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商业计划书:财务分析

  财务分析应包括以下内容:

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  1. 展示财务现状;

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  2. 今后三年的发展预测;

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  3. 投资计划;

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  4. 财务预测:损益预测表、资产负载预测表、现金流量预测表;

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  5. 资本退出方式

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  现金流量预测表,例如:

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Cash Flow Forecast

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                     Last Year    This Year    Next Year

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  Beginning Cash Balance

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  Cash Receipts

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   Collection of Receivables

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   Interest Income

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   Total Cash Receipts

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  Cash Disbursements

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   Accounts Payable

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   Payments of Other Expenses

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   Income Tax Payments

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   Total Cash Disbursements

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  Net Cash from (Used for) Operations

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  Sale of Stock

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  Purchase of Equipment

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  Decrease (Increase) in Funds Invested

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  Short-term Borrowings (Repayments)

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  Ending Cash Balance

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