Wesgibbins Excel
Wesgibbins Excel
Wesgibbins Excel
2018 POPULATION
Total Population 643,907.88
15-59 years old individuals 401,251
Barangays (Number: 26)
Population
Respondents Result Name Urban/Rural
17% 17 a (as of May 1, 2010)
17% 17 b Apopong Urban 43596
14% 14 c Baluan Rural 6611
13% 13 d Batomelong Rural 3624
11% 11 e Buayan Urban 9778
10% 10 f Bula Urban 34697
8% 8 g Calumpang Urban 67832
6% 6 h City Heights Urban 23503
4% 4 i Conel Rural 9303
1 100 Dadiangas East (Pob.Urban 5882
Dadiangas North Urban 10675
Dadiangas South Urban 8083
Dadiangas West Urban 18253
Fatima Urban 67309
Katangawan Rural 10636
Labangal Urban 57769
Lagao (1st & 3rd) Urban 47953
Ligaya Rural 3758
Mabuhay Rural 14519
Olympog Rural 2797
San Isidro (Lagao 2n Urban 38980
San Jose Rural 7651
Siguel Rural 8238
Sinawal Rural 10861
Tambler Urban 9189
Tinagacan Rural 5134
Upper Labay Rural 2911
TOTAL 529542
Population
Annual Capacity
Small Medium
Number of Lockers 120 24
Total 112 33 9 13 2 1
Maximum Capacity per day 154 17
in (Person)
40394.80519481
31104
Large Total
24
12.99%
3 1.5 1
2 1 1
6 1 1
7
215
2,581
80%
2,065 51,301
Table 4
Annual Capacity
Marke
Market
Chart
shareTitle
0.36%
%;
Free
Market;
99.64%
47,710
150
7,156,546
Open Air Cinema
Schedule No. 1
ected Service Revenue
Year 2 Year 3 Year 4 Year 5
7,510,794.67 7,882,579.01 8,272,766.67 8,682,268.62
0
Projected
YEAR 0
George, Beg. Capital ₱ 239,656.00
Add: Net Income/(Loss) (9,792.00)
Total ₱ 229,864.00
Less: Withdrawal -
Ending Balance ₱ 229,864.00
YEAR 0
Wes, Beg. Capital ₱ 239,656.00
Add: Net Income/(Loss) (9,792.00)
Total ₱ 229,864.00
Less: Withdrawal -
Ending Balance ₱ 229,864.00
₱10,000,000.00
₱9,000,000.00
₱8,000,000.00
₱7,000,000.00
₱6,000,000.00
₱5,000,000.00
₱4,000,000.00
₱3,000,000.00
₱2,000,000.00
₱1,000,000.00
₱-
Yea r 0 Yea r 1 Yea r 2 Yea r 3 Yea r 4 Yea r 5
Open Air Cinema
Projected Statement of Partners' Equity
YEAR 1 YEAR 2 YEAR 3
₱ 229,864.00 1,859,021.35 ₱ 3,608,002.63
2,129,157.35 2,248,981.27 2,377,653.03
₱ 2,359,021.35 ₱ 4,108,002.63 ₱ 5,985,655.66
500,000.00 500,000.00 500,000.00
₱ 1,859,021.35 ₱ 3,608,002.63 ₱ 5,485,655.66
George
Year 0 ₱ 229,864.00
Year 1 ₱ 1,859,021.35
Year 2 ₱ 3,608,002.63
Year 3 ₱ 5,485,655.66
Year 4 ₱ 7,493,248.84
Year 5 ₱ 9,642,655.25
Yea r 4 Yea r 5
YEAR 4 YEAR 5
₱ 5,485,655.66 ₱ 7,493,248.84
2,507,593.18 2,649,406.41
₱ 7,993,248.84 ₱ 10,142,655.25
500,000.00 500,000.00
₱ 7,493,248.84 ₱ 9,642,655.25
YEAR 4 YEAR 5
₱ 5,485,655.66 ₱ 7,493,248.84
2,507,593.18 2,649,406.41
₱ 7,993,248.84 ₱ 10,142,655.25
500,000.00 500,000.00
₱ 7,493,248.84 ₱ 9,642,655.25
Wes
₱ 229,864.00
₱ 1,859,021.35
₱ 3,608,002.63
₱ 5,485,655.66
₱ 7,493,248.84
₱ 9,642,655.25
Table 16
INVESTMENT COST
Particulars Amount
Cash 35,197.75
Property Plant and Equipment 278,195
Pre-Operating Expense 165,919
Total ₱ 479,312.00
Sched No.
