Calculate Tiger Bay Industrials free cash flow using both th

Calculate Tiger Bay Industrials free cash flow using both the operating and financing perspective for 2017. Attached below are the financial and income statements

Tiger Bay Industrial Financial Statements 2017 2016 Balance Sheet Cash Short tem investments AccountsReeivable Inventories 8,285.00 22,000.00 633,280.00 1,608,135.00 $1,287,380.00 12,500.00 $ 31,000.00 $ 691,260.00 $ Total Current Assets Equipment, machinery etc. Buildings etc. less: allowance for depreciation Net fixed Assets 440,000.00 $ 700,000.00 $ 383,160.00 $ 440,000.00 700,000.00 263,180.00 Total Assets Accounts Payable Notes Payable accruals 354,000.00 $ 648,000.00 $ 380,000.00 $ 325,100.00 672,000.00 282,010.00 Total Current liabilities Long-term debt Common Stock Retained Eamings 1,103,000.00 1,000,000.00 450,000.00 98,635.00 548,635.00 440,000.00 $ 194,735.00 $ 634,735.00 $ Total common equity Total Liabilities and Equity 827.7

Solution

Cash Flows for Tiger bay Industrial

FY 2017

Particulars

$

A. From Operating Percpective

Earning Before Taxes

243500.00

Add: Depreciation

100000.00

Add: Interest

182500.00

Cashflows from operating activities before working capital changes- Total (a)

526000.00

Working Capital Changes

Changes in Current Liabilities

Accounts Payable

28900.00

Notes Payable

(24000.00)

Accruals

97990.00

Changes in Current Assets

Short Term Investments

(9000.00)

Account Receivable

(58000.00)

Inventory

(320775.00)

Total (b)

(284885.00)

Cash Flows From Operating Percpective

Total (a+b)

241115.00

B. From Financing Percpective

Raising of Long Term Debt

103000.00

Redemption of common Stock

(10000.00)

Cash Flows From Financing Percpective

93000.00

Cash Flows for Tiger bay Industrial

FY 2017

Particulars

$

A. From Operating Percpective

Earning Before Taxes

243500.00

Add: Depreciation

100000.00

Add: Interest

182500.00

Cashflows from operating activities before working capital changes- Total (a)

526000.00

Working Capital Changes

Changes in Current Liabilities

Accounts Payable

28900.00

Notes Payable

(24000.00)

Accruals

97990.00

Changes in Current Assets

Short Term Investments

(9000.00)

Account Receivable

(58000.00)

Inventory

(320775.00)

Total (b)

(284885.00)

Cash Flows From Operating Percpective

Total (a+b)

241115.00

B. From Financing Percpective

Raising of Long Term Debt

103000.00

Redemption of common Stock

(10000.00)

Cash Flows From Financing Percpective

93000.00

Cash Flows for Tiger bay Industrial

FY 2017

Particulars

$

A. From Operating Percpective

Earning Before Taxes

243500.00

Add: Depreciation

100000.00

Add: Interest

182500.00

Cashflows from operating activities before working capital changes- Total (a)

526000.00

Working Capital Changes

Changes in Current Liabilities

Accounts Payable

28900.00

Notes Payable

(24000.00)

Accruals

97990.00

Changes in Current Assets

Short Term Investments

(9000.00)

Account Receivable

(58000.00)

Inventory

(320775.00)

Total (b)

(284885.00)

Cash Flows From Operating Percpective

Total (a+b)

241115.00

B. From Financing Percpective

Raising of Long Term Debt

103000.00

Redemption of common Stock

(10000.00)

Cash Flows From Financing Percpective

93000.00

Cash Flows for Tiger bay Industrial

FY 2017

Particulars

$

A. From Operating Percpective

Earning Before Taxes

243500.00

Add: Depreciation

100000.00

Add: Interest

182500.00

Cashflows from operating activities before working capital changes- Total (a)

526000.00

Working Capital Changes

Changes in Current Liabilities

Accounts Payable

28900.00

Notes Payable

(24000.00)

