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A_CO_FIN |
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Learner Copy |
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Rev 6/19/21 |
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COMPANY A |
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Illlustrative Data for Educational Purposes |
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All values shown are in thousands. |
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2017 |
2018 |
2019 |
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Income Statement |
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Revenue |
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27,981 |
28,772 |
29,580 |
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Cost of Goods Sold (COGS) |
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15,389 |
18,997 |
16,285 |
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Gross Profit |
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12,592 |
9,775 |
13,295 |
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Expenses |
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Salaries and Benefits |
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4,510 |
4,500 |
4,480 |
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Rent and Overhead |
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1,804 |
1,804 |
1,804 |
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Depreciation and Amortization |
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2,814 |
2,806 |
2,806 |
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Interest |
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900 |
900 |
900 |
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Total Expenses |
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10,028 |
10,010 |
9,990 |
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Earnings Before Tax |
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2,564 |
(235) |
3,305 |
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Taxes |
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718 |
(65) |
925 |
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Net Earnings |
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1,846 |
(170) |
2,380 |
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2017 |
2018 |
2019 |
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Balance Sheet |
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Assets |
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Cash |
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62,265 |
61,708 |
44,319 |
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Accounts Receivable |
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1,380 |
1,419 |
1,460 |
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Inventory |
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3,078 |
3,799 |
3,257 |
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Property and Equipment |
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37,413 |
37,408 |
37,403 |
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Total Assets |
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104,136 |
104,334 |
86,439 |
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Liabilities |
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Accounts Payable |
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1,560 |
1,926 |
1,651 |
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Debt |
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30,000 |
30,000 |
10,000 |
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Total Liabilities |
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31,560 |
31,926 |
11,651 |
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Shareholders' Equity |
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Equity Capital |
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33,685 |
33,685 |
33,685 |
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Retained Earnings |
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38,891 |
38,723 |
41,103 |
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Shareholders' Equity |
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72,576 |
72,408 |
74,788 |
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Total Liabilities and Shareholders' Equity |
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104,136 |
104,334 |
86,439 |
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2017 |
2018 |
2019 |
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Cash Flow Statement |
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Operating Cash Flow |
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Net Earnings |
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1,846 |
(170) |
2,380 |
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Plus: Depreciation and Amortization |
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2,814 |
2,806 |
2,806 |
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Less: Changes in Working Capital |
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(10,312) |
394 |
(226) |
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Cash from Operations |
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14,972 |
2,242 |
5,411 |
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Investing Cash Flow |
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Sales (Investments) in Property and Equipment |
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2,706 |
(2,800) |
(2,800) |
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Cash from Investing |
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2,706 |
(2,800) |
(2,800) |
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Financing Cash Flow |
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Issuance (repayment) of Debt |
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– |
– |
(20,000) |
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Issuance (repayment) of Equity |
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– |
– |
– |
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Cash from Financing |
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– |
– |
(20,000) |
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Net Increase (decrease) in Cash |
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17,678 |
(558) |
(17,389) |
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Opening Cash Balance |
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44,587 |
62,265 |
61,708 |
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Closing Cash Balance |
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62,265 |
61,708 |
44,319 |
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Supporting Schedules |
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Working Capital Schedule |
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Accounts Receivable |
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1,380 |
1,419 |
1,460 |
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Inventory |
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3,078 |
3,799 |
3,257 |
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Accounts Payable |
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1,560 |
1,926 |
1,651 |
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Net Working Capital (NWC) |
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2,898 |
3,292 |
3,066 |
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Change in NWC |
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(10,312) |
394 |
(226) |
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Depreciation Schedule |
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PPE Opening |
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37,521 |
37,413 |
37,407 |
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Plus Capex |
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2,706 |
2,800 |
2,800 |
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Less Depreciation |
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2,814 |
2,806 |
2,806 |
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PPE Closing |
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37,413 |
37,407 |
37,402 |
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Debt and Interest Schedule |
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Debt Opening |
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30,000 |
30,000 |
30,000 |
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Issuance (repayment) |
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– |
– |
(20,000) |
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Debt Closing |
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30,000 |
30,000 |
10,000 |
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Interest Expense |
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900 |
900 |
900 |