Current Assets:
Cash
Prepaid Tax
Total Current Assets
NonCurrent Assets
Land
Property,Plant and Equipment 18
Accumulated Depreciation 19
Total NonCurrent Assets
Current Liabilies
SSS Payable 20
Philhealth Payable 20
Pag-ibig Payable 20
Income Tax Payable 22
VAT Payable 23
Total Current Liabilities
George, Capital
Wes, Capital
Total Equity
₱ 5,610.00 ₱ 5,610.00
1,383.80 1,383.80
1,000.00 1,000.00
456,248.00 481,924.56
- 891,929.65
₱ - ₱ 464,241.80 ₱ 1,381,848.01
- - -
Assets Liabilities
Year 1 ₱ 4,182,284.51 ₱ 464,241.80
Year 2 ₱ 8,597,853.27 ₱ 1,381,848.01
Year 3 ₱ 12,418,885.45 ₱ 1,447,574.13
Year 4 ₱ 16,508,847.99 ₱ 1,522,350.31
Year 5 ₱ 20,886,710.71 ₱ 1,601,400.22
n
Year 3 Year 4 Year 5
- - -
Equity
₱ 3,718,042.71
₱ 7,216,005.26
₱ 10,971,311.32 ₱ 4,415,568.75
₱ 14,986,497.67 3,821,032.19
₱ 19,285,310.50 4,089,962.53
4,377,862.73
₱25,000,000.00
₱20,000,000.00
₱15,000,000.00
₱10,000,000.00
₱5,000,000.00
₱-
Year 1 Year 2 Yea r 3 Year 4 Year 5
₱ -
₱25,000,000.00
₱20,000,000.00
₱15,000,000.00
₱10,000,000.00
₱5,000,000.00
₱-
Year 1 Year 2 Year 3 Year 4 Year 5
₱-
Year 1 Year 2 Year 3 Year 4 Year 5
4 Year 5
Year 5
Year 5
Open Air Cinema
Ratio Analysis
Current Ratio
Current Assets
Year 1 3,921,274.79
Year 2 8,354,029.07
Year 3 12,192,246.78
Year 4 16,299,394.84
Year 5 20,694,443.09
25,000,000.00
20,000,000.00
15,000,000.00
10,000,000.00
20,000,000.00
15,000,000.00
10,000,000.00
5,000,000.00
-
Year 1 Year 2 Year 3 Year 4 Year 5
Open Air Cinema
Ratio Analysis
Current Ratio
Current Liabilities Ratio
464,241.80 8.45 Year 1
1,381,848.01 6.05 Year 2
1,447,574.13 8.42 Year 3
1,522,350.31 10.71 Year 4
1,601,400.22 12.92 Year 5
Chart Title
9,000,000.00
8,000,000.00
7,000,000.00
6,000,000.00
Axis Title
5,000,000.00
4,000,000.00
9,000,000.00
8,000,000.00
7,000,000.00
6,000,000.00
Axis Title
5,000,000.00
4,000,000.00
3,000,000.00
2,000,000.00
1,000,000.00
-
ar 3 Year 4 Year 5 Year 1 Yea r 2 Yea r 3 Year 4 Year 5
9,000,000.00
8,000,000.00
7,000,000.00
6,000,000.00
5,000,000.00
4,000,000.00
3,000,000.00
2,000,000.00
1,000,000.00
-
Year 1 Year 2
Return on Assets
Net Income Total Assets Ratio
4,258,314.71 4,182,284.51 1.02
4,497,962.55 8,597,853.27 0.52
4,755,306.06 12,418,885.45 0.38
5,015,186.35 16,508,847.99 0.30
5,298,812.82 20,886,710.71 0.25
Return on Investment
Net Income Partners Equity Ratio
4,258,314.71 3,718,042.71 1.15
