Attachment
Attachment
Attachment
Straw cutter
Belt conveyor
Duster
Spherical Digester
Blow pit
Beater chest
1 Conveyor pump
2 Machine chest
3 Mixing box
4 Distribution box
5 Head box
Total 356,200 356,200 10,686 8,905 8,905 3,562 17,810 406,068 11,369,904
2.Vechiles
Unit price Total Price
Description Qt in Birr in Birr
Total 6,050,000
3 Building and construction
Total Cost
No Description qt in Birr
4 Office 1 1,196,232
7 Fence 1,072,123
Total 10,877,763
Total cost
sr.no Description Qty unitcost /Birr/ /Birr/
1 L shape table 180*80*75 1 4,000 4,000
Total 63,850
Annex-I
4 Number of shifts 1
Note:
The proposed machinery has a capacity of out put discharge 5000kg day .
Capacity utilaization
Quantity
Rejection Net Production of Net production
Products Ratio (kg)
(2% ) paper (kg) kg
Selling
Products Unit price/kg
A4 paper kg 2,340
A3 Paper kg 2,292
Others kg 2,044
Revenue at capacity
Revenue at capacity
Proposed Capacity
Year Uitlization A4 Paper A3 Paper Other Total
Total Craft
Proposed Capacity Annual Production Craft paper Paper Requiredin unit
Year Uitlization of paper required/m3 mt price kg Total cost
G Satin / Cloth/
on Avrage used
Monthly Annual
Description No of Employee Salary in Birr Salary/ Birr/
8.2 Utilities
2400 Lts/annum
year
Description
1 2 3 4 5 6 7 8
Raw material 175,962,507 201,100,008 226,237,509 251,375,010 251,375,010 251,375,010 251,375,010 251,375,010
Wages & salaries 3,212,832 3,373,474 3,542,147 3,719,255 3,905,217 4,100,478 4,305,502 4,520,777
Travel & Perdiem 8,675 9,108 9,564 10,042 10,544 11,071 11,625 12,206
Telephone and Fax 44,852 45,749 46,664 47,597 48,549 49,520 50,511 51,521
Uniform and cloth 10,500 11,025 11,576 12,155 12,155 12,155 12,155 12,155
Goggle Splash 285 299 314 330 346 364 382 401
Stationery and Office supply 672,778 686,234 699,959 713,958 728,237 742,802 757,658 772,811
Fuel & Lubricants 216,172 237,789 261,568 287,725 316,497 348,147 382,962 421,258
Loading Unloading 1,121,297 1,177,362 1,236,230 1,298,042 1,362,944 1,431,091 1,502,645 1,577,778
Legal & Audit fee 5,000 5,100 5,202 5,306 5,412 5,520 5,631 5,743
Repair and maintenance 2,143,388 2,250,557 2,363,085 2,481,239 2,605,301 2,735,566 2,872,345 3,015,962
Lease Cost 2,000 2,000 2,000 2,000 2,000 2,000 2,000 2,000
Spar part and consumable - 581,932 581,932 581,932 581,932 581,932 581,932 581,932
Miselanious Expensses 10,000 10,200 10,404 10,612 10,824 11,041 11,262 11,487
Project Years
Description coverage
1 2 3 4 5 6 7 8
Raw Material 1months 14,663,542 16,758,334 18,853,126 20,947,918 20,947,918 20,947,918 20,947,918 20,947,918
Salary and Wages 1 month 267,736 281,123 295,179 309,938 325,435 341,707 358,792 376,731
Insurance 1 Year 218,225 218,225 218,225 218,225 218,225 218,225 218,225 218,225
Utilities 1 month 7,102 7,457 7,829 8,221 8,632 9,064 9,517 9,993
Telephone and Postage 1 month 3,738 3,738 3,738 3,738 3,738 3,738 3,738 3,738
Fuel and Lubricant 1 month 18,014 19,816 21,797 23,977 26,375 29,012 31,913 35,105
Supplies and Stationery 1 month 56,065 57,186 58,330 59,496 60,686 61,900 63,138 64,401
Travel and prrdiem 1 month 723 759 797 837 879 923 969 1,017
Uniform 1 month 10,500 11,025 11,576 12,155 12,155 12,155 12,155 12,155
Goggle Spalish 1 month 285 299 314 330 346 364 382 401
