Business Forecast and Balance sheet for new Oil and Gas Company
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Post a project like this3911
£100(approx. $125)
- Posted:
- Proposals: 1
- Remote
- #286490
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Description
Experience Level: Intermediate
Our company is new oil and gas company with specialities in the followings:
EPC -Early production facilities
Onshore/offshore Exploration services
Water flow management
well testing services
Mud logging
Rig Installation/Design services e.g 3000HP:2000HP
Geotechnics
Forecasts in the business plan
• Sales forecast
• Forecast profit and loss account (income statement)
• Cash flow forecast (cash budget)
(In each case this should be a month-by-month forecast for a minimum of two years
• Forecast balance sheet for each of the first two years
• The assumptions behind the forecast, included
Financial data
• Investment appraisal - payback and discounted cash flow
• Break even analysis
• Evaluation criteria for performance review
• Ratio analysis: net profit margin, Gross profit margin, return on capital employed, liquidity and solvency analysis
Financing required
• Details of capital required and uses
• The plan must include details of the external finance required
• This will be equal to the finance required less finance raise internally from existing owners and from operations
• The plan will outline how it is proposed to raise the finance
• Sources of finance: Short, medium and long term; Debt v equity
You will need to research on this services and provide us with details of forecast, profit and loss and balancesheet.
EPC -Early production facilities
Onshore/offshore Exploration services
Water flow management
well testing services
Mud logging
Rig Installation/Design services e.g 3000HP:2000HP
Geotechnics
Forecasts in the business plan
• Sales forecast
• Forecast profit and loss account (income statement)
• Cash flow forecast (cash budget)
(In each case this should be a month-by-month forecast for a minimum of two years
• Forecast balance sheet for each of the first two years
• The assumptions behind the forecast, included
Financial data
• Investment appraisal - payback and discounted cash flow
• Break even analysis
• Evaluation criteria for performance review
• Ratio analysis: net profit margin, Gross profit margin, return on capital employed, liquidity and solvency analysis
Financing required
• Details of capital required and uses
• The plan must include details of the external finance required
• This will be equal to the finance required less finance raise internally from existing owners and from operations
• The plan will outline how it is proposed to raise the finance
• Sources of finance: Short, medium and long term; Debt v equity
You will need to research on this services and provide us with details of forecast, profit and loss and balancesheet.
Laws O.
98% (23)Projects Completed
33
Freelancers worked with
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Projects awarded
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Last project
5 Jun 2018
United Kingdom
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