Research Paper on "Cash Flow Forecasts"
Research Paper 4 pages (1290 words) Sources: 3
[EXCERPT] . . . .
Cash Flow ForecastsOur company is going to be preparing cash flow forecasts going forward. These forecasts will be prepared by the finance department with input from managers across the organization. This paper will outline the importance of preparing accurate cash flow statements, the flows that will be considered, the differences between earnings on the income statement and cash flows, and will conclude with an explanation of the uncertainty involved in cash flow forecasts.
A cash flow forecast can be used for a number of different purposes. One reason why cash flow forecasts are valuable is to illustrate the business' underlying strength or weakness in lieu of reliable accounting statements. There are times when accounting profit cannot be trusted - in developing countries for example (DeFond & Hung, 2007). There are also times when significant non-cash transactions skew the statements. For example, a firm can take a large goodwill charge that negates the EBITDA, masking what was otherwise a great year from a financial point-of-view. In these circumstances, cash flow forecasts can help both managers and investors alike understand the firm's performance.
Another reason why cash flow forecasts are important is to ensure that management is aware of its cash flow needs for the coming month/quarter/year. Some automobile firms have gone through periods recently where they were insolvent, so maintaining sufficient cash flow to sustain operations was of major concern to management. At one point, General Motors was actually unable to provide financial forecasts, and this was at a point where the company was cash flow negative (Business Week, 2005). For m
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The cash flow forecast for my automaker will include all cash flows. The revenue component of cash flows will be incoming cash from sales, rather than sales. The accounts receivable turnover is important to account for, since money earned today may not be paid to the firm for another month or two. With respect to cash outflows, these will include all operating expenses -- wages, benefits, cost of goods sold, selling general and administrative expenses and other cash outflows. These costs include whatever legacy costs the firm is obligated to cover, such as health and pension benefits to retirees. Depreciation and amortization are not cash flows and therefore will not be incorporated into the cash flow forecast.
As well, there are financing and investing flows to consider. Investing flows include cash flows associated with new plants and equipment. While on the income statement, these assets are depreciated over years, they represent an immediate cash outflow. Financial flows include the proceeds from bond and stock issues and dividends paid to shareholders. They also include bond repayments, interest payments, stock repurchases and other similar outflows. In the preparation of a cash flow forecast, all of the firm's expected cash flows need to be considered, not simply the operating flows. This is especially true of an automaker that may have solvency issues. Transfer payments to or from the federal government, where applicable, will also need to be included in the cash flow forecast. Only non-cash expenses should be excluded from the cash flow forecast.
If this is done, then the firm will be able to accurately distinguish between earnings and cash flows. An earning is an accounting measure and is only loosely based in terms of time. In accrual accounting, earnings reflect the firm's economic activity. In order to more accurately reflect the ongoing nature of this activity,… READ MORE
Quoted Instructions for "Cash Flow Forecasts" Assignment:
As the finance manager in an automobile company, you have to present cash flow forecasts to your senior managers. Write a four page paper illustrating how your company should forecast its cash flow. Consider the following points in your paper:
*****¢ What is the relevance of cash flow forecasts?
*****¢ Identify the cash flows you will consider when preparing the forecast.
*****¢ What are the differences between earnings and cash flow?
*****¢ Analyze the uncertainty of a cash flow forecast.
Do not use quotes. 3 sources, once inch margins.
How to Reference "Cash Flow Forecasts" Research Paper in a Bibliography
“Cash Flow Forecasts.” A1-TermPaper.com, 2010, https://www.a1-termpaper.com/topics/essay/cash-flow-forecasts-company/22931. Accessed 28 Sep 2024.
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