Loading Unloading 1 month 1,121,297 1,177,362 1,236,230 1,298,042 1,362,944 1,431,091 1,502,645 1,577,778
Miscellaneous 1 times 10,000 10,200 10,404 10,612 10,824 11,041 11,262 11,487
Working capital Increment - 2,111,493 2,112,384 2,113,328 19,537 20,598 21,724 22,918
Muluken Yayerad Paper and Paper Product Production Factory
VII Financial Plan of the Project
Total Financial
Equity DBE
Description Requirements
Contributions Loan
( Birr)
July / 2014 - - -
Disbursement Commitment
Total (birr) balance Out Standing
Repayment Balance
- - 31,412,585
259,723 - - 13,388,780
379,349 - - 12,830,918
921,409 - - 12,273,052
905,602 - - 11,715,186
2,206,360 - -
889,796 - - 11,157,320
873,990 - - 10,599,454
858,184 - - 10,041,588
2,621,970 - -
842,378 - - 9,483,722
826,571 - - 8,925,856
810,765 - - 8,367,990
2,479,714 - -
794,959 - - 7,810,124
779,153 - - 7,252,258
763,347 - - 6,694,392
2,337,459 - -
747,540 - - 6,136,526
731,734 - - 5,578,660
715,928 - - 5,020,794
2,195,203 - -
700,122 - - 4,462,928
684,316 - - 3,905,062
668,509 - - 3,347,196
2,052,947 - -
652,703 - - 2,789,330
636,897 - - 2,231,464
621,091 - - 1,673,598
1,910,691 - -
605,285 - - 1,115,732
589,478 - - 557,866
573,672 - - -
1,768,435 - -
Project Years
Description
1 2 3 4 5 6 7 8
Raw material 175,962,507 201,100,008 226,237,509 251,375,010 251,375,010 251,375,010 251,375,010 251,375,010
Wages & salaries 3,212,832 3,373,474 3,542,147 3,719,255 3,905,217 4,100,478 4,305,502 4,520,777
Travel & Perdiem 8,675 9,108 9,564 10,042 10,544 11,071 11,625 12,206
Telephone and Fax 44,852 45,749 46,664 47,597 48,549 49,520 50,511 51,521
Uniform and cloth 10,500 11,025 11,576 12,155 12,155 12,155 12,155 12,155
Goggle Splash 285 299 314 330 346 364 382 401
Stationery and Office supply 672,778 686,234 699,959 713,958 728,237 742,802 757,658 772,811
Fuel & Lubricants 216,172 237,789 261,568 287,725 316,497 348,147 382,962 421,258
Loading Unloading 1,121,297 1,177,362 1,236,230 1,298,042 1,362,944 1,431,091 1,502,645 1,577,778
Legal & Audit fee 5,000 5,100 5,202 5,306 5,412 5,520 5,631 5,743
Repair and maintenance 2,143,388 2,250,557 2,363,085 2,481,239 2,605,301 2,735,566 2,872,345 3,015,962
Lease Cost 2,000 2,000 2,000 2,000 2,000 2,000 2,000 2,000
Spar part and consumable - 581,932 581,932 581,932 581,932 581,932 581,932 581,932
Miselanious Expensses 10,000 10,200 10,404 10,612 10,824 11,041 11,262 11,487
Depreciation and
Amortization 3,023,379 3,023,379 3,023,379 3,023,379 3,023,379 3,023,379 3,023,379 3,023,379
Gross Profit 40,495,708 106,985,937 121,066,144 135,184,145 134,759,445 134,312,538 133,842,179 133,347,047
Less: Deprec. and Amort. 3,023,379 3,023,379 3,023,379 3,023,379 3,023,379 2,997,407 2,997,407 2,997,407
Profit Before Int. and tax 37,472,329 103,962,558 118,042,765 132,160,766 131,736,066 131,315,132 130,844,772 130,349,640
Interest Expense 1,090,628 948,372 806,116 663,861 521,605 379,349 237,093 94,837
Profit Before tax 36,381,701 103,014,186 117,236,648 131,496,906 131,214,462 130,935,783 130,607,679 130,254,803
Profit tax 12,725,645 36,047,015 41,024,877 46,015,967 45,917,112 45,819,574 45,704,738 45,581,231
Net Profit/Loss 23,656,055 66,967,171 76,211,771 85,480,939 85,297,350 85,116,209 84,902,942 84,673,572
