Briefly describe the basic components of the cash budget

Assignment Help Financial Management
Reference no: EM131308246

I. Which three statements result as part of the short-term (operating) financial planning process?

II. What is the purpose of the cash budget? What role does the sales forecast play in its preparation?

III. Briefly describe the basic components of the cash budget.

IV. What is the cause of uncertainty in the cash budget, and what two techniques can be used to cope with this uncertainty?

V. What is the purpose of pro forma statements? What inputs are required for preparing them using the simplified approaches?

VI. How is the percent-of-sales method used to prepare pro forma income statements?

VII. Describe the judgmental approach for simplified preparation of the pro forma balance sheet?

Reference no: EM131308246

Questions Cloud

Nonquantitative factors best predict bond defaults : Bond rating agencies have invested significant sums money in an effort to determine which quantitative and nonquantitative factors best predict bond defaults. Furthermore, some of the raters invest time and money to meet privately with corporate pers..
Payoffs without any cost or risk using arbitrage portfolio : Suppose there are two states of nature in the future. In the asset market, there are the two contingent claims, one for each state. There’s a third security with payoffs x=(4,2). What is the payoff matrix X of the asset market? Is the market complete..
What bid price per carton should you submit : Guthrie Enterprises needs someone to supply it with 156,000 cartons of machine screws per year to support its manufacturing needs over the next five years, and you’ve decided to bid on the contract. It will cost you $1,960,000 to install the equipmen..
What rate would legally have to be quoted : A local finance company quotes an interest rate of 19.5 percent on one-year loans. So, if you borrow $46,000, the interest for the year will be $8,970. What rate would legally have to be quoted? What is the effective annual rate?
Briefly describe the basic components of the cash budget : Which three statements result as part of the short-term (operating) financial planning process? What is the purpose of the cash budget? What role does the sales forecast play in its preparation? Briefly describe the basic components of the cash budge..
Suspending its dividend payments : A&L Resources just paid a dividend of $1, but is suspending its dividend payments. It plans to start paying a $1 dividend in year 4, and will pay a $1.20 dividend in year 5 when dividends will start growing at 3.5% and r = 10%. What is the price of t..
What was the firm cash flow to creditors : The December 31, 2013, balance sheet of Schism, Inc., showed long-term debt of $1,430,000, and the December 31, 2014, balance sheet showed long-term debt of $1,640,000. The 2014 income statement showed an interest expense of $97,000. Required: What w..
Firm in terms of cash flow from operating activities : Explain how the depreciation percentages are determined by using the MACRS recovery periods. Describe the overall cash flow through the firm in terms of cash flow from operating activities, cash flow from investment activities, and cash flow from fin..
Areas of analysis are combined in modified dupont formula : Financial ratio analysis is often divided into five areas: liquidity, activity, debt, profitability, and market ratios. Differentiate each of these areas of analysis from the others and give and define examples of each. Which is of the greatest conce..

Reviews

Write a Review

Financial Management Questions & Answers

  What is payback period of project with average cash outflows

What is the payback period of a project with average cash outflows of $8,000, average annual cash inflows of $10,000, and an initial investment of $13,000? The payback period is how many years?

  How does corporate strategy differ from business

please answer the following questions. please refer to some of the following individual companies for examples ge

  Bonds outstanding with coupon rate

Union Local School District has bonds outstanding with a coupon rate of 3.7 percent paid semiannually and 26 years to maturity. The yield to maturity on these bonds is 4.3 percent and the bonds have a par value of $10,000. What is the price of the bo..

  Stocks and bonds-from variety of investment alternatives

Use this information to answer the following 2 related questions: Rob is a financial manager with Sharez, an investment advisory company. He must select specific investments—for example, stocks and bonds—from a variety of investment alternatives. Wha..

  How much value does the use of debt add

A local firm has debt worth $250,000, with a yield of 9%, and equity worth $400,000. It is growing at a 6% rate, and its tax rate is 40%. A similar firm with no debt has a cost of equity of 11%. Under the MM extension with growth, what is the value o..

  End inventory level and inventory turnover ratio

Charlie's Cycles Inc. Has $110 million in sales. The company expects that its sales will increase 5% this year. Charlie's CFO uses a simple linear regression to forecast the company's inventory level for a given level of projected sales. Given the es..

  Fixed assets and capital expenditures first to recognize

What is examples free cash flow and how can a company can use its free cash flow? Does a company have to pay off its fixed assets and capital expenditures first to recognize or have free cash flow available?

  Annual return mean and standard deviation

Tyler Trucks stock has an annual return mean and standard deviation of 14 percent and 37 percent, respectively. Michael Moped Manufacturing stock has an annual return mean and standard deviation of 11.2 percent and 55 percent, respectively.

  Based on just-completed survey-growth rate in economy

Suppose the government announces that, based on a just-completed survey, the growth rate in the economy is likely to be 2 percent in the coming year, as compared to 5 percent for the past year. Will security prices increase, decrease, or stay the sam..

  Company after considering the different lives of the project

The company is choosing between machine A and B (they are mutually exclusive and the company can only pick one). The initial cost of machine A is $400,000 and it will last for 7 years before it needs to be replaced. Which machine is a better choice f..

  Split has no effect on the total market value

JPix management is considering a stock split. JPix currently sells for $110 per share, and a 3-for-1 stock split is contemplated. What will be the company's stock price following the stock split assuming that the split has no effect on the total mark..

  Long-term corporate bonds had an average return

Assume that long-term corporate bonds had an average return of 5.3 percent and a standard deviation of 9.3 percent for a 30-year period. What range of returns would you expect to see on these bonds 68 percent of the time?

Free Assignment Quote

Assured A++ Grade

Get guaranteed satisfaction & time on delivery in every assignment order you paid with us! We ensure premium quality solution document along with free turntin report!

All rights reserved! Copyrights ©2019-2020 ExpertsMind IT Educational Pvt Ltd