Paper, Order, or Assignment Requirements
In three to four pages, using Microsoft Word, along with accompanying Excel spreadsheet data,
address the following areas:
- Discuss and show the cost associated with starting your company and show a pricing model
for your products or services (create a table in Excel).
- Create income statements and balance sheets for three years using Excel spreadsheets.
- Create a break-even analysis (create in Excel).
Use Microsoft Word to create a financial summary containing needed start-up funds and how you will
obtain the start-up funds, pricing model, and summarize your financial spreadsheet data. Develop a
detailed Excel spreadsheet for the financial data (use separate worksheets in Excel for more
organization).
In part 2:
In three to four pages using Microsoft Word address the flowing areas:
- Identify the components needed in cash flow statements.
- Explain the benefits of cash-flow analysis and any problems that could arise if it is not
conducted.
- Last, use Excel or other spreadsheet software to create cash flow statements for three
years. Please include this information in your Part 1 Excel file.
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