business plan

cassy101
assignment2budget32.xlsx

How to use this template

How to use this template
Save the template (XLT file) to your computer. Double-click on it to create a new plan, then follow these steps:
Step 1 Set a starting point for your projections
Start date 1/3/18
Step 2 Set-up costs
Use the set-up costs sheet to calculate the cost of setting up your business.
Step 3 Profit and loss forecast
Forecast your month-by-month profit and loss for the first 12 months of operations. Enter sales in the month when they're invoiced, rather than the month when they're paid.
Step 4 Cash flow forecast
Forecast your month-by-month cash flow for the first 12 months of operations. Enter sales revenue in the month when it's received, rather than the month when it's invoiced.
Step 5 Balance sheet forecast
Forecast your balance sheet position at the end of the first 12 months of operation. The balance sheet draws on the figures you've entered in your profit and loss forecast.
Step 6 Break-even analysis
Find out how many sales you need to make in the first 12 months to cover your fixed costs and break even.
Tips
Enter figures in any white field. The yellow fields are calculated for you.
Enter as much or as little information as you like. The more information you record, the better your analysis.
By default, the sheets in this template are locked, so that the formulas cannot be changed. If you are a confident Excel user, you may wish to unlock a sheet and modify it.
Please send any feedback or questions to cashflow@cba.com.au
Important information
The figures shown in this Financial Forecast spreadsheet are intended as a guide only. It has been prepared without considering your objectives, financial situation or needs. Before acting on the calculations in this spreadsheet, you should consider its appropriateness to your circumstances. The Commonwealth Bank accepts no responsibility for any financial loss resulting from the use of this spreadsheet. We recommend you seek professional advice before acting on the information or calculations contained in it.

Set-up costs

Set-up costs
Setting up the business
Accountant's fees $8,944
Solicitor's fees $200
Business registration $150
Domain name registration $250
Insurance premiums $1,000
Licences $900
Workers compensation $3,000
Setting up the premises
Lease deposit and advance rent $500
Fitout $0
Utility bonds and connection $0
Stationery and office supplies $350
Plant and equipment
Equipment $6,500
Vehicles $3,000
Telecommunications $2,000
Computers and software $3,500
Starting operations
Advertising and promotion $850
Raw materials and supplies $3,500
Working capital $4,700
Start-up capital
Equity investment $35,000
Borrowings $25,000
Total $60,000
The result
Total set-up costs $39,344
Surplus funds $20,656
Borrowings required 0

