11 Feb Good cash management is impossible without an analysis
Assignment Details
Good cash management is impossible without an analysis of the cash collections and cash disbursements of a company. Cash budgets provide a gauge for determining credit, disbursement, and discount policies. Cash budgets are effective control devices for monitoring cash and determining financing requirements.
Cash budgets are essential to all small businesses. In this assignment, you are required to do the following:
- Develop a spreadsheet with a cash budget with lagging collections
- Determine the net cash flows for the year
- Forecast the cumulative dollar amount of the external financing required for the year
You are also required to prepare a 3-page analysis of the results of your cash budget.
Middletown Construction, Inc. has estimated the following sales forecast over the next 12 months (they close in the winter):
January$0February$0March$275,000April$275,000May$312,000June$417,000July$714,000August$611,000September$827,000October$500,000November$116,000December$0
The company also gathered the following collection estimates regarding the forecast sales:
- Payment collection within the month of sale = 20%
- Payment collection the month following sales = 60%
- Payment collection the second month following sales = 20%
Payments for raw materials and labor costs are paid the month after the purchase and are estimated as follows:
March$220,000April$240,000May$225,000June$287,000July$350,000August$415,000September$242,000October$214,000November$222,000
Additional financial information is as follows:
- Administrative salaries will approximately amount to $30,000 a month.
- Lease payments are around $10,000 a month.
- A one-time new plant investment for $23,000 is expected to incur and be paid in June.
- Income tax payments estimated to be around $50,000 will be due in both June and September.
- Miscellaneous costs are estimated to be around $5,000 a month.
- Cash on hand on March 1 will be around $50,000, and a minimum cash balance of $50,000 shall be on hand at all times.
To receive full credit on this assignment, please show all work, including formulas and calculations used to arrive at the financial values.
- Prepare a monthly cash budget for Middletown Construction, Inc. for the 12-month period of January through December.
- Use Excel to prepare the monthly cash budget with the use of this template.
Based on your cash budget findings, answer the following questions in a 3-page analysis:
- Will the company need any outside financing?
- When is the line of credit the highest for MCI will need?
- If you were a bank manager, would you want MCI as your client? Why or why not?
Sheet1
FINA425 UNIT 3 INDIVIDUAL ASSIGNMENT TEMPLATE | ||||||||||||||
Student Name: ________________________ | ||||||||||||||
Date submitted: ________________________ | ||||||||||||||
Middletown Construction, Inc. | ||||||||||||||
JANUARY | FEBRUARY | MARCH | APRIL | MAY | JUNE | JULY | AUGUST | SEPTEMBER | OCTOBER | NOVEMBER | DECEMBER | |||
SALES FORECAST | 0 | 0 | 275,000 | 275,000 | 312,000 | 417,000 | 714,000 | 611,000 | 827,000 | 500,000 | 116,000 | 0 | ||
CASH COLLECTIONS | ||||||||||||||
MONTH OF SALE | 20% | |||||||||||||
FIRST MONTH AFTER SALE | 60% | |||||||||||||
SECOND MONTH AFTER SALE | 20% | |||||||||||||
TOTAL CASH INFLOWS | $ – 0 | $ – 0 | $ – 0 | $ – 0 | $ – 0 | $ – 0 | $ – 0 | $ – 0 | $ – 0 | $ – 0 | $ – 0 | $ – 0 | ||
JANUARY | FEBRUARY | MARCH | APRIL | MAY | JUNE | JULY | AUGUST | SEPTEMBER | OCTOBER | NOVEMBER | DECEMBER | |||
DIRECT MANUFACTURING COSTS | – 0 | – 0 | 220,000 | 240,000 | 225,000 | 287,000 | 350,000 | 415,000 | 242,000 | 214,000 | 222,000 | – 0 | ||
PAYMENTS FOR RAW MATERIALS ARE | ||||||||||||||
MANUFACTURING COST PAYMENTS | ||||||||||||||
ADMINISTRATIVE SALARIES | ||||||||||||||
LEASE PAYMENTS | ||||||||||||||
MISCELLANEOUS | ||||||||||||||
TAX PAYMENTS | ||||||||||||||
NEW PLANT COSTS | ||||||||||||||
TOTAL CASH OUTFLOWS | $ – 0 | $ – 0 | $ – 0 | $ – 0 | $ – 0 | $ – 0 | $ – 0 | $ – 0 | $ – 0 | $ – 0 | $ – 0 | $ – 0 | ||
MONTHLY NET CASH GAIN OR LOSS | $ – 0 | $ – 0 | $ – 0 | $ – 0 | $ – 0 | $ – 0 | $ – 0 | $ – 0 | $ – 0 | $ – 0 | $ – 0 | $ – 0 | ||
CUMULATIVE NET CASH GAIN OR LOSS (YTD) | $ – 0 | $ – 0 | $ – 0 | |||||||||||
JANUARY | FEBRUARY | MARCH | APRIL | MAY | JUNE | JULY | AUGUST | SEPTEMBER | OCTOBER | NOVEMBER | DECEMBER | |||
CASH FLOW SUMMARY | ||||||||||||||
1. Cash balance at start of month | ||||||||||||||
2. Net cash gain (loss) during month | ||||||||||||||
3. Cash bal. at end of month (before financing) | ||||||||||||||
4. Minimum cash balance desired | ||||||||||||||
5. Surplus cash (OR) Deficit cash (Line 3 – Line 4) | ||||||||||||||
EXTERNAL FINANCING SUMMARY | ||||||||||||||
6. External financing balance – start of month | ||||||||||||||
7. New financing reqd (negative of Line 5) (if deficit!) | ||||||||||||||
8. Financing repayments (if surplus!) | ||||||||||||||
9. Ext financing balance – end of month | ||||||||||||||
10.Cash bal at end of mo (Line3 + Line7 + Line8) | ||||||||||||||
Developed by Patrice Nybro June 22, 2020 | ||||||||||||||
Sheet2
Sheet3
Our website has a team of professional writers who can help you write any of your homework. They will write your papers from scratch. We also have a team of editors just to make sure all papers are of HIGH QUALITY & PLAGIARISM FREE. To make an Order you only need to click Ask A Question and we will direct you to our Order Page at WriteDemy. Then fill Our Order Form with all your assignment instructions. Select your deadline and pay for your paper. You will get it few hours before your set deadline.
Fill in all the assignment paper details that are required in the order form with the standard information being the page count, deadline, academic level and type of paper. It is advisable to have this information at hand so that you can quickly fill in the necessary information needed in the form for the essay writer to be immediately assigned to your writing project. Make payment for the custom essay order to enable us to assign a suitable writer to your order. Payments are made through Paypal on a secured billing page. Finally, sit back and relax.
About Wridemy
We are a professional paper writing website. If you have searched a question and bumped into our website just know you are in the right place to get help in your coursework. We offer HIGH QUALITY & PLAGIARISM FREE Papers.
How It Works
To make an Order you only need to click on “Order Now” and we will direct you to our Order Page. Fill Our Order Form with all your assignment instructions. Select your deadline and pay for your paper. You will get it few hours before your set deadline.
Are there Discounts?
All new clients are eligible for 20% off in their first Order. Our payment method is safe and secure.