Prepare the financial part of the strategic plan. The plan should comprise three years of income statements, balance sheets and cash flow statements.
Write down a memo of no more than 1,050 words which explains the plan's major suppositions and identifies areas of risk. The memo must comprise the given:
a) A review of cash flow statements and a proposal of implementing new short-term working capital strategies on the long-term cash flow.
b) The description of corporate risk mitigation methods used in capital budgeting.
c) An analysis of the effect of a company's capital structure on the strategic financial planning and how it affects risk.
Refer to the Mergent Online database available in the University Library for financial plan illustrations.
Format your memo consistent with the APA rule.