A part of the planning process
Can ascertain cash position
Facilitates compliance with Strategic Objectives
Estimates the effects of changes in the key assumptions
Helps to determine dividend policy
Assess whether anticipated performance is in line with its established targets
Anticipate the amount of funding needed to achieve its forecasted sales growth
Estimate effects of changes in assumptions of key numbers
IS - Whether net income targets are being met, whether there is adequate interest coverage
B/S - Whether target liquidity position, long term solvency ratio, asset turnover ratios are met
Cash flow Statement - whether target cash flows from operating, investing and financing activities are met, to help frame the dividend policy
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