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1、n建设项目财务分分析项目背景:某工业项目计算算期为16年,建设期期为3年,第4年投产,第5年开始达到到生产能力。1 建设投资160000万元。分年年投资情况如如下:(单位位:万元)项目/年末1234建设投资50007000400016000该项目的固定资资产综合折旧旧年限为15年,残值率率为5%,采用直线线折旧法折旧旧,期末余值值等于账面余余值。2 流动资金约为44980万元,投产产前一年末一一次投入(三三年末)。3 销售收入、销售售税金及附加加和经营成本本的预测值如如下,其它支支出忽略不计计。 (单位:万万元)项目/年末45615销售收入11200160001600016000销售税金及附加
2、加640960960960经营成本70001000010000100004 建设投资160000万元中,权益投资8000万元,权益益投资分年出出资为3000万元、3000万元和2000万元,不足足部分向银行行借款。银行行贷款条件是是年利率6%,建设期只只计息不付息息还款,将利利息按复利计计算到第四年年年初,作为为全部借款本本金。投产后后(第四年末末)开始还贷贷,每年付清清利息,并分分10年等额还本本。5 流动资金投资44980+学号后两位位数,全部向向银行借款(始始终维持借款款状态),贷贷款年利率也也是6%。要求:1. 融资前盈利能力力分析(编制利润与与所得税计算算表、全部投投资现金流量量表)
3、 ,计算融资资前所得税后后的内部收益益率。假如长期借款的的利率为10%,股权融资资要求的投资资回报率9%,又能设法法从银行借到到50%的初始投资资,说明这个个项目是否可可能考虑?2. 融资后盈利能力力分析(编制借款需需要量计算表表、固定资产产投资借款还还款计划表、利利润与所得税税计算表、全全部投资现金金流量表、自自有(权益)资金投资现现金流量表) ,计算全部部投资、自有有(权益) 投资的静态态投资回收期期、内部收益益率。假如行行业基准收益益率为10%,判断项目目的可行性?3. 编制财务计划现现金流量表,判判断项目基本本生存能力?4. 编制资产负债表表,计算资产产负债率等指指标,分析项项目负债情
4、况况和偿债能力力?5. 对项目作出财务务分析的综合合评价。表1、利润与所所得税计算表表(融资前) (单位:万万元)序号项目计算期4567891011121314151销售收入1120016000160001600016000160001600016000160001600016000160002销售税金及附加加6409609609609609609609609609609609603总成本费用801311013110131101311013110131101311013110131101311013110133.1经营成本700010000100001000010000100001000010
5、000100001000010000100003.2折旧1013101310131013101310131013101310131013101310133.3利息支出4利润总额(123)2547402740274027402740274027402740274027402740275所得税(4333)840.5132813281328132813281328132813281328132813286税后利润170626992699269926992699269926992699269926992699表2、全部投资资现金流量表表(融资前) (单位:万万元)序号项目计算期123456789101
6、1121314151现金流入1120016000160001600016000160001600016000160001600016000248531.1销售收入160001.2回收固定资产余余值38401.3回收净营运资金金50142现金流出500070009013764010960109601096010960109601096010960109601096010960109602.1建设投资(不含含建设期利息息)5000700040002.2净营运资金50142.3经营成本7000100001000010000100001000010000100001000010000100001000
7、02.4销售税金及附加加6409609609609609609609609609609609603所得税前净现金金流量(1-2)-5000-7000-90133560504050405040504050405040504050405040504050404累计所得税前净净现金流量-5000-12000-21013-17453-12413-7373-2333270777471278717827278672790732947379875所得税840.513291329132913291329132913291329132913291329 6所得税后净现金金流量(3-5)-5000-7000-96
8、132719371137113711371137113711371137113711371196317累计所得税后净净现金流量-5000-12000-21613-18894-15183-11472-7761-4050-3393312769811379150911881022513表3、借款需要要量计算表 (单位位:万元)项目 年末末1234合计建设投资总数500070004000016000净营运资金00050145014权益资金30003000200008000借款需要量200040002000501413014建设期利息计算算 (单位位:万元)项目 年末1234附注年初欠款02060630
9、3.68742当年借款200040002000当年利息60243.6438.2524.5年末欠款累计20606303.68741.89266.3 表4、固定资产产投资还贷计计划与利息计计算 (单位:万元)项目年末45678910111213期初本息余额8741.87867.66993.46119.35245.14370.93496.72622.51748.3874.2本期付息524.5472.1419.6367.2314.7262.3209.8157.4104.952.5本期还本874.2874.2874.2874.2874.2874.2874.2874.2874.2874.2期末本息余额76
10、87.66993.46119.35245.14730.93496.72522.51748.4874.20 表5、利润与所所得税计算表表(融资后) (单单位:万元)序号项目计算期4567891011121314151销售收入1120016000160001600016000160001600016000160001600016000160002销售税金及附加加6409609609609609609609609609609609603总成本费用8886118341187211729116771162411571115191146611413911361113613.1经营成本70001000010
11、0001000010000100001000010000100001000010000100003.2折旧1060.31060.31060.31060.31060.31060.31060.31060.31060.31060.31060.31060.33.3利息支出825.6773.2721.4688.2615.8563.3510.9458.4405.9353.5301.1301.14利润总额(123)1674.13206.53258.33311.53363.93416.43468.83521.33573.73626.23678.63678.65所得税(4333)552.51058.21075.