4,497,962.55 7,216,005.26 0.62
4,755,306.06 10,971,311.32 0.43
5,015,186.35 14,986,497.67 0.33
5,298,812.82 19,285,310.50 0.27
Return on Sales
Operating
Revenue Ratio
Income
6,083,306.73 7,156,545.66 0.85
6,425,660.79 7,510,794.67 0.86
6,793,294.38 7,882,579.01 0.86
7,164,551.93 8,272,766.67 0.87
7,569,732.61 8,682,268.62 0.87
20,000,000.00
18,000,000.00
16,000,000.00
14,000,000.00
12,000,000.00
10,000,000.00
8,000,000.00
18,000,000.00
16,000,000.00
14,000,000.00
12,000,000.00
10,000,000.00
8,000,000.00
6,000,000.00
4,000,000.00
2,000,000.00
-
Year 5 Yea r 1 Year 2 Yea r 3 Year 4 Yea r 5
20,000,000.00
15,000,000.00
10,000,000.00
5,000,000.00
-
Year 1 Year 2 Year 3 Year 4
20,000,000.00
18,000,000.00
16,000,000.00
14,000,000.00
12,000,000.00
10,000,000.00
8,000,000.00
6,000,000.00
4,000,000.00
2,000,000.00
-
Year 1 Yea r 2 Year 3 Yea r 4 Year 5
25,000,000.00
r5
20,000,000.00
15,000,000.00
10,000,000.00
5,000,000.00
-
Year 1 Year 2 Year 3 Year 4
Year 4 Year 5
25,000,000.00
20,000,000.00
15,000,000.00
10,000,000.00
5,000,000.00
-
Yea r 1 Year 2 Year 3 Yea r 4 Year 5
r5
Year 4 Year 5
Open Air Cinema
Schedule No. 24
Payback Period
Annual Cash Flow
Year 0
Year 1 4,554,846.78
Year 2 3,617,649.53
Year 3 3,838,217.71
Year 4 4,107,148.06
Year 5 4,395,048.25
0.11
PAYBACK =
6.96
(15,638,550.09)
0 4,395,048.25
0 -3.5582203411
₱ 4,554,846.78
₱ 3,617,649.53
45.94%
26.96%
Open Air Cinema
Projected Statement of Cash Flows
Year 0 Year 1 Year 2
₱ (19,584.00) ₱ 4,258,314.71 ₱ 4,497,962.55
17,185.53 17,185.53
₱ (19,584.00) ₱ 4,275,500.23 ₱ 4,515,148.07
5,610.00 -
1,383.80 0.00
1,000.00 -
456,248.00 25,676.55
815,104.74 76,824.91
₱ (19,584.00) ₱ 5,554,846.78 ₱ 4,617,649.53
₱ (278,195.25)
₱ (278,195.25) ₱ - ₱ -
₱ 479,312.00
₱ (1,000,000.00) ₱ (1,000,000.00)
₱ 479,312.00 ₱ (1,000,000.00) ₱ (1,000,000.00)
- 55.00 -
- 27.68 -
(6,000.00) - -
27,572.52 27,844.32 30,388.55
44,153.61 46,849.19 48,661.35
₱ 4,838,217.71 ₱ 5,107,148.06 ₱ 5,395,048.25
₱ - ₱ - ₱ -
₱20,000,000.00
₱15,000,000.00
₱10,000,000.00
₱5,000,000.00
₱ 12,041.29
SSS contribution
Table
Rate
of
Contri
butio
ns to
SSS
The monthly contributions are based on the compensation of members ( Please see table on
Self-employed and voluntary members pay the 11% of the monthly salary credit (MSC) based on
For OFWs, the minimum monthly salary credit is pegged at P5,000.