Accruals

97990.00

Changes in Current Assets

Short Term Investments

(9000.00)

Account Receivable

(58000.00)

Inventory

(320775.00)

Total (b)

(284885.00)

Cash Flows From Operating Percpective

Total (a+b)

241115.00

B. From Financing Percpective

Raising of Long Term Debt

103000.00

Redemption of common Stock

(10000.00)

Cash Flows From Financing Percpective

93000.00

Cash Flows for Tiger bay Industrial

FY 2017

Particulars

$

A. From Operating Percpective

Earning Before Taxes

243500.00

Add: Depreciation

100000.00

Add: Interest

182500.00

Cashflows from operating activities before working capital changes- Total (a)

526000.00

Working Capital Changes

Changes in Current Liabilities

Accounts Payable

28900.00

Notes Payable

(24000.00)

Accruals

97990.00

Changes in Current Assets

Short Term Investments

(9000.00)

Account Receivable

(58000.00)

Inventory

(320775.00)

Total (b)

(284885.00)

Cash Flows From Operating Percpective

Total (a+b)

241115.00

B. From Financing Percpective

Raising of Long Term Debt

103000.00

Redemption of common Stock

(10000.00)

Cash Flows From Financing Percpective

93000.00

Cash Flows for Tiger bay Industrial

FY 2017

Particulars

$

A. From Operating Percpective

Earning Before Taxes

243500.00

Add: Depreciation

100000.00

Add: Interest

182500.00

Cashflows from operating activities before working capital changes- Total (a)

526000.00

Working Capital Changes

Changes in Current Liabilities

Accounts Payable

28900.00

Notes Payable

(24000.00)

Accruals

97990.00

Changes in Current Assets

Short Term Investments

(9000.00)

Account Receivable

(58000.00)

Inventory

(320775.00)

Total (b)

(284885.00)

Cash Flows From Operating Percpective

Total (a+b)

241115.00

B. From Financing Percpective

Raising of Long Term Debt

103000.00

Redemption of common Stock

(10000.00)

Cash Flows From Financing Percpective

93000.00

Cash Flows for Tiger bay Industrial

FY 2017

Particulars

$

A. From Operating Percpective

Earning Before Taxes

243500.00

Add: Depreciation

100000.00

Add: Interest

182500.00

Cashflows from operating activities before working capital changes- Total (a)

526000.00

Working Capital Changes

Changes in Current Liabilities

Accounts Payable

28900.00

Notes Payable

(24000.00)

Accruals

97990.00

Changes in Current Assets

Short Term Investments

(9000.00)

Account Receivable

(58000.00)

Inventory

(320775.00)

Total (b)

(284885.00)

Cash Flows From Operating Percpective

Total (a+b)

241115.00

B. From Financing Percpective

Raising of Long Term Debt

103000.00

Redemption of common Stock

(10000.00)

Cash Flows From Financing Percpective

93000.00

Calculate Tiger Bay Industrials free cash flow using both the operating and financing perspective for 2017. Attached below are the financial and income statemen
Calculate Tiger Bay Industrials free cash flow using both the operating and financing perspective for 2017. Attached below are the financial and income statemen
Calculate Tiger Bay Industrials free cash flow using both the operating and financing perspective for 2017. Attached below are the financial and income statemen
Calculate Tiger Bay Industrials free cash flow using both the operating and financing perspective for 2017. Attached below are the financial and income statemen
Calculate Tiger Bay Industrials free cash flow using both the operating and financing perspective for 2017. Attached below are the financial and income statemen
Calculate Tiger Bay Industrials free cash flow using both the operating and financing perspective for 2017. Attached below are the financial and income statemen
Calculate Tiger Bay Industrials free cash flow using both the operating and financing perspective for 2017. Attached below are the financial and income statemen
Calculate Tiger Bay Industrials free cash flow using both the operating and financing perspective for 2017. Attached below are the financial and income statemen
Calculate Tiger Bay Industrials free cash flow using both the operating and financing perspective for 2017. Attached below are the financial and income statemen

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