This is a two-part written project that will focus on the financial aspects of your start-up business. This project also includes the use of Excel spreadsheets containing financial data and required reports.
In part 1 you will create income statements, balance sheets, and a break-even analysis. (4 pages)
In part 2 you will address the benefits of cash-flow analysis and create cash flow statements. (5 pages)
Additional Information:
Use http://www.jaxworks.com/ to get the template
Consider insurance in calculation.
The cash flow statement should be a forecast for 3 years.
Excel Spreadsheet –Appendix
