商业计划书:财务分析
网友投稿• 2021-11-07 23:28:46 •阅读65
财务分析应包括以下内容:
\r\n1. 展示财务现状;
\r\n2. 今后三年的发展预测;
\r\n3. 投资计划;
\r\n4. 财务预测:损益预测表、资产负载预测表、现金流量预测表;
\r\n5. 资本退出方式
\r\n现金流量预测表,例如:
\r\nCash Flow Forecast
\r\nLast Year This Year Next Year
\r\nBeginning Cash Balance
\r\nCash Receipts
\r\nCollection of Receivables
\r\nInterest Income
\r\nTotal Cash Receipts
\r\nCash Disbursements
\r\nAccounts Payable
\r\nPayments of Other Expenses
\r\nIncome Tax Payments
\r\nTotal Cash Disbursements
\r\nNet Cash from (Used for) Operations
\r\nSale of Stock
\r\nPurchase of Equipment
\r\nDecrease (Increase) in Funds Invested
\r\nShort-term Borrowings (Repayments)
\r\nEnding Cash Balance
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