Budgeting and Forcasting-Business Proposal wk 1-wk7
DeVry University
Course Project
BUSN278 Budgeting and Forecasting
Student Project Activity – Week 6
A. Week 6: Section 5.2: Pro Forma Cash Flow Statement
B. TCOs Addressed:
TCO 10: Given a description of a new business, new product, service or project develop, present and defend the budget
C. Project Activity Overview – Scenario / Summary:
Use the Budget Proposal Workbook.xlsx Budget Proposal Template.docx to develop pro-forma cash flow statements for the new business
D. Deliverables:
Complete Section 5.2: Pro-Forma Cash Flow Statements. Also, provide cash flow statements and other supporting budget calculations in MS Excel template tab 5.0 in Budget Proposal Workbook.xlsx
Add section 5.2 to the Budget Proposal Template.docx and save it as YourName_Project_WK6.docx. Also add Section 5.2 to your Budget Proposal workbook.xls and save it as YourName_Worksheet_WK6.xlsx and upload both files to the Week 6 Project Dropbox.
E. Project Tasks:
|
Task 1: |
Add Pro Forma Cash Flow statements to Section 5.0 of the Budget Proposal Workbook.xls and the Budget Proposal Template.docx. |
|
Task 2: |
Save the Excel and Word documents, and submit them to the Week 6 Project Dropbox. |
|
F. Grading Criteria |
|
Description Suggested Points The Pro-forma cash flow statement is properly constructed. 3 Other necessary supporting budgets are present and all calculations are correct. 3 The sources of figures in the pro-forma cash flow statements and assumptions are identified. 4 Total Points 10 points
|
|
End of Week 6 |
Copyright ®© 2010 by DeVry Educational Development Corporation.
All rights reserved. No part of this work may be reproduced or used in any form or by any means – graphic, electronic, or mechanical, including photocopying, recording, Web distribution or information storage and retrieval systems – without the prior consent of DeVry Educational Development Corporation.
Page 1 of 2
BUSN278_Project_Activity_ Week_6.doc