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Current and historical Financial Statements (Income Statement (I/S), Balance Sheet (B/S) and Statement of Cash Flows) from the three most current years for the firm.

Current and historical Financial Statements (Income Statement (I/S), Balance Sheet (B/S) and Statement of Cash Flows) from the three most current years for the firm.

A formal, in-depth case study analysis requires you to utilize the entire strategic management process. Assume your are a consulting team asked by Bank of America to analyze its external/internal environment and make strategic recommendations. You must include exhibits to support your analysis and recommendations. The case study must include these components: • 2-3 pages of text plus the exhibits • Matrices, which must be exhibits/attachments in the appendix and not part of the body of the analysis (The Strategy Club has excellent templates/examples for exhibits and matrices: http://strategyclub.com/free-student-template/) **I am only responsible for the following deliverables for this case study:** Case study deliverables (text must follow this order with APA level headings for each component): 1. Executive Summary 2. Current and historical Financial Statements (Income Statement (I/S), Balance Sheet (B/S) and Statement of Cash Flows) from the three most current years for the firm. The financial statements must include changes (deltas) between years. 3. Pro-Forma Financial Statements (I/S, B/S and Statement of Cash Flows) with deltas out three years and analysis Each year must have two columns: one with your strategy and one without your strategy. a. Include Pro-Forma ratios for the first year out with deltas contrasting from the most current year’s ratios.

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