Financial Statement and Cash Flow

Part One: Financial Statement Forecasting

For this assignment, you will construct a firm’s projected pro forma and balance sheet. Download the Excel template below and complete the included problem.

Financial Statement Forecasting

Part Two: Cash Budget

For this assignment, you will construct a firm’s monthly cash budget. Download the Excel template below and complete the included problem.

Cash Budget

"Is this question part of your assignment? We can help"

ORDER NOW