Excel spreadsheet

profileDArmwood

Need this project completed

  • 7 months ago
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F2025Assignt2KeyCheckfigures.xlsx

Sheet1

Key Check Figures
Schedules
Schedule B July August September Sched E15
Total collections $2,274,993 $2,572,479 $2,858,704 $929,200
Schedule D
COGS $1,692,384 $1,909,842 $2,156,968
Schedule E
Total Payments $2,076,010 $1,985,264 $2,177,350
Projected Income statements
Net Income before Taxes $125,877 $161,323 $203,086
Projected Balance Seet September
Accounts Receivable $3,079,662
Inventory $1,587,432
Fixed Assets, net of depreciation $1,522,000
Total Assets $6,230,594
Accounts Payable $896,796
Projected SCF July August September
Cash excess (deficit) -$527,715 -$166,635 -$206,252