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CASH FLOW YEAR 3

Sales
Loan

Month 1

Actual
380,000
380,000
0
400,000

Production cost
Salary
Depreciation
Utilities
Others

40,000
96,833
0
7,000
90,000

INDIRECT COSTS / Overheads


Rent
Other costs
CAPITAL COSTS/FIXED ASSETS
Equipment
OTHER COSTS
Bank Charges
Loan Repayment
Interest

TOTAL CASH PAID OUT


CASH ON HAND

[Beginning of month]

CASH POSITION

[End of month]

1,127,033
C

A- B + C

TOTAL COSTS Profit & Loss items (before adjustments)

350,000
400,000
0
0
0
3,200
133,333
6,667

4,251,474
3,524,441

-603,833

Month 2

Month 3

Month 4

Month 5

Month 6

Actual
450,000
450,000
0

Actual
800,000
800,000
0

Actual
1,500,000
1,500,000
0
0

Actual
1,000,000
1,000,000
0
0

Actual
550,000
550,000
0
0

450,000

800,000

1,500,000

1,000,000

550,000

65,000
96,833
7,000
7,000

350,000
96,833
0
7,000
100,000

300,000
96,833
0
7,000
120,000

350,000
96,833
0
7,000
39,000

170,000
96,833
0
7,000
6,000

0
0
0
0
0
1,700
133,333
6,667

0
0
0
0
0
3,800
133,333
6,667

0
0
0

0
0
0
0
0
3,700
133,333
6,667

0
0
0
0
0
1,900
133,333
6,667

0
2,600
133,333
6,667

317,533

697,633

666,433

636,533

421,733

3,524,441

3,656,908

3,759,275

4,592,842

4,956,309

3,656,908

3,759,275

4,592,842

4,956,309

5,084,576

274,167

246,167

976,167

507,167

270,167

Month 7

Month 8

Month 9

Month 10

Month 11

Actual
590,000
590,000
0
0

Actual
700,000
700,000
0
0

Actual
600,000
600,000
0
0

Actual
600,000
600,000
0
0

Actual
1,300,000
1,300,000
0
0

590,000

700,000

600,000

600,000

1,300,000

98,000
96,833
0
7,000
90,000

140,000
96,833
0
6,800
100,000

145,000
96,833
0
6,800
80,000

82,000
96,833
0
6,800
70,000

400,000
96,833
0
6,800
85,000

0
0
0
0
0
500
133,333
6,667

0
0
0
0
0
2,900
133,333
6,667

0
0
0
0
0
1,500
133,333
6,667

0
0
0
0
0
2,000
133,333
6,667

0
0
0
0
0
3,770
133,333
6,667

432,333

486,533

470,133

397,633

732,403

5,084,576

5,242,243

5,455,710

5,585,577

5,787,944

5,242,243

5,455,710

5,585,577

5,787,944

6,355,541

298,167

356,367

271,367

344,367

711,367

Month 12

Actual
2,000,000
2,000,000
0
0
2,000,000
700,000
96,833
74,625
6,800
68,000

0
0
0
0
0
2,500
133,333
6,667

Total Cash Flow After 12 months

10,470,000
10,470,000
10,490,000
2,840,000
1,161,996
74,625
83,000
855,000

350,000
400,000
30,070
1,599,996
80,004

NET CASH
1,088,758

#REF!

6,355,541
7,266,783

1,053,742

4,705,379

CASH FLOW YEAR 2


Sales
Loan

Month 1

Actual
400,000
400,000
0
400,000

Production cost
Salary
Depreciation
Utilities
Others

65,000
96,833
0
7,000
70,000

INDIRECT COSTS / Overheads


Rent
Other costs
CAPITAL COSTS/FIXED ASSETS
Equipment
OTHER COSTS
Bank Charges
Loan Repayment
Interest

TOTAL CASH PAID OUT


CASH ON HAND

[Beginning of month]

CASH POSITION

[End of month]

1,131,333
C

A- B + C

TOTAL COSTS Profit & Loss items (before adjustments)

