Assignment Part-2 Solution F18
Assignment Part-2 Solution F18
Assignment Part-2 Solution F18
Per Period Cash Flow $ 29,190.00 $ (23,340.63) $ (19,484.34) $ (3,702.25) $ 2,082.72 $ 22,204.50 $ 6,950.00
Cumulative Cash Flow $ 29,190.00 $ 5,849.38 $ (13,634.97) $ (17,337.22) $ (15,254.50) $ 6,950.00
3- Overdraft Calculations
Overdraft Balance at end of Period $ 5,849.38 $ (43,153.75) $ (51,675.88) $ (38,782.39) $ (25,140.62) $ 5,362.47
Interest on Overdraft Balance $ - $ (431.54) $ (516.76) $ (387.82) $ (251.41) $ - $ (1,587.53)
Total Overdraft Balance $ 5,849.38 $ (43,585.29) $ (52,192.64) $ (39,170.21) $ (25,392.03) $ 5,362.47
Net Profit $ 5,362.47
12.0
10.0
Expenditure Curve
8.0
$ Value
6.0
Income Curve
4.0
2.0
0.0
0 2 4 6 8 10 12
Period
5849.375 -13634.97 -17337.22 -15254.5 6950
5000
0
1 2 3 4 5
-5000
-10000
-15000 -$13634.96
-$15254.5
-$17337.2
-20000