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JAY LAL & CO

CLIENT : W.P. Ref


BALANCE DATE : Compiled By
SUBJECT : Budget & Cashflow Checklist Senior
Manager

W.P. Compiled by Checked by


Ref Senior Manager
Date/Initial Date/Initial

1. Obtain all the records from client as per the


cashflow requirement checklist

2. Preparing basic assumptions for all sales


revenue and expenses such as:-

- Sales
- Directors Salary
- Depreciation
- Rent/Rates
- Insurance
- FNPF/TPAF Levy
- Wages

3. Prepare Projected Profit & Loss Statements

4. Prepare Projected Operating Budget

5. Prepare Projected Cashflow Forecast

6. Letter of Application

7. Prepare Cashflow Serviceability

8. Prepare Working Capital Position

9. - Prepare Interest Cover Ratio


- Prepare Debt Service Ratio

10. Prepare a standard bill

11. Managers review points and finalization

12. Discuss the Loan Application/Cashflow with client

13. Typing and callover to check

14. Partner's review points and finalization

15. Binding the Loan Application and submit to bank/client

CASHFLOW : FOLDER 2 : Budget Cashflow Checklist


Partner
Date

CASHFLOW : FOLDER 2 : Budget Cashflow Checklist

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