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21/06/2006

Date :

Break Even Analysis

Rs in one hundred thousands


Draft for HighTech Engineering Industries

81, Mittal Towar, Nariman Point, Mumbai

Year No  ———— >

2003-04

2004-05

2005-06

2006-07

2002-03


A) NET SALES / GROSS RECEIPTS

268.63

416.76

484.45

603.44

709.91



B) VARIABLE COSTS



    Raw Materials Consumed

85.47

107.63

132.69

162.66

179.99



    Packing Materials Consumed

8.70

9.78

12.60

16.01

18.12



    Consumable Stores Consumed

8.50

9.35

11.75

14.55

16.00



    Power and Fuel

7.40

8.67

11.61

15.32

17.98



    Direct Labour and Wages

6.00

6.60

8.30

10.27

11.29



    Factory Overheads

0.00

0.00

0.00

0.00

0.00



    Utilities

0.00

0.00

0.00

0.00

0.00



    Repairs and Maintenance 

3.06

3.37

4.24

5.24

5.77



    Other Direct Expenses

0.00

0.00

0.00

0.00

0.00



    Administrative Expenses

0.00

0.00

0.00

0.00

0.00



    Salaries (Indirect)

0.00

0.00

0.00

0.00

0.00



    Selling Expenses

21.68

38.45

48.32

66.82

88.33



    Other Indirect Expenses

0.00

0.00

0.00

0.00

0.00



    Add Opening Stocks of

0.00

0.00

0.00

0.00

0.00



        Work in Process

1.35

27.21

30.27

36.88

44.53



        Finished Goods

4.50

15.84

18.54

22.77

28.08



    Less Closing Stocks of

0.00

0.00

0.00

0.00

0.00



        Work in Process

27.21

30.27

36.88

44.53

48.20



        Finished Goods

15.84

18.54

22.77

28.08

31.41



TOTAL VARIABLE EXPENSES

103.62

178.07

218.68

277.91

330.49



C) SEMI FIXED COSTS



    Raw Materials Consumed

22.87

31.42

38.20

46.66

52.04



    Packing Materials Consumed

5.80

6.52

8.40

10.67

12.08



    Consumable Stores Consumed

0.00

0.00

0.00

0.00

0.00



    Power and Fuel

2.60

3.03

4.04

5.30

6.18



    Direct Labour and Wages

22.50

24.75

31.11

38.50

42.35



    Factory Overheads

1.20

1.32

1.66

2.05

2.26



    Utilities

0.00

0.00

0.00

0.00

0.00



    Repairs and Maintenance 

3.06

3.37

4.24

5.24

5.77



    Other Direct Expenses

0.00

0.00

0.00

0.00

0.00



    Administrative Expenses

2.65

2.79

3.42

4.21

4.62



    Salaries (Indirect)

2.64

2.90

3.65

4.52

4.97



    Selling Expenses

5.95

10.63

13.32

18.45

24.49



    Other Indirect Expenses

0.00

0.00

0.00

0.00

0.00



TOTAL SEMIFIXED EXPENSES

69.27

86.73

108.03

135.61

154.76



D) FIXED COSTS



    Depreciation

29.58

33.60

33.60

32.92

29.09



    Interests

19.99

15.15

11.04

6.94

3.18



    Preoperative expenses written-off

1.67

1.67

0.42

0.42

0.42



TOTAL FIXED EXPENSES

51.23

50.42

45.06

40.28

32.69



CONTRIBUTION

165.01

238.69

265.77

325.54

379.42



BREAK EVEN POINT %

73.03

57.46

57.60

54.03

49.41



BREAK EVEN SALES

196.18

239.48

279.06

326.04

350.73



CASH BREAK EVEN POINT %

54.09

42.69

44.80

43.79

41.63



CASH BREAK EVEN SALES

145.30

177.90

217.05

264.24

295.51


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