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Explaln the following below using the provided details - Projected Statement of Financial Position 1 - Projected Statement of Financial Position 2 - PROJECTED STATEMENT
Explaln the following below using the provided details - Projected Statement of Financial Position 1
- Projected Statement of Financial Position 2
- PROJECTED STATEMENT OFCOMPREHENSIVE INCOME
- PROJECTED STATEMENT OF CASHFLOW
- PROJECTED STATEMENT OF CHANGES IN OWNER'S EQUITY
Projected Statement of Financial Position 1 | ||||
Year 1 | Year 2 | Year 3 | ||
ASSETS | ||||
Current Assets | ||||
Cash | 661,699.32 | 878,892.68 | 1,107,576.63 | |
Inventories | 17,944.32 | 18,841.53 | 19,783.61 | |
Prepaid Rent | 100 | 110 | 121 | |
Total Current Assets | 679, 743.64 | 897,844.22 | 1,127,481.24 | |
Non-Current Assets | ||||
Machine and Equipment | 16,798.00 | 13,468.20 | 10,138.40 | |
Less:Accumulated Depreciation | -3,329.80 | -3,329.80 | -3,329.80 | |
Furnitures Fixtures | 3,271.00 | 2,321.00 | 1,371.00 | |
Less:Accumulated Depreciation | -950 | -950 | -950 | |
Kitchen Utensils/Tools | 6,131.00 | 4,907.87 | 3,684.74 | |
Less:Accumulated Depreciation | -1,223.13 | -1,223.13 | -1,223.13 | |
Total Non-Current Assets | 20,697.0 7 | 15,194.1 4 | 9,691.20 | |
Total Assets | 700,440.71 | 913,038.35 | 1,137,172. 44 | |
LIABILITIES & OWNER'S EQUITY | ||||
Current Liabilities | ||||
Utilities Payable | 835.96 | 877.76 | 921.65 | |
Total Current Liabilities | 835.96 | 877.76 | 921.65 | |
Owner's Equity | ||||
Capital | 699,604.75 | 912,160.59 | 1,136,250.80 | |
Total Liabilities and Owners Equity | 700,440.71 | 913,038.35 | 1,137,172.44 | |
Projected Statement of Financial Position 2 | ||||
Year 1 | Year 2 | Year 3 | ||
ASSETS | ||||
Current Assets | ||||
Cash | 605,206.88 | 779,454.31 | 963,004.73 | |
Inventories | 17,944.32 | 18,841.536` | 19,783.61 | |
Prepaid Rent | 100 | 110 | 121 | |
Total Current Assets | 670, 741.84 | 879,390.26 | 1,099,102.70 | |
Non-Current Assets | ||||
Machine and Equipment | 16,798.00 | 13,468.20 | 10,138.40 | |
Less: Accumulated Depreciation | -3,329.80 | -3,329.80 | -3,329.80 | |
Furnitures Fixtures | 3,271.00 | 2,321.00 | 1,371.00 | |
Less: Accumulated Depreciation | -950 | -950 | -950 | |
Kitchen Utensils/Tools | 6,730.00 | 5,387.07 | 4,004.14 | |
Less: Accumulated Depreciation | -1,223.13 | -1,223.13 | -1,223.13 | |
Object 32 | ||||
Total Non-Current Assets | 20,697.07 | 15,194.14 | 9,691.20 | |
Total Assets | 687,302.11 | 896,960.75 | 1,111,289.08 | |
LIABILITIES & OWNER'S EQUITY | ||||
Current Liabilities | ||||
Utilities Payable | 835.96 | 877.76 | 921.65 | |
Total Current Liabilities | 835.96 | 877.76 | 921.65 | |
Owner's Equity | ||||
Capital | 690,602.95 | 893,706.63 | 1,107,872.26 | |
Total Liabilities and Owners Equity | 691,438.91 | 894,584.39 | 1,108,793.90 | |
CORNY DAWGS! PROJECTED STATEMENT OFCOMPREHENSIVE INCOME | ||||
2019 | 2020 | 2021 | ||
Sale | 932,460.00 | 979,083.00 | 1,028,037.15 | |
Food Cost | 428,931.60 | 450,378.18 | 472,897.09 | |
Gross Profit | 503,528.40 | 528,704.82 | 555,140.06 | |
Less: Expense | ||||
Overhead | 24,044.25 | 24,875.83 | 25,748.98 | |
Utilities Expense | 10,031.52 | 10,533.10 | 11,059.75 | |
Rent Expense | 600 | 600 | 600 | |
Depreciation | 6,812.73 | 6,812.73 | 6,812.73 | |
Transportation | 4,800.00 | 5,040.00 | 5,292.00 | |
Repair Expense | 1,800.00 | 1,890.00 | 1,984.50 | |
Operating Expense | 238,881.20 | 250,725.31 | 265,225.46 | |
Supplies | 14,026.20 | 14,627.56 | 17,322.82 | |
Organizational Expense | 7,255.00 | 7,617.75 | 7,998.64 | |
Advertising Expense | 1,600.00 | 1,680.00 | 1,764.00 | |
Salaries | 216,000.00 | 226,800.00 | 238,140.00 | |
262,925.45 | 275,601.14 | 290,974.44 | ||
Net Income | 240,602.95 | 253,103.68 | 264,165.62 | |
PROJECTED STATEMENT OF CASHFLOW | ||||
Year 1 | Year 2 | Year 3 | ||
Net Income | 240,602.95 | 253,103.68 | 264,165.62 | |
Depreciation Machine and Equipment | 5,502.93 | 5,502.93 | 5,502.93 | |
(Increase)Decrease in Inventory | -17,944.32 | -897.22 | -942.08 | |
Utilities Payable Decrease | 835.96 | 41.8 | 43.89 | |
Prepaid Rent | -100 | -10 | -11 | |
Net Cash Provided (Used in) Operating Activities | 228,897.52 | 257,741.20 | 268,759.37 | |
Investments (Machine, Equipment, Tools) | -26,200.00 | |||
Net Cash Provided (Used in) Investing Activities | -26,200.00 | |||
Financing Activities | ||||
Investment by The Owners | 500,000.00 | |||
Drawings | -50,000.00 | -50,000.00 | -50,000.00 | |
Net Cash Provided (Used in) Financing Activities | 450,000.00 | -50,000.00 | -50,000.00 | |
Net Increase (Decrease in Cash) | 652,697.52 | 207,741.20 | 218,759.37 | |
Cash, Beginning | 652,697.52 | 860,438.72 | ||
Cash, End | 652,697.52 | 860,438.72 | 1,079,198.09 | |
PROJECTED STATEMENT OF CHANGES IN OWNER'S EQUITY | ||||
Year 1 | Year 2 | Year 3 | ||
Capital, Beginning | 500,000.00 | 690,602.95 | 893,706.63 | |
Add: Net Income | 240,602.95 | 253,103.68 | 264,165.62 | |
Less: Drawings | -50,000.00 | -50,000.00 | -50,000.00 | |
Capital, Ending | 690,602.95 | 893,706.63 | 1,107,872.26 |
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