The first of three papers for this project is due at the end of Module Three . In task 3-3 , you will perform a quality balance sheet assessment of the company you chose in Module One . This analysis will include a review of the current assets and liabilities and appropriate liquidity ratios , the capital structure , and the fixed and intangible asset accounting of the company . A thorough review of off-balance-sheet items should be included , such as leases and contingent liabilities . The format should be a Word document , following APA-style guidelines provided below . This paper should be approximately 5 pages of written text , not counting cover page , abstract , or reference page . You are encouraged to include diagrams or exhibits illustrating your work . The first two papers will become part of the final paper due in Module Seven . This milestone will be graded with the Short Paper Rubric .
Milestone Three : Analyze Cash Flow and Cash Management of Chosen Company
In task 5-3 , you will analyze the cash flow and cash management of your chosen company . A review of return on invested capital and profitability should also be made using a variety of appropriate ratios and horizontal and / or vertical analysis . . The format should be a Word document , following APA-style guidelines provided below . This paper should be approximately 5 pages of written text , not counting cover page , abstract , or reference page . This milestone will be graded with the Short Paper Rubric .
Final Submission : Final Paper
In task 7-2 , you will submit the final research paper including a prospective analysis projecting the next year income statement and using this product to produce a valuation of the company stock going forward , plus the edited papers from Milestones