Profit and loss forecast

Profit and loss forecast
Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec Totals
Sales
Sales (invoiced) $22,500.00 $27,000.00 $32,400.00 $38,880.00 $46,656.00 $55,987.20 $67,184.64 $80,621.57 $96,745.88 $116,095.06 $139,314.07 $167,176.88 $890,561.30
Cost of goods sold $6,750.00 $8,100.00 $9,720.00 $11,664.00 $13,996.80 $16,796.16 $20,155.39 $24,186.47 $29,023.76 $34,828.52 $41,794.22 $50,153.07 $267,168.39
Gross profit $15,750.00 $18,900.00 $22,680.00 $27,216.00 $32,659.20 $39,191.04 $47,029.25 $56,435.10 $67,722.12 $81,266.54 $97,519.85 $117,023.82 $623,392.91
Expenses
Accounting fees $500.00 $535.00 $572.45 $612.52 $655.40 $701.28 $750.37 $802.89 $859.09 $919.23 $983.58 $1,052.43 $8,944.23
Advertising $850.00 $892.50 $937.13 $983.98 $1,033.18 $1,084.84 $1,139.08 $1,196.04 $1,255.84 $1,318.63 $1,384.56 $1,453.79 $13,529.56
Bank charges $400.00 $420.00 $441.00 $463.05 $486.20 $510.51 $536.04 $562.84 $590.98 $620.53 $651.56 $684.14 $6,366.85
Bank interest $200.00 $208.00 $216.32 $224.97 $233.97 $243.33 $253.06 $263.19 $273.71 $284.66 $296.05 $307.89 $3,005.16
Depreciation $325.00 $325.00 $325.00 $325.00 $325.00 $325.00 $325.00 $325.00 $325.00 $325.00 $325.00 $325.00 $3,900.00
Electricity and gas $700.00 $700.00 $700.00 $700.00 $700.00 $700.00 $700.00 $700.00 $700.00 $700.00 $700.00 $700.00 $8,400.00
Equipment hire/lease $950.00 $950.00 $950.00 $950.00 $950.00 $950.00 $950.00 $950.00 $950.00 $950.00 $950.00 $950.00 $11,400.00
Insurance $1,000.00 $1,000.00 $1,000.00 $1,000.00 $1,000.00 $1,000.00 $1,000.00 $1,000.00 $1,000.00 $1,000.00 $1,000.00 $1,000.00 $12,000.00
Legal fees $450.00 $450.00 $450.00 $450.00 $450.00 $450.00 $450.00 $450.00 $450.00 $450.00 $450.00 $450.00 $5,400.00
Motor vehicle expenses $575.00 $615.25 $658.32 $704.40 $753.71 $806.47 $862.92 $923.32 $987.96 $1,057.11 $1,131.11 $1,210.29 $10,285.86
Postage, telephone and fax $350.00 $385.00 $423.50 $465.85 $512.44 $563.68 $620.05 $682.05 $750.26 $825.28 $907.81 $998.59 $7,484.50
Stationery $350.00 $376.25 $404.47 $434.80 $467.41 $502.47 $540.16 $580.67 $624.22 $671.03 $721.36 $775.46 $6,448.30
Rent $1,100.00 $1,100.00 $1,100.00 $1,100.00 $1,100.00 $1,100.00 $1,100.00 $1,100.00 $1,100.00 $1,100.00 $1,100.00 $1,100.00 $13,200.00
Repairs and maintenance $750.00 $802.50 $858.68 $918.78 $983.10 $1,051.91 $1,125.55 $1,204.34 $1,288.64 $1,378.84 $1,475.36 $1,578.64 $13,416.34
Security $800.00 $800.00 $800.00 $800.00 $800.00 $800.00 $800.00 $800.00 $800.00 $800.00 $800.00 $800.00 $9,600.00
Sundries $900.00 $967.50 $1,040.06 $1,118.07 $1,201.92 $1,292.07 $1,388.97 $1,493.14 $1,605.13 $1,725.51 $1,854.93 $1,994.05 $16,581.36
Superannuation $625.00 $625.00 $625.00 $625.00 $625.00 $625.00 $625.00 $625.00 $625.00 $625.00 $625.00 $625.00 $7,500.00
Transport/courier costs $870.00 $904.80 $940.99 $978.63 $1,017.78 $1,058.49 $1,100.83 $1,144.86 $1,190.66 $1,238.28 $1,287.81 $1,339.33 $13,072.45
Wages $3,000.00 $3,090.00 $3,182.70 $3,278.18 $3,376.53 $3,477.82 $3,582.16 $3,689.62 $3,800.31 $3,914.32 $4,031.75 $4,152.70 $42,576.09
Workers compensation $1,250.00 $1,287.50 $1,326.13 $1,365.91 $1,406.89 $1,449.09 $1,492.57 $1,537.34 $1,583.46 $1,630.97 $1,679.90 $1,730.29 $17,740.04
$0.00
$0.00
$0.00
$0.00
$0.00
$0.00
$0.00
$0.00
$0.00
Total $15,945.00 $16,434.30 $16,951.74 $17,499.15 $18,078.52 $18,691.96 $19,341.74 $20,030.30 $20,760.25 $21,534.41 $22,355.77 $23,227.59 $230,850.73
Result
Net profit -$195.00 $2,465.70 $5,728.26 $9,716.85 $14,580.68 $20,499.08 $27,687.51 $36,404.80 $46,961.86 $59,732.13 $75,164.07 $93,796.23 $392,542.18
Gross profit margin 70% 70% 70% 70% 70% 70% 70% 70% 70% 70% 70% 70% 70%
Net profit margin -1% 9% 18% 25% 31% 37% 41% 45% 49% 51% 54% 56% 44%

