Convention Centre
Convention Centre
Convention Centre
OF
Financial Feasibility
INDEX
NO PARTICULAR
01 PROJECT COST
02 LIST OF MACHINARIES & EQUIPMENT
03 STATEMENT OF SECURITY DEPOSIT
04 PROJECTED BALANCE SHEET
05 PROJECTED INCOME STATEMENT
06 PROJECTED CASH FLOW
07 PROJECTED WORKING CAPITAL STATEMENT
08 STATEMENT OF COST OF SALES
09 STATEMENT OF OVERHEAD
10 STATEMENT OF REVENUE
11 STATEMENT OF MATERIAL COST
12 STATEMENT OF SALARIES
13 TERM LOAN SCHEDULE
14 DEPRECIATION SCHEDULE
15 PROJECT SUMMARIES & RATIO ANALYSIS
VERBOSE CONVENTION HALL
Financial Feasibility
Means of Finance:
Owners Equity (30%) 15,353,910
Total 5,000,000
VERBOSE CONVENTION HALL
Section Wise List of Macheniries with Detail cost
Total 7,350,000
Total 22,400,000
03 FURNITURE
3.1 Table 60 25,000.00 1,500,000
3.2 Chair 350 12,000.00 4,200,000
3.3 Office table 10 10,000.00 100,000
3.4 Office Chair 30 7,000.00 210,000
-
-
-
-
Total - 6,010,000
04 VEHICLE
Micro Bus for Delivery 1 2,000,000 2,000,000
Total 2,000,000 2,000,000
GrandTotal 42,260,000
VERBOSE CONVENTION HALL
Financial Feasibility
Construction
Particulars Year 1 Year 2 Year 3 Year 4 Year 5
Period
Fixed Assets
Cost 51,158,950 51,158,950 51,158,950 51,158,950 51,158,950 51,158,950
Less: Accumulated Depreciation 9,231,790 18,463,580 27,695,370 36,927,160 46,158,950
Net Book Value 51,158,950 41,927,160 32,695,370 23,463,580 14,231,790 5,000,000
Current Asstes:
Inventory & Advances 801,443 892,511 932,428 972,546 1,012,880
Accounts Receivable 753,333 806,820 870,100 931,308 1,039,600
Cash and Cash Equivalent 20,749 8,485,182 18,206,521 28,309,309 39,368,262 52,706,946
Total Current Assets 20,749 10,039,958 19,905,852 30,111,837 41,272,116 54,759,426
Current Liabilities:
Accouns Payable 629,822 1,487,954 1,636,749 1,800,424 1,980,467
Liabilities for Exp. 509,967 529,465 549,818 571,067 593,252
Short Term Bank Loan 394,238 262,825 131,412 (1) (1)
Total Current Liabilities: - 1,534,027 2,280,244 2,317,979 2,371,490 2,573,718
Shareholder Equity:
Owners Capital 15,353,910 15,353,910 15,353,910 15,353,910 15,353,910 15,353,910
- - - - - -
VERBOSE CONVENTION HALL
Financial Feasibility
Dep.
Particular Cost Tk. %
Amount/Year
Interest During Construction Period for Avg. Three Months @ 13% 1,535,950 20 307,190
Contingencies (5%) 2,363,000 20 472,600
Sub Total 3,898,950 779,790
Sales Revenue:
Sales Net of VAT 36,160,000 38,727,360 41,764,800 44,702,800 49,900,800 211,255,760
Total cost of Goods Sold 4,014,400 4,140,617 4,274,277 4,412,776 4,568,166 21,410,236
11% 11% 10% 10% 9% 10%
Gross Profit 32,145,600 34,586,743 37,490,523 40,290,024 45,332,634 189,845,524
89% 89% 90% 90% 91% 90%
Operating Overhead:
Earning Before Interest & Taxes 12,223,140 13,764,648 16,065,456 18,261,550 22,582,093 82,896,888
34% 36% 38% 41% 45% 39%
Financial Overhead:
Tide up
Particulars Year 1 Year 2 Year 3 Year 4 Year 5
Period (Days)
A) Current Assets:
1.Inventories
Raw Material - - - - -
Work in Process - - - - -
Finished Goods - - - - -
Sub Total - - - - -
2. Advances
Salary and Wages 15 61,993 81,366 85,435 89,706 94,192
Spare parts 180 22,500 22,500 22,500 22,500 22,500
Office Rent 30 400,000 440,000 460,000 480,000 500,000
Insurance 360 316,950 348,645 364,493 380,340 396,188
Sub Total 801,443 892,511 932,428 972,546 1,012,880
3. Accounts Receivable:
Local Sales 753,333 806,820 870,100 931,308 1,039,600
Sub Total 753,333 806,820 870,100 931,308 1,039,600
B) Current Liabilities:
1. Accounts Payable 629,822 1,487,954 1,636,749 1,800,424 1,980,467
Sub Total 629,822 1,487,954 1,636,749 1,800,424 1,980,467
2. Liabilities for Expenses:
Salary and Wages 309,967 325,465 341,738 358,825 376,766
Utility 200,000 204,000 208,080 212,242 216,486
Sub Total 509,967 529,465 549,818 571,067 593,252