12、310931110.11127.41144.71162.81179.31196.61213.91213.96税后利润1121.62148.421832218.52253.82288.92324.12359.32394.42429.52464.92464.9 表6、全部投资现现金流量表(融融资后) (单位:万万元)序号项目计算期1234567891011121314151现金流入1120016000160001600016000160001600016000160001600016000250311.1销售收入160001.2回收固定资产余余值40181.3回收 (流动) 净营运资金50142现
13、金流出500070009013764010960109601096010960109601096010960109601096010960109602.1建设投资(不含含建设期利息息)5000700040002.2净营运资金50142.3经营成本700010000100001000010000100001000010000100001000010000100002.4销售税金及附加加6409609609609609609609609609609609603所得税前净现金金流量(1-2)-5000-7000-90133560504050405040504050405040504050405040
14、5040140764累计所得税前净净现金流量-5000-12000-21013-17453-12413-7373-2383270777471278717827228672790732947470185所得税553105810751093111011271145116211791197121412146所得税后净现金金流量(3-5)-5000-7000-90133008398239653947392939133895337838613844382612867累计所得税后净净现金流量-5000-7000-21013-18006-14024-10059-6112-218217305625950313
15、364172072100633892 表7、权益资金金投资现金流流量表 (单位:万万元)序号项目计算期1234567891011121314151现金流入1120016000160001600016000160001600016000160001600016000250311.1销售收入1120016000160001600016000160001600016000160001600016000160001.2回收固定资产余余值40181.3回收净营运资金金50142现金流出3000300020002.1权益投资3000300020009892.313665136311359513560135
16、251348913771134191338412475124752.2借款本金偿还874.2874.2874.2874.2874.2874.2874.2874.2874.2874.22.3借款利息支付8267737216686165635114584063543023022.4经营成本700010000100001000010000100001000010000100001000010000100002.5销售税金及附加加6409609609609609609609609609609609602.6所得税552.51058.21075.31093111011271145147911801197
17、121412143净现金流量(11-2)-3000-3000-2000130823352369240524402475251022292581261635253525 利润分配表 (单位:万万元)项目 年份456789101112131415利润总额1674.13206.53528.63311.53363.93416.43468.83521.33573.73626.23678.63678.6所得税55310581075109311101127114511621179119712141214税后利润112221492183221922542289232423592395243024682468盈
18、余公积金112215218222226229233236240245247247公益金56108109111113115116118120122123123应付利润95318261856188619161946197620062036208320952095未分配利润注:盈余公积金金=税后利润10%计提公益金=税后利利润5%计提 应付利润润=税后利润盈盈余公积金公益金 表8、 财务计划现现金流量表 (单位:万万元)序号项目计算期1234567891011121314151经营现金流量表表(1.1-1.2)112001600016000160001600016000160001600016000
19、16000160001.1现金流入11200160001600016000160001600016000160001600016000160001.1.1销售收入11200160001600016000160001600016000160001600016000160001.2现金流出1.2.1经营成本700010000100001000010000100001000010000100001000010000100001.2.2销售税金及附加加6409609609609609609609609609609609601.2.3所得税552.41058.11075.310931110.11127.
20、41144.71478.81179.31196.61213.91213.92投资活动净现金金流量(2.11-2.2)-5000-7000-90132.1现金流入2.2现金流出5000700090132.2.1建设投资5000700040002.2.2流动资产投资50133筹资活动净现金金流量(3.1-3.22)5000700090138546.912526.5512548.9912571.9912594.331261712639.551262212684.7712689.2213604136043.1现金流入5000700090131120016000160001600016000160001
21、6000160001600016000160003.1.1权益资金投入3000300020003.1.2建设投资借款2000400020003.1.3营运资金借款50133.2现金流出2653.13473.53451.13428.13405.733833360.533383315.33310.8239623963.2.1各种利息支出825.6773.2721.4668.2615.8563.3510.8458.4405.9353.5301.1301.13.2.2偿还债务本金874.2874.2874.2874.2874.2874.2874.2874.2874.2874.23.2.3应付利润953
22、.31826.11855.51885.71915.71945.51975.52005.42035.22083.12094.92094.94净现金流量(盈盈余资金)(1+2+33)00019746.9928526.5528548.9928571.9928594.332816728639.552862228684.7728689.2229604296045累计盈余资金00039493.885705357097857143.8857188.6656334572795724457369.4457378.445920859208 表9、资产负债债表 (单位:万元)序号项目计算期1234567891011121314151资产1.1流动资产总额1.1.1货币资金(现金金和累计盈余余资金)1.1.2流动资产1.2在建工程1.3固定资产净值2负债及所有者权权益2.1流动负债总额2.1.1短期借款2.2建设投资借款2.3营运资金借款2.4负债小计(2.1+2.22.+2.33)2.5所有者权益2.5.1权益投资2.5.2累计盈余公积金金2.5.3累计公益金2.5.4累计未分配利润润资产负债率