This is the assignment: Payment is $160. Need this by tomorrow 7pm. Central time.
This is a final activity. It must include be in APA writing. My professor checks my homework with other homework submitted, published and writing in other languages. Cannot be an exact copy form other works out there. If that is what you plan to do please DON’T RESPOND TO THIS REQUEST! I
Activity: Write a paper with supporting spreadsheets (CASH FLOW) outlining a proposal to organizational leaders about how to improve a company’s cash flow posture. You select an organization with which you are familiar to complete this assignment. Must include name of the company. I need the name of the company.
You must include the idea of supply and demand, its effect on the income statement and impact on the balance sheet statement. Conduct a cash flow analysis and outline the capital budgeting and financial planning tools the organization can use. Indicate how these are essential to the success of the organization.
Support your paper with a minimum of five (5) scholarly resources. APA writing indicates were the information was obtained from as you write. Additional resources can be included, like older articles.
Length: 12 pages. Don’t count introduction and references.
Explanation:
The assignment must include scenarios like: there is a recession, sales drop; how this will affect the balance sheet, income statement and cash flow. The company will need funds because of low demand, what are the options: merger, generate stocks, get a loan, buy bonds? Present these options and which is best. Present the advantages and disadvantages of these options.
This is a analysis project and not so much of just writing. The cash flow of the company doing great and the company not so doing well mus be analyzed.
Remember this is ANALYSIS.

