Make your own free website on Tripod.com
              Harry and Aunt Matilda Plumbing Company
             
                        Six Month Financial Projection 9-Jan-05
  January February March April May June Total
Order $15.200,00 $18.560,00 $29.560,00 $32.019,00 $43.102,00 $29.955,00 $168.396,00
Expenses
Cost Of Material $3.800,00 $4.640,00 $7.390,00 $8.004,75 $10.775,50 $7.488,75 $42.099,00
Cost Of Pattern 478,80 584,64 931,14 1.008,60 1.357,71 943,58 5.304,47
Retirement Account 798,00 974,40 1.551,90 1.681,00 2.262,86 1.572,64 8.840,79
Food and Clothing
6.460,00 7.888,00 12.563,00 13.608,08 18.318,35 12.730,88 71.568,30
Total Expenses $11.536,80 $14.087,04 $22.436,04 $24.302,42 $32.714,42 $22.735,85 $127.812,56
Remaining Profit $3.663,20 $4.472,96 $7.123,96 $7.716,58 $10.387,58 $7.219,16 $40.583,44
Savings
Saving for Tractors $915,80 $1.118,24 $1.780,99 $1.929,14 $2.596,90 $1.804,79 $10.145,86
Bonus
150,00 150,00 150,00 150,00 150,00 150,00 900,00
Total Savings $1.065,80 $1.268,24 $1.930,99 $2.079,14 $2.746,90 $1.954,79 $11.045,86
Assumptions  
Bonus $150,00
Cost Of Material 25,00%
Cost Of Pattern 3,15%
Retirement Account 5,25%
Food and Clothing 42,50%
Saving for Tractors 25,00%
Saving for Bonus $750,00