For the non-working spouse, the contribution will be based on 50% of the working spouse?s last
working spouse?s last posted monthly salary credit but in no case shall it be lower than P1,000.
Year 4-5
For Day and Swing Shift
SSS
Position No. of EE Monthly Salary
ER
Manager 1 ₱ 13,260.00 ₱ 994.50
Cashier 2 ₱ 9,516.60 ₱ 1,399.60
Security Guard 2 ₱ 9,516.60 ₱ 1,399.60
Staff 2 ₱ 9,516.60 ₱ 1,399.60
Total ₱ 32,293.20 ₱ 3,793.70
Total Payable ₱5,665.00
Open Air Cinema
Schedule No. 20
d SSS, HDMF, and PhilHealth Payable
SSS Remittance:
Remittance for the year
PhilHealth Remittance
Remittance for the year
PAG-IBIG Remittance
Remittance for the year
5,665.00
62,315.00 5,665.00
67,980.00
Year 5 Year 6
1,411.48
15,526.24 1,411.48
16,937.71
Year 5 Year 6
1,000.00
11,000.00 1,000.00
12,000.00
Year 5
45,524.40
22,455.60
67,980.00
5,665.00
(67,980.00)
5,665.00
Year 5
8,468.86
8,468.86
16,937.71
1,411.48
(16,937.71)
1,411.48
Year 5
6,000.00
6,000.00
12,000.00
(5,000.00)
(12,000.00)
(5,000.00)
*For tax purposes all employees are assume to be single and no qualified dep
Year 1-3
8-hour Night Shift (5:00 pm-1:00 am)
Position No. of EE Monthly Salary
Manager 1 ₱ 13,000.00
Cashier 2 ₱ 9,330.00
Security Guard 2 ₱ 9,330.00
Maintenance 2 ₱ 9,330.00
Total ₱ 40,990.00
Year 4-5
8-hour Night Shift (5:00 pm-1:00 am)
Position No. of EE Monthly Salary
Manager 1 ₱ 13,260.00
Cashier 2 ₱ 9,516.60
Security Guard 2 ₱ 9,516.60
Staff 2 ₱ 9,516.60
Total ₱ 32,293.20
SSS
Annual Salary 13th Month Pay Total Annual Salary
ER
₱ 156,000.00 ₱ 13,000.00 ₱ 169,000.00 ₱ 11,492.40
₱ 111,960.00 ₱ 18,660.00 ₱ 242,580.00 ₱ 16,795.20
₱ 111,960.00 ₱ 18,660.00 ₱ 242,580.00 ₱ 16,795.20
₱ 111,960.00 ₱ 18,660.00 ₱ 242,580.00 ₱ 16,795.20
₱ 491,880.00 ₱ 68,980.00 ₱ 411,580.00 ₱ 45,082.80
₱67,320.00
SSS
Annual Salary 13th Month Pay Total Annual Salary
ER
₱ 159,120.00 ₱ 13,260.00 ₱ 172,380.00 ₱ 11,934.00
₱ 114,199.20 ₱ 19,033.20 ₱ 247,431.60 ₱ 16,795.20
₱ 114,199.20 ₱ 19,033.20 ₱ 247,431.60 ₱ 16,795.20
₱ 114,199.20 ₱ 19,033.20 ₱ 247,431.60 ₱ 16,795.20
₱ 387,518.40 ₱ 51,326.40 ₱ 667,243.20 ₱ 45,524.40
₱67,980.00
2% per year
SSS PHILHEALTH PAGIBIG
EE ER EE ER
₱ 5,667.60 ₱ 2,145.00 ₱ 2,145.00 ₱ 1,200.00
₱ 8,284.80 ₱ 3,078.90 ₱ 3,078.90 ₱ 2,400.00
₱ 8,284.80 ₱ 3,078.90 ₱ 3,078.90 ₱ 2,400.00
