This work contains FIN 419 Week 4 Learning Team Assignment Working Capital Strategies Paper
Resource: Financial Outcomes Paper
· Write a 1,400- to 2,100-word paper in which you review your organization’s most recent financial reports, such as balance sheets, statements of cash flow, management comments, and footnotes to financial statements, to explain how each current asset and liability account has affected cash management strategies.
· Assume next year’s forecasted revenues increase by 20%.
· Provide a detailed working capital recommendation to senior management based on next year’s increase in revenue along with assumptions you make regarding other line items in the pro forma financial statements.
· Discuss the effect of this revenue increase on the firm’s working capital policy.
· Identify lessons learned and discuss areas for further development in your conclusion.
· Format your paper according to APA standards.
· All written Paper Assignments must have 5 References. References must also be properly cited with the Paper.
· Create a 5- to 8-slide Microsoft PowerPoint presentation for the organization’s senior management with an executive summary of your Working Capital Strategies paper.
· References must also be listed on one of the slides.