overview of Active Gear: 1. Active Gear is a relatively small athletic and casual footwear company $470.3 million of revenue and $60.4 million of EBIT compared to typical competitors that sold well over a $1.0 billion annually Company executives felt its small size was becoming more of a disadvantage due to consolidation among Chinese contract manufacturers. Specialty athletic footwear that evolved from high performance to athletic fashion wear with a “classic” appeal. Casual/recreational footwear
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Question1. NPV = FCF1/(1+WACC)+FCF2/(1+WACC)^2+FCF3/(1+WACC)^3+FCF4/(1+WACC)^4+FCF5/(1+WACC)^5 +FCFp‚ where FCF1…FCF5 are the free cash flows in years from 1999 to 2003. FCF = Cash flow from Operations – increase in net working capital requirement – capital expenditures‚ discounted by WACC. For example‚ in 1999 FCF1 = (7965 – 516 – 4938)/(1+0‚1) = 2283. Similarly‚ we calculate FCF2=2479‚ FCF3=2666‚ FCF4=3007‚ FCF5=3132. As we assume‚ that after 2003 the FCF will grow permanently by 4% by year
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Discount rate 19% Tax rate 35% Number of years for the project 5 Model Area (expand as needed): Initial Investments Equipment Purchase 20500000 Working Capital 3000000 Total Investment 23500000 Salvage value 3500000 Annual Net After Tax Cash Flows year 0 year 1 year 2 year 3 year 4 year 5 Initial Investment -23500000 Estimated Sales volume 68000 79000 105000 73000 50000 Sales 16830000 19552500 25987500 18067500 12375000 Variable cost 6596000 7663000 10185000 7081000 4850000
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following is a suggested structure of your report: Purpose of the credit extension o Keep this part short Financial statement analysis‚ cash-flow projections‚ and debt service capacity. o This should be one main part of your report. You should use an excel spread sheet to conduct a sensitivity analysis on the projected cash flows and the ability of the borrower to repay the loan. Assessment of major risks‚ including impact of forecasted economic trends and the strength of competitors
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of the supplies and pays for these purchases. He also receives the checks and completes the monthly bank reconciliation. The accountant is so busy that the company handles petty cash a bit differently. All employees have access to the petty cash in a desk drawer and are asked to only place a note if they use any of the cash. The accountant has recently started using pre-numbered invoices and wants to buy an indelible ink machine to print their checks. The President is waiting to hear from you if
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Duarte‚ Astrid Period 1 English 1/13/15 Vocabulary Unit 5 Definitions: 1. Amnesty- (n.) an official pardon for people who have been convicted of political offenses 2. Autonomy- (n.) self-government‚ political control 3. Axiomatic- (adj.) self-evident or unquestionable 4. Blazon- (v.) to adorn or embellish‚ to set forth conspicuously or publicly 5. Caveat- (n.) an explanation or warning that should be remembered when you are doing or thinking about something 6. Equitable (adj.) fair and impartial
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Cash killers: Death of the High-Street. Since the introduction of the internet in the early nineties (Leiner et al 2003) http://www.isoc.org/internet/history/brief.shtml it has shown phenomenal growth. This is especially true of the past four years with a 23% increase in home internet access (wallis 2006). This huge increase has been fuelled by cheaper prices by both providers and hardware (as described by Moores Law) as well as higher computer literacy levels since the government introduction
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7 | 5178.25 | 5718.25 | 1 | 0 | Cash Cows Dogs Star Question Mark BCG matrix has 2 dimensions: market share and market growth while divided in Four categories. Placing products in the BCG matrix results in 4 categories in a portfolio of a company: 1. Stars (=high growth‚ high market share) - use large amounts of cash and are leaders in the business so they should also generate large amounts of cash. - frequently roughly in balance on net cash flow. However if needed any attempt
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10 CASH MANAGEMENT AND CONTROL DISCUSSION QUESTIONS SOLUTIONS 1. Explain the limitations of balance sheets‚ income statements and cash flow statements in anticipating future cash flow issues. From the chapter Scene Setter: • • 2. Balance sheets and income statements are snapshots of your finances at a particular moment. They don’t capture your changing cash requirements through the year. Even the cash flow statement in your annual accounts is backward-looking‚ a summary of how your cash balance
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