₱ 8,284.80 ₱ 3,078.90 ₱ 3,078.90 ₱ 2,400.00
₱ 22,237.20 ₱ 8,302.80 ₱ 8,302.80 ₱ 6,000.00
₱67,320.00 ₱16,605.60 ₱12,000.00
₱15,526.24
PAGIBIG
13th Month Pay Total Deduction Net Pay
EE
₱ 1,200.00 ₱ 13,000.00 ₱ 22,012.60 ₱ 146,987.40
₱ 2,400.00 ₱ 18,660.00 ₱ 32,423.70 ₱ 210,156.30
₱ 2,400.00 ₱ 18,660.00 ₱ 32,423.70 ₱ 210,156.30
₱ 2,400.00 ₱ 18,660.00 ₱ 32,423.70 ₱ 210,156.30
₱ 6,000.00 ₱ 50,320.00 ₱ 86,860.00 ₱ 324,720.00
₱12,000.00
PAGIBIG
13th Month Pay Total Deduction Net Pay
EE
₱ 1,200.00 ₱ 13,260.00 ₱ 22,533.90 ₱ 149,846.10
₱ 2,400.00 ₱ 19,033.20 ₱ 32,858.48 ₱ 214,573.12
₱ 2,400.00 ₱ 19,033.20 ₱ 32,858.48 ₱ 214,573.12
₱ 2,400.00 ₱ 19,033.20 ₱ 32,858.48 ₱ 214,573.12
₱ 6,000.00 ₱ 51,326.40 ₱ 88,250.86 ₱ 578,992.34
₱12,000.00
Compensation
Personal Exemption WITHHOLDING TAX
subject to WT
₱ 50,000.00 ₱ 96,987.40 ₱ 11,746.85 this is based on progressive income
₱ 100,000.00 ₱ 110,156.30 Exempted minimum wage earner
₱ 100,000.00 ₱ 110,156.30 Exempted minimum wage earner
₱ 100,000.00
₱ 150,000.00 ₱ 174,720.00 ₱ 11,746.85
Compensation
Personal Exemption WITHHOLDING TAX
Subject to WT
₱ 50,000.00 ₱ 99,846.10 ₱ 12,461.53 this is based on progressive income
₱ 100,000.00 ₱ 114,573.12 Exempted minimum wage earner
₱ 100,000.00 ₱ 114,573.12 Exempted minimum wage earner
₱ 100,000.00 ₱ 114,573.12
₱ 250,000.00 ₱ 328,992.34 ₱ 12,461.53
based on progressive income tax table
mum wage earner
mum wage earner
Total
Year 4-5
8-hour Night Shift (5:00 pm-1:00 am)
Position
Manager
Cashier
Security Guard
Maintenance
Total
₱ 40,990.00
₱ 41,809.80
In year 4 and In year 4 and 5, ass In year 4 and 5, assume the salaries will increased by
Annual Salary Total Annual Salary Total 13th-month Pay
₱ 156,000.00 ₱ 156,000.00 ₱ 13,000.00
₱ 111,960.00 ₱ 223,920.00 ₱ 18,660.00
₱ 111,960.00 ₱ 223,920.00 ₱ 18,660.00
111,960.00 223,920.00 18,660.00
₱ 896,740.00
Salaries Expense
₱ 914,674.80
Projecte
Year 1-3
8-hour Day Shift and Swing Shift (6:00 am-2:00 pm) and (2:00 pm
Position No. of EE
Manager 1
Cashier 2
Security Guard 2
Maintenance 2
Total
Year 4-5
8-hour Day Shift (6:00 am-2:00 pm) and Swing Shift (2:00 pm-1
Position No. of EE
Manager 1
Cashier 2
Security Guard 2
Maintenance 2
Total
Open Air Cinema
Schedule No. 5
Projected SSS, HDMF and PhilHealth Expense