350,000
400,000
0
0
0
2,500
133,333
6,667

2,765,250
2,033,917

-588,833

Month 2

Month 3

Month 4

Month 5

Month 6

Actual
450,000
450,000
0

Actual
1,050,000
1,050,000
0

Actual
500,000
500,000
0
0

Actual
1,000,000
1,000,000
0
0

Actual
550,000
550,000
0
0

450,000

1,050,000

500,000

1,000,000

550,000

70,000
96,833
7,000
65,000

400,000
96,833
0
7,000
40,000

70,000
96,833
0
7,000
80,000

350,000
96,833
0
7,000
72,000

150,000
96,833
0
7,000
64,000

0
0
0
0
0
3,000
133,333
6,667

0
0
0
0
0
28,000
133,333
6,667

0
0
0

0
0
0
0
0
18,000
133,333
6,667

0
0
0
0
0
4,555
133,333
6,667

0
32,000
133,333
6,667

381,833

711,833

425,833

683,833

462,388

2,033,917

2,102,084

2,440,251

2,514,418

2,830,585

2,102,084

2,440,251

2,514,418

2,830,585

2,918,197

211,167

506,167

246,167

474,167

232,167

Month 7

Month 8

Month 9

Month 10

Month 11

Actual
590,000
590,000
0
0

Actual
700,000
700,000
0
0

Actual
686,000
686,000
0
0

Actual
600,000
600,000
0
0

Actual
620,000
620,000
0
0

590,000

700,000

686,000

600,000

620,000

92,000
96,833
0
7,000
90,000

160,000
96,833
0
7,000
100,000

145,000
96,833
0
7,000
40,000

82,000
96,833
0
7,000
70,000

70,000
96,833
0
7,000
85,000

0
0
0
0
0
2,000
133,333
6,667

0
0
0
0
0
2,400
133,333
6,667

0
0
0
0
0
5,200
133,333
6,667

0
0
0
0
0
2,000
133,333
6,667

0
0
0
0
0
2,000
133,333
6,667

427,833

506,233

434,033

397,833

400,833

2,918,197

3,080,364

3,274,131

3,526,098

3,728,265

3,080,364

3,274,131

3,526,098

3,728,265

3,947,432

304,167

336,167

397,167

344,167

361,167

Month 12

Actual
900,000
900,000
0
0
900,000
250,000
96,833
74,625
7,000
25,000

0
0
0
0
0
2,500
133,333
6,667

Total Cash Flow After 12 months

8,046,000
8,046,000
8,046,000
1,904,000
1,161,996
74,625
84,000
801,000

350,000
400,000
104,155
1,599,996
80,004

NET CASH
595,958

#REF!

3,947,432
4,251,474

446,542

3,270,379

CASH FLOW YEAR 1


Sales
Loan

Month 1

Actual
325,000
325,000
4,000,000
4,325,000

Production Cost
Salary
Depreciation
Utilities
Others

250,000
81,000
0
50,000
250,000

INDIRECT COSTS / Overheads


Rent
Other costs
CAPITAL COSTS/FIXED ASSETS
Equipment
OTHER COSTS
Bank Charges
Loan Repayment
Interest

TOTAL CASH PAID OUT


CASH ON HAND

[Beginning of month]

CASH POSITION

[End of month]

3,444,000
C

A- B + C

TOTAL COSTS Profit & Loss items (before adjustments)

300,000
0
0
2,500,000
0
13,000
0
0

881,000

-606,000

Month 2

Month 3

Month 4

Month 5

Month 6

Actual
370,000
370,000
0

Actual
400,000
400,000
0

Actual
450,000
450,000
0
0

Actual
455,000
455,000
0
0

Actual
550,000
550,000
0
0

370,000

400,000

450,000

455,000

550,000

70,000
81,000
5,000
180,250

70,000
81,000
0
5,000
130,000

120,000
81,000
0
5,000
110,000

130,000
81,000
0
5,000
112,000

100,000
81,000
0
5,000
100,000

0
0
0
0
0
4,000
0
0

0
0
0
0
0
1,500
0
0

0
0
0

0
0
0
0
0
2,000
0
0

0
0
0
0
0
2,000
0
0

0
2,000
0
0

340,250

287,500

318,000

330,000

288,000

881,000

910,750

1,023,250

1,155,250

1,280,250

910,750

1,023,250

1,155,250

1,280,250

1,542,250

33,750

114,000

134,000

127,000

264,000

Month 7

Month 8

Month 9

Month 10

Month 11

Actual
580,000
580,000
0
0

Actual
600,000
600,000
0
0

Actual
585,000
585,000
0
0

Actual
590,000
590,000
0
0

Actual
605,000
605,000
0
0

580,000

600,000

585,000

590,000

605,000

90,000
81,000
0
5,000
80,000

95,000
81,000
0
5,000
50,000

100,000
81,000
0
5,000
80,000

90,000
81,000
0
5,000
75,000

70,000
81,000
0
5,000
45,000

0
0
0
0
0
2,000
133,333
6,667

0
0
0
0
0
3,000
133,333
6,667

0
0
0
0
0
2,000
133,333
6,667

0
0
0
0
0
2,000
133,333
6,667

0
0
0
0
0
2,000
133,333
6,667

398,000

374,000

408,000

393,000

343,000

1,542,250

1,724,250

1,950,250

2,127,250

2,324,250

1,724,250

1,950,250

2,127,250

2,324,250

2,586,250

324,000

369,000

319,000

339,000

404,000

Month 12

Actual
620,000
620,000
0
0
620,000
100,000
81,000
12,500
5,000
100,000

0
0
0
0
0
2,500
133,333
6,667

Total Cash Flow After 12 months

6,130,000
6,130,000
4,000,000
10,130,000
1,285,000
972,000
12,500
105,000
1,312,250

300,000
2,500,000
38,000
799,998
40,002

NET CASH
441,000

#REF!

2,586,250
2,765,250

321,500

2,143,250

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