Cash flow forecast

Cash flow forecast
Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec Totals
Starting cash position $25,000.00 $20,505.00 $26,778.70 $37,043.28 $52,169.11 $73,204.56 $101,411.93 $138,310.46 $185,727.98 $245,863.01 $321,359.15 $415,394.48
Incoming
Cash sales $11,250.00 $13,500.00 $16,200.00 $19,440.00 $23,328.00 $27,993.60 $33,592.32 $40,310.78 $48,372.94 $58,047.53 $69,657.03 $83,588.44 $445,280.65
Collections from accounts receivable $0.00 $9,000.00 $10,800.00 $12,960.00 $15,552.00 $18,662.40 $22,394.88 $26,873.86 $32,248.63 $38,698.35 $46,438.02 $55,725.63 $289,353.77
Other cash receipts $200.00 $208.00 $216.32 $224.97 $233.97 $243.33 $253.06 $263.19 $273.71 $284.66 $296.05 $307.89 $3,005.16
Total $11,450.00 $22,708.00 $27,216.32 $32,624.97 $39,113.97 $46,899.33 $56,240.26 $67,447.83 $80,895.28 $97,030.54 $116,391.11 $139,621.96 $737,639.58
Outgoing
Fixed costs $6,378.00 $6,573.72 $6,780.69 $6,999.66 $7,231.41 $7,476.78 $7,736.70 $8,012.12 $8,304.10 $8,613.76 $8,942.31 $9,291.04 $92,340.29
Administration $4,468.00 $4,625.72 $4,792.37 $4,968.55 $5,154.90 $5,352.08 $5,560.84 $5,781.97 $6,016.31 $6,264.77 $6,528.34 $6,808.07
Marketing $340.00 $357.00 $374.85 $393.59 $413.27 $433.94 $455.63 $478.41 $502.33 $527.45 $553.82 $581.52
Operations $1,570.00 $1,591.00 $1,613.47 $1,637.51 $1,663.24 $1,690.77 $1,720.22 $1,751.73 $1,785.46 $1,821.54 $1,860.15 $1,901.46
Variable costs $9,567.00 $9,860.58 $10,171.04 $10,499.49 $10,847.11 $11,215.17 $11,605.04 $12,018.18 $12,456.15 $12,920.64 $13,413.46 $13,936.55 $138,510.44
Administration $6,702.00 $6,938.58 $7,188.56 $7,452.83 $7,732.34 $8,028.12 $8,341.27 $8,672.96 $9,024.47 $9,397.16 $9,792.51 $10,212.10
Marketing $510.00 $535.50 $562.28 $590.39 $619.91 $650.90 $683.45 $717.62 $753.50 $791.18 $830.74 $872.27
Operations $2,355.00 $2,386.50 $2,420.21 $2,456.27 $2,494.86 $2,536.15 $2,580.33 $2,627.60 $2,678.18 $2,732.31 $2,790.22 $2,852.18
Total $15,945.00 $16,434.30 $16,951.74 $17,499.15 $18,078.52 $18,691.96 $19,341.74 $20,030.30 $20,760.25 $21,534.41 $22,355.77 $23,227.59 $230,850.73
Result
Change during month -$4,495.00 $6,273.70 $10,264.58 $15,125.82 $21,035.45 $28,207.37 $36,898.52 $47,417.53 $60,135.03 $75,496.14 $94,035.33 $116,394.37
Closing cash position $20,505.00 $26,778.70 $37,043.28 $52,169.11 $73,204.56 $101,411.93 $138,310.46 $185,727.98 $245,863.01 $321,359.15 $415,394.48 $531,788.85

Balance sheet forecast

Balance sheet forecast
As at December 2018
Assets
Current assets $625,179
Cash $531,789
Petty cash $0
Accounts receivable $66,871
Stock $5,169
Short-term investment $21,350
Prepaid expenses $0
Long-term investment $0
Fixed assets $101,730
Land $0
Buildings $22,100
Improvements $8,430
Equipment $26,300
Furniture $19,250
Motor/vehicles $25,650
Total assets $726,909
Liabilities
Current liabilities $309,367
Accounts payable $23,228
Interest payable $3,005
Taxes payable $91,452
Income tax $134,980
Sales tax $19,627
Payroll accrual $37,075
Long-term liabilities $25,000
Borrowings $25,000
Total liabilities $334,367
Net assets $392,542
Owner's equity Does not balance by $0
Retained earnings $0
Current year earnings $392,542
Total equity (should equal net assets) $392,542

Break-even analysis

Break-even analysis
Average selling price per unit $62
Average cost of each unit $27
Gross profit margin 56%
Fixed costs $230,851
Dollar sales to break even $408,936
Number of unit sales to break even 6,596