5.63%
257,343.51
5.47%
283,626.47
Open Air Cinema
Projected Statement of Financial Performance
Year 0 Year 1 Year 2
7,156,546 7,510,794.67
12,041.29 12,041.29
7,144,504.37 7,498,753.38
15,000.00 15,000.00
7,159,504.37 7,513,753.38
896,740.00 896,740.00
45,082.80 45,082.80
8,302.80 8,302.80
6,000.00 6,000.00
10,765.00 11,055.66
9,200.00 9,200.00 1,745.90
5,144.23 5,144.23
1,864.51 1,914.85
49,993.38 51,343.20
11,988.00 11,988.00
10,000.00 19,715.00 19,715.00
7,500.00 7,725.00
2,000.00 -
384.00 21,485.91 21,335.15
(19,584.00)
19,584.00 1,076,197.64 1,088,092.60
6,083,306.73 6,425,660.79
1,824,992.02 1,927,698.24
₱ (19,584.00) ₱ 4,258,314.71 ₱ 4,497,962.55
Gross Profit
Year 0 0
Year 1 ₱ 7,144,504.37
Year 2 ₱ 7,498,753.38
Year 3 ₱ 7,870,537.72
Year 4 ₱ 8,260,725.38
Year 5 ₱ 8,670,227.33
nce
Year 3 Year 4 Year 5
7,882,579.01 8,272,766.67 8,682,268.62
12,041.29 12,041.29 12,041.29
7,870,537.72 8,260,725.38 8,670,227.33
15,000.00 15,000.00 15,000.00
7,885,537.72 8,275,725.38 8,685,227.33
9000000
8000000
Net Operating Expense Net Income after Tax
₱ 19,584.00 ₱ (19,584.00) 7000000
₱ 1,076,197.64 ₱ 4,258,314.71 6000000
₱ 1,088,092.60 ₱ 4,497,962.55
₱ 1,092,243.34 ₱ 4,755,306.06 5000000
₱ 1,111,173.45 ₱ 5,015,186.35 4000000
₱ 1,115,494.72 ₱ 5,298,812.82
3000000
2000000
1000000
0
Year 0 Year 1 Year 2
-1000000
0
Year 0 Year 1 Year 2
-1000000
₱ 23,825,582.50
00
00
00
00
00
00
00
00
00
0
Year 0 Year 1 Year 2 Year 3 Year 4 Year 5
00
0
Year 0 Year 1 Year 2 Year 3 Year 4 Year 5
00
Open Air Cinema
Schedule No. 8
Projected Depreciation Expense
Particulars Total Cost
Machinery and Equipmen₱ 131,355.25
Furniture and Fixtures 35,841.00
Total ₱ 167,196.25
Year 1
Total Depreciation ₱ 17,185.53
Air Cinema
dule No. 8
reciation Expense
Total Annual Depreciation
12,041.29
5,144.23
17,185.53
Open
Sche
Projected U
Utilities Expense
The utilities expense will increase by 2.7 % per year due to infl
1 kw
Equipment and
Machineries
Printer
CCTV
Computer Set
Electronic Cash Register
Air condition
Flourescent Lights
Total Electricity Consumption
Water Consumption
Total Utiities expense
Utilities expense will increase by 3.96% due to
Electricity Consumption
Water Consumption
Utilities Expense
Utilities expense will increase by 3.96% due to inflation.
