Maple Syrup Company Cash Flow Statement for year 5

THE MAPLE SYRUP COMPANY
FORECASTED CASH FLOW STATEMENT
FOR YEAR 5 (JAN. to JULY.) 
JAN FEB. MAR APR MAY JUNE JULY
CASH INFLOWS:
Sales Grade "A" Bulk 9,375 9,375
Sales Grade "B" Bulk 7,031 7,031
Sales Grade "A" Retail 12,375
Sales Grade "B" Retail 9,281
Capital Contributions
External Financing
Total Cash Inflows 0 0 0 0 16,406 16,406 21,656
CASH OUTFLOWS:
For Advertising 1,667 1,667
Bank & Service Charges 10 10 10 10 10 10 10
Clean-up & Supplies 3,000
Containers & Labels 15,000
Fuel 1,875 1,875
Insurance 1,000
Land Rentals 6,000
Membership Fees
Professional Fees 500
Property Taxes
Repairs & Maintenance
Salaries, Wages & Benefits 5,000 5,000
Small Tools 200 200
Telephone 150 150
Training & Trade Shows 500
Utilities 500 500
Payment on Loan 2,038 2,038 2,038 2,038 2,038 2,038 2,038
Equipment
Total Cash Outflows 2,048 18,248 9,623 9,573 12,198 3,715 3,715
Excess Cash (Deficiency) (2,048) (18,248) (9,623) (9,573) 4,208 12,692 17,942
Beginning Cash 16,454 14,406 (3,874) (13,609) (23,375) (19,327) (6,691)
Cash Balance Overdraft 14,406 (3,842) (13,497) (23,182) (19,167) (6,635) 11,251
FINANCING:
Interest Overdraft 0.00 (32.01) (112.47) (193.18) (159.73) (55.29) 0.00
Ending Cash Balance 14,406 (3,874) (13,609) (23,375) (19,327) (6,691) 11,251

 

THE MAPLE SYRUP COMPANY
FORECASTED CASH FLOW STATEMENT
FOR YEAR 5 (AUG. to DEC.)
AUG. SEPT. OCT. NOV. DEC TOTALS
CASH INFLOWS:
Sales Grade "A" Bulk 18,750
Sales Grade "B" Bulk 14,063
Sales Grade "A" Retail 12,750 12,375 37,500
Sales Grade "B" Retail 9,563 9,281 28,125
Capital Contributions 0
External Financing 0
Total Cash Inflows 22,313 21,656 0 0 0
CASH OUTFLOWS:
For Advertising 1,667 5,000
Bank & Service Charges 10 10 10 10 10 120
Clean-up & Supplies 3,000
Containers & Labels 15,000
Fuel 3,750
Insurance 1,000
Land Rentals 6,000
Membership Fees 400 400
Professional Fees 500
Property Taxes 0
Repairs & Maintenance 3,000 3,000
Salaries, Wages & Benefits 10,000
Small Tools 400
Telephone 300
Training & Trade Shows 500
Utilities 1,000
Payment on Loan 2,038 2,038 2,038 2,038 2,038 24,456
Equipment
Total Cash Outflows 3,715 2,048 2,048 2,048 5,448
Excess Cash (Deficiency) 18,598 19,608 (2,048) (2,048) (5,448)
Beginning Cash 11,251 29,849 49,457 47,409 45,361
Cash Balance Overdraft 29,849 49,457 47,409 45,361 39,913
FINANCING:
Interest Overdraft 0.00 0.00 0.00 0.00 0.00 (553)
ENDING CASH BALANCE 29,849 49,457 47,409 45,361 39,913