参考号:EM131213084,长度:字数:2500
Accounting for Business Decisions Group Assignment-
You can select any company just need to be listed in ASX.
该任务旨在建立对财务报表结构及其在决策中的使用的理解。任务是从澳大利亚证券交易所(ASX)中选择一家公开上市的公司,该公司应由您的讲师批准,以免与其他团体相同的公司。此外,基于最新财务报告的盈利能力的分析非常重要。
This group assignment is in itself includes several areas of the course, each of which comprises a part of the groups' task. However, it is well encouraged to include any additional information that the group may think will be useful in conducting financial statements analysis of the selected company.
第1部分 - 执行摘要和简介
Provide an executive summary which states the problem, how it was investigated, what was found, and what the findings mean. The introduction may include the company's background relating to business structure, operations, services and all other business activities that are conducted, etc
第2部分 - 主体
A. Statement of Financial Position
使用截至2015年6月30日的年度报告。您的小组将需要审查本报告的主要部分,以使自己熟悉每个财务报表的内容以及财务报表的适当说明。
Review the balance sheet of the company and indicate the amount of the following:
a) Total current assets
b)总非流动资产
c)总电流负债
d) Total non-current liabilities
e)总股东权益
将上述数字与上一年进行比较,并计算增加或减少的百分比,并评论公司的比较财务状况。
B. Stockholders' Equity
Review the stockholders' equity section in your chosen company's most recent year-end balance sheet and compare that with the previous year-end balance sheet. Compare percentage increase or decrease.
List the stockholders' equity account balances and number of outstanding shares from these two balance sheets and compute the increase or decrease for each during this past year.
C.损益表
Review the income statement and indicate the following:
a) Total (operating) revenues
b)出售商品成本(如果相关)
c) Total expenses (before income taxes)
d)任何非运营(或非凡)收益和损失
e) Earnings per common share
Compare the above figures with the previous year and compute the percentage increase or decrease and comment on the comparative financial operation of the company.
D.现金流量
审查最近一年的现金流量声明,并指出以下内容:
a)经营活动的净现金流入(流出)
b) net cash inflow (outflow) from financing activities
c)投资活动的净现金流入(流出)
d) net increase (decrease) in cash during the year
Analyse the Cash Flow Statements for the last 2 years and comment on the cash position of the company.
第3部分 - 结论
Discuss the importance & interpretation of the findings.
Part 4 - Recommendations
根据您的结论,采取的行动是什么?
第5部分 - 参考
List all sources used. Harvard style of referencing should be used.
第6部分 - 附录
Graphs, charts, tables or other data not mentioned in the body.