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Using the data in the student spreadsheet file Ethan Allen Financials.xlsx forecast the June 30, 2019 income statement and balance sheet for Ethan Allen. Use

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Using the data in the student spreadsheet file Ethan Allen Financials.xlsx forecast the June 30, 2019 income statement and balance sheet for Ethan Allen. Use the percent of sales method and the following assumptions: (1) sales in FY 2019 will be $797.3359; (2) the tax rate will be 35%; (3) each item that changes with sales will be the five-year average percentage of sales; (4) net fixed assets will increase to $300; and (5) the common dividend will be $0.75 per share. Use your judgment on all other items.

a. What is the discretionary financing needed in 2019? Is this a surplus or deficit?

b. Assume that the DFN will be absorbed by long-term debt and that the interest rate is 4% of LTD. Set up an iterative worksheet to eliminate it.

Balance Sheet (Industrial) All figures in millions of U.S. Dollar, except per share items Jun '18 Jun '17 Jun '16 Jun '15 Jun '14 Assets Cash Only Total Short Term Investments Short-Term Receivables Inventories Other Current Assets Total Current Assets Property, Plant & Equipment Gross Accumulated Depreciation Net Property, Plant & Equipment Other Long-Term Assets Total Assets 52.659 76.182 109.176 72.601 79.721 0.000 .198 18.153 15.529 9.005 9.467 12.547 12.426 12.277 14.919 162.323 151.916 146.275 137.256 155.739 23.755 27.831 19.59922.907 23.408 248.204 270.674 305.629 260.570 282.792 598.264 594.912 601.709 594.385 587.368 324.649 317.877 313.553 302.713 291.673 273.615 277.035 288.156 291.672 295.695 55.59059.599 60.649 65.043 66.301 577.409 607.308654.434 617.285 644.788 Liabilities & Shareholders' Equity ST Debt & Curr. Portion LT Debt Accounts Payable Other Current Liabilities Total Current Liabilities Long-Term Debt Other Liabilities Total Liabilities 3.001 3.341 0.501 0.480 0.250 15.437 18.946 24.320 22.995 27.315 104.909 118.682 111.226 109.464 123.512 123.347 140.969 136.047 132.939 151.077 38.83774.227 130.411 130.809 154.250 23.023 21.577 20.509 19.180 17.593 185.207 236.773 286.967 282.928 322.920 0.489 0.489 0.486 0.486 0.485 Common Stock Par/Carry Value Additional Paid-In Capital/Capital Surplus Retained Earnings Treasury Stock and Other Deductions from Equity Total Shareholders' Equity Total Liabilities & Shareholders' Equity 374.972 370.914 365.733 363.938 361.165 646.315 607.079 584.395 553.083 542.918 629.574 607.947 583.147 583.150 582.700 392.202 370.535 367.467 334.357 321.868 577.409 607.308 654.434 617.285 644.788 Balance Sheet (Industrial) All figures in millions of U.S. Dollar, except per share items Jun '18 Jun '17 Jun '16 Jun '15 Jun '14 Assets Cash Only Total Short Term Investments Short-Term Receivables Inventories Other Current Assets Total Current Assets Property, Plant & Equipment Gross Accumulated Depreciation Net Property, Plant & Equipment Other Long-Term Assets Total Assets 52.659 76.182 109.176 72.601 79.721 0.000 .198 18.153 15.529 9.005 9.467 12.547 12.426 12.277 14.919 162.323 151.916 146.275 137.256 155.739 23.755 27.831 19.59922.907 23.408 248.204 270.674 305.629 260.570 282.792 598.264 594.912 601.709 594.385 587.368 324.649 317.877 313.553 302.713 291.673 273.615 277.035 288.156 291.672 295.695 55.59059.599 60.649 65.043 66.301 577.409 607.308654.434 617.285 644.788 Liabilities & Shareholders' Equity ST Debt & Curr. Portion LT Debt Accounts Payable Other Current Liabilities Total Current Liabilities Long-Term Debt Other Liabilities Total Liabilities 3.001 3.341 0.501 0.480 0.250 15.437 18.946 24.320 22.995 27.315 104.909 118.682 111.226 109.464 123.512 123.347 140.969 136.047 132.939 151.077 38.83774.227 130.411 130.809 154.250 23.023 21.577 20.509 19.180 17.593 185.207 236.773 286.967 282.928 322.920 0.489 0.489 0.486 0.486 0.485 Common Stock Par/Carry Value Additional Paid-In Capital/Capital Surplus Retained Earnings Treasury Stock and Other Deductions from Equity Total Shareholders' Equity Total Liabilities & Shareholders' Equity 374.972 370.914 365.733 363.938 361.165 646.315 607.079 584.395 553.083 542.918 629.574 607.947 583.147 583.150 582.700 392.202 370.535 367.467 334.357 321.868 577.409 607.308 654.434 617.285 644.788

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