high quality 2 reports needed

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part_11.docx

Part 1

In three to four pages, using Microsoft Word, along with accompanying Excel spreadsheet data,

address the following areas:

• Discuss and show the cost associated with starting your company and show a pricing model

for your products or services (create a table in Excel).

• Create income statements and balance sheets for three years using Excel spreadsheets.

• Create a break-even analysis (create in Excel).

Use Microsoft Word to create a financial summary containing needed start-up funds and how you will

obtain the start-up funds, pricing model, and summarize your financial spreadsheet data. Develop a

detailed Excel spreadsheet for the financial data (use separate worksheets in Excel for more

organization).

Part 2

In part 2: In three to four pages using Microsoft Word address the flowing areas: Identify the components needed in cash flow statements. Explain the benefits of cash-flow analysis and any problems that could arise if it is not conducted. Last, use Excel or other spreadsheet software to create cash flow statements for three years. Please include this information in your Part 1 Excel file.

(use same excel sheet of Part 1 and add on)

You HAVE TO CHOOSE THE BUSINESS WHICH I WILL PROVIDE DETAILS FOR IT

Part 1

In three to four pages, using Microsoft Word, along with accompanying Excel spreadsheet data,

address the following areas:

• Discuss and show the cost associated with starting your company and show a pricing model

for your products or services (create a

table in Excel).

• Create income statements and balance sheets for three years using Excel spreadsheets.

• Create a break

-

even analysis (create in Excel).

Use Microsoft Word to create a financial summary containing needed start

-

up funds and how you will

o

btain the start

-

up funds, pricing model, and summarize your financial spreadsheet data. Develop a

detailed Excel spreadsheet for the financial data (use separate worksheets in Excel for more

organization).

Part 2

In part 2

:

In three to four pages using Microsoft Word address the flowing areas

:

·

Identify the components needed in cash flow statements

.

·

Explain the benefits of cash

-

flow analysis and any problems that could arise if it is no

t

conducted

.

·

Last, use Excel or other spreadsheet software to create cash flow statements for thre

e

years. Please include this information in your Part 1 Excel file

.

(use same excel sheet of Part 1 and add on)

Y

ou

HAVE TO CHOOSE THE BUSINESS WHICH I WILL PROVIDE DETAILS FOR IT

Part 1

In three to four pages, using Microsoft Word, along with accompanying Excel spreadsheet data,

address the following areas:

• Discuss and show the cost associated with starting your company and show a pricing model

for your products or services (create a table in Excel).

• Create income statements and balance sheets for three years using Excel spreadsheets.

• Create a break-even analysis (create in Excel).

Use Microsoft Word to create a financial summary containing needed start-up funds and how you will

obtain the start-up funds, pricing model, and summarize your financial spreadsheet data. Develop a

detailed Excel spreadsheet for the financial data (use separate worksheets in Excel for more

organization).

Part 2

In part 2:

In three to four pages using Microsoft Word address the flowing areas:

 Identify the components needed in cash flow statements.

 Explain the benefits of cash-flow analysis and any problems that could arise if it is not

conducted.

 Last, use Excel or other spreadsheet software to create cash flow statements for three

years. Please include this information in your Part 1 Excel file.

(use same excel sheet of Part 1 and add on)

You HAVE TO CHOOSE THE BUSINESS WHICH I WILL PROVIDE DETAILS FOR IT