Effect of revenue increase


Assignment:

Review your organization's most recent financial reports, including balance sheets, statements of cash flow, management comments, and footnotes to financial statements.

Write a 1,400  to 2,100 word paper that addresses senior management in which you do the following:

  • Assume next year's forecasted revenues increase by 20%.
  • Explain how each current asset and liability account has affected cash management strategies.
  • Provide a detailed working capital recommendation based on next year's increase in revenue along with assumptions you make regarding other line items in the pro forma financial statements.
  • Support your recommendations with financial analysis to show how they maximize shareholder wealth.
  • Calculate and discuss the effect of the revenue increase on the firm's working capital policy.
  • Identify lessons learned and discuss areas for further development in your conclusion.

Format your paper consistent with APA guidelines.

Create a 5 to 8 slide Microsoft® PowerPoint® presentation for the organization's senior management with an executive summary of your Working Capital Strategies paper.

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Business Management: Effect of revenue increase
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