3. Short term Bank Borrowing 394,238 (131,413) (131,413) (131,413)
Sub Total 394,238 (131,413) (131,413) (131,413) -
Construction
Particulars Year 1 Year 2 Year 3 Year 4 Year 5
Period
Operating Activities:
Net Profit after Tax 4,698,853 6,084,999 7,988,975 9,900,968 13,158,002
Add: Depreciation and Written off 9,231,790 9,231,790 9,231,790 9,231,790 9,231,790
Cash Profit - 13,930,643 15,316,789 17,220,765 19,132,758 22,389,792
Investing Activities:
Security Deposit and Decoration (5,000,000)
Machineries and Equipments (42,260,000)
Lisence Acquisition Fees -
Consultanting Fees
Contingencies (2,363,000)
Net Cash Flow from Investing Activities (49,623,000) - - - - -
Financing Activities:
Shareholder Equity 15,353,910
Long Term Bank Loan 35,825,789 (5,445,461) (6,197,112) (7,052,515) (8,025,991) (9,104,710)
Short Term Bank Loan - 394,238 (131,413) (131,413) (131,413) -
Interest on Bank Loan (1,535,950) - - - - -
To be Arranged - - - - -
Net Cash Flow from Financing Activities 49,643,749 (5,051,223) (6,328,525) (7,183,928) (8,157,404) (9,104,710)
Net Changes in Cash Position 20,749 8,464,433 9,721,339 10,102,788 11,058,952 13,338,684
Opening Balance of Cash and Cash Equivalent - 20,749 8,485,182 18,206,521 28,309,309 39,368,262
Closing Balance of Cash and Cash Equivalent 20,749 8,485,182 18,206,521 28,309,309 39,368,262 52,706,946
VERBOSE CONVENTION HALL
Financial Feasibility
Projected Overhead
Operating Overhead
Salary & Benefits 5.08% 1,836,000 1,927,800 2,024,190 2,125,400 2,231,669 10,145,059
Utility 3.98% 1,440,000 1,468,800 1,498,176 1,528,140 1,558,703 7,493,819
Rent 13.27% 4,800,000 5,280,000 5,520,000 5,760,000 6,000,000 27,360,000
Telephone 0.33% 120,000 132,000 138,000 144,000 150,000 684,000
Postal & Courier service 0.01% 5,000 5,500 5,750 6,000 6,250 28,500
Supplies, Printing & Stationary 0.25% 90,400 99,440 103,960 108,480 113,000 515,280
Entertainment 0.20% 72,320 79,552 83,168 86,784 90,400 412,224
Travelling & Conveyance 0.75% 271,200 298,320 311,880 325,440 339,000 1,545,840
Fees & Taxes 0.14% 50,000 55,000 57,500 60,000 62,500 285,000
Insurance 0.88% 316,950 348,645 364,493 380,340 396,188 1,806,616
Repair & Maintenance 0.50% 180,800 198,880 207,920 216,960 226,000 1,030,560
Depreciation 23.04% 8,331,790 8,331,790 8,331,790 8,331,790 8,331,790 41,658,950
Fuel 1.66% 600,000 660,000 690,000 720,000 750,000 3,420,000
Promotional Expenses 5.00% 1,808,000 1,936,368 2,088,240 2,235,140 2,495,040 10,562,788
Total 50.10% 19,922,460 20,822,095 21,425,067 22,028,474 22,750,540 106,948,636
Financial Overhead:
Interest on Term Loan 12.00% 4,340,467 3,588,816 2,733,413 1,759,937 652,090 13,074,723
Interest on Working Capital 0.14% 51,251 34,167 17,084 - - 102,502
2 Bonus (one month of basic each) 138,500 145,425 152,696 160,331 168,348
Accounts Department
Account office 1 5,000 5,000 10,000 10,000 120,000
Store Department
Store Officer 1 3,000 3,000 6,000 6,000 72,000
Procurement
Procurement Executive 1 4,000 4,000 8,000 8,000 96,000
Securities
Security Guard 6 1,750 10,500 3,500 21,000 252,000
Projected Sales
Particular Qty./Day Rate 1st Year 2nd Year 3rd Year 4rd Year 5th Year
Day- Party 30 30,000 900,000 963,900 1,039,500 1,112,625 1,242,000
Night - party 19 40,000 760,000 813,960 877,800 939,550 1,048,800
Day -party with Catering- (Pakage -1) 50 115,000 5,750,000 6,158,250 6,641,250 7,108,438 7,935,000
Day -party with Catering(Pakage -2) 40 130,000 5,200,000 5,569,200 6,006,000 6,428,500 7,176,000
Night -party with Catering(Pakage -1) 90 145,000 13,050,000 13,976,550 15,072,750 16,133,063 18,009,000
Night -party with Catering (Pakage -2) 60 175,000 10,500,000 11,245,500 12,127,500 12,980,625 14,490,000
Total 36,160,000 38,727,360 41,764,800 44,702,800 49,900,800
VERBOSE CONVENTION HALL
Financial Fesibility