WEEK 2: COURSE PROJECT ACTIVITY

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BudgetProposalWorkbook.xlsx

Instructions

BUSN278 Budgeting and Forecasting Template Instructions
Use this spreadsheet structure to lay out the various sections of your project.
The purpose of this spreadsheet is to make it easy for your professor to locate the
various sections of your project. Please don't alter the worksheet tabs or titles.
After you finish your calculations in this spreadsheet, you will have to
create a written report in which you take screenshots from this spreadsheet
and put them in the Budget Proposal Template, along with necessary
explanations. Detailed instructions for how to write the report
are found in the Budget Proposal Template, a Word document.

2.1 & 2.2 Sales Forecast

Put your sales forecasting calculations here.

3.0 Capital Expenditure Budget

4.1 Cashflows

Put your detailed cash inflows and cash outflows here, also showing net cash flow.

4.2 NPV Analysis

Create an NPV analysis here.

4.3 Rate of Return Calculations

Show your rate of return calculations in this worksheet.

4.4 Payback Period Calculations

Show your payback period calculations here.

5.0 Pro Forma Financials

Put your pro forma income statement, balance sheet, and cash budget here, along with any other supporting calculations or schedules.