Muluken Yayerad Paper and Paper Product Production Factory
Proejct Years
Description 0 1 2 3 4 5 6 7 8
Cash Inflows
Loan 31,412,585 -
Net Profit - 23,656,055 66,967,171 76,211,771 85,480,939 85,297,350 85,116,209 84,902,942 84,673,572
Total Cash Inflows 45,087,881 26,679,434 69,990,550 79,235,150 88,504,318 88,320,729 88,139,588 87,926,321 87,696,951
Increase In workng Capital 15,235,144 - 2,111,493 2,112,384 2,113,328 19,537 20,598 21,724 22,918
Loan Repayment - 1,673,594 1,673,598 1,673,598 1,673,598 1,673,598 1,673,598 1,673,598 1,673,598
Dividened (20%) - 473,121 1,339,343 1,524,235 1,709,619 1,705,947 1,702,324 1,698,059 1,693,471
Total Cash Outflows 45,087,881 2,146,715 5,124,434 5,310,217 5,496,545 4,817,082 3,396,521 3,393,381 3,389,987
Net Cash Flow - 24,532,719 64,866,116 73,924,933 83,007,773 83,503,647 84,743,067 84,532,940 84,306,963
Cumulative Cash Balance 24,532,719 89,398,835 163,323,768 246,331,541 329,835,187 414,578,255 499,111,195 583,418,158
Muluken Yayerad Paper and Paper Product Production Factory
Y E A R S
DESCRIPTION 0 1 2 3 4 5 6 7 8
ASSETS
CURRENT ASSETS
Inventory 15,235,144 15,235,144 17,346,637 19,459,021 21,572,349 21,591,886 21,612,485 21,634,209 21,657,127
Total Current Assets 15,235,144 39,767,864 106,745,472 182,782,789 267,903,890 351,427,074 436,190,739 520,745,403 605,075,285
FIXED ASSETS
Building and construction
10,877,763 10,333,875 9,789,987 9,246,099 8,702,210 8,158,322 7,614,434 7,070,546 6,526,658
Vehicles
6,050,000 4,840,000 3,630,000 2,420,000 1,210,000 6,050,000 4,840,000 3,630,000 2,420,000
Machinery and equipment
11,369,904 10,232,914 9,095,923 7,958,933 6,821,942 5,684,952 4,547,962 3,410,971 2,273,981
Generator
720,100 648,090 576,080 504,070 432,060 360,050 288,040 216,030 144,020
Electrical Installation
48,307 45,892 43,476 41,061 38,646 36,230 33,815 31,400 28,984
Furniture & fixture
30,545 27,491 24,436 21,382 18,327 15,273 12,218 9,164 6,109
Total Fixed Assets 29,096,619 26,128,261 23,159,902 20,191,544 17,223,185 20,304,827 17,336,469 14,368,110 11,399,752
Pre production cost 290,483 261,435 232,386 203,338 174,290 145,242 116,193 87,145 58,097
Pre - Operating Expense 259,723 233,751 207,779 181,806 155,834 129,862 103,889 77,917 51,945
Total Pre-Operating Expenses 550,206 495,186 440,165 385,144 330,124 275,103 220,083 165,062 110,041
Total Assets 44,881,970 66,391,310 130,345,539 203,359,477 285,457,199 372,007,004 453,747,291 535,278,575 616,585,078
Bank Loan 13,388,780 11,715,186 10,041,588 8,367,990 6,694,392 5,020,794 3,347,196 1,673,598 -
Sub Total 13,388,780 11,715,186 10,041,588 8,367,990 6,694,392 5,020,794 3,347,196 1,673,598 -
CAPITAL
Owner's Equity 13,675,295 13,675,295 13,675,295 13,675,295 13,675,295 13,675,295 13,675,295 13,675,295 13,675,295
Retained Earnings 17,817,894 41,000,829 106,628,656 181,316,192 265,087,512 353,310,915 436,724,799 519,929,682 602,909,783
Sub total 31,493,190 54,676,124 120,303,951 194,991,487 278,762,807 366,986,210 450,400,095 533,604,977 616,585,078
Total Liabilities and Capital 44,881,970 66,391,310 130,345,539 203,359,477 285,457,199 372,007,004 453,747,291 535,278,575 616,585,078
Muluken Yayerad Paper and Paper Product Production Factory