.Calculate the forecast cash received from customers for next year.

a.Produce a Microsoft Excel based model that shows the current income statement and the forecast position. The model should be capable of being used to sensitise the forecast. (5 marks) b.Calculate the forecast cash received from customers for next year. (5 marks) c.Next to your model, insert a pie chart that demonstrates how the forecast […]

.Explains why the forecast for FY 2020 based on management accounts might differ from the statutory accounts

Analyses and comments on the results of the target company from FY 2017 to FY 20202.Based on the forecast cash flows provided, prepare an investment appraisal using discounted cash flow and payback models3.Recommends an appropriate budgeting technique to forecast the first year of operations for the acquired company with a justification for your recommendation4.Explains why […]

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