Open Air Cinema
Schedule No. 10
Projected Utilities Expense
Watt per hour Operating Hour Daily Usage Kilowatts Total Kilowatts
30 24 720 0.72 0.72
300 16 4800 4.8 4.8
130 24 3120 3.12 9.36
70 16 1120 1.12 2.24
6 12 72 0.072 0.072
Schedule N
Open Air Ci
SCHEDULE OF UTILI
Operating Daily
Qty. Watt per Hr. Kilowatts
Hr. Usage
1 100 5 500 0.50
3 50 24 1,200 1.20
1 100 10 1,000 1.00
1 50 10 500 0.50
1 300 9 2700 2.7
3 100 10 1000 1
nsumption
n
se
increase by 3.96% due to inflation.
Schedule No. 10
Open Air Cinema
HEDULE OF UTILITIES EXPENSE
Total
Monthly
Kilow Rate Daily Usage
Usage
atts
0.50 8.60 4.30 129.00
3.60 8.60 30.96 928.80
1.00 8.60 8.60 258.00
0.50 8.60 4.30 129.00
2.7 8.60 23.22 696.60
3 8.60 25.80 774.00
10
cubics 19.50/cubic 6.50 195.00
ma
0
xpense
Monthly Usage Yearly Usage
₱ 160.99 ₱ 1,931.90
₱ 1,073.28 ₱ 12,879.36
₱ 2,414.88 ₱ 28,978.56
₱ 500.86 ₱ 6,010.37
₱ 16.10 ₱ 193.19
₱ 49,993.38
0
₱ 49,993.38
Yearly
Year 1
Usage
1,548.00 100% 1,548.00
11,145.60 100% 11,145.60
3,096.00 100% 3,096.00
1,548.00 100% 1,548.00
8,359.20 100% 8,359.20
9,288.00 100% 9,288.00
34,984.80
100% 2,340.00
2,340.00
37,324.80
Year 1
Output VAT ₱ 858,785.48
Less: Creditable Input VAT
OPEX ₱ 10,297.31
Supplies Expense ₱ 1,291.80
Advertising Expense ₱ 1,104.00
Repair & Maintenance ₱ 223.74
Utilities Expense ₱ 5,999.21
Communication Expense ₱ 1,438.56
Capital Asset ₱ 33,383.43
VAT Payable ₱ 815,104.74
Total PPE
Machinery and Equipment
Furniture and Fixtures
Total
* Capital assets that are more than 1 millio
Open Air Cinema
Schedule No. 23
Projected VAT Payable
Year 2 Year 3
₱ 901,295.36 ₱ 945,909.48
₱ 9,365.71 ₱ 9,826.23
₱ 1,326.68 ₱ 1,362.50
₱ 209.51 ₱ 215.16
₱ 229.78 ₱ 235.99
₱ 6,161.18 ₱ 6,327.54
₱ 1,438.56 ₱ 1,438.56
- -
₱ 891,929.65 ₱ 936,083.25
₱ 9,799.56 ₱ 10,278.44
₱ 1,399.29 ₱ 1,437.07
₱ 220.97 ₱ 226.94
₱ 242.36 ₱ 248.90
₱ 6,498.38 ₱ 6,673.84
₱ 1,438.56 ₱ 1,438.56
- -
₱ 982,932.44 ₱ 1,031,593.79
ital Assets
Creditable Input VAT for the Creditable Input VAT
first year per year
29,082.51
4,300.92
₱ 33,383.43 ₱ -
by 5 years or its estimated useful life whichever is lower
Machinery and Equipment
Particulars Quantity Unit Cost
CCTV 3 7,699.75
Inflatable Screen 8 14,000.00
Projector 2 12,999.00
Speaker 2 7,399.00
Printer 1 2,990
Telephone 1 1,700
Computer Set 2 18,995
Air Conditioner 1 8,799
Electric Cash Register 1 14,980
Total Cost
Total Cost
3,650.00
2,750.00
3,998.00
1,695.00
18,000.00
3,198.00
2,550.00
35,841.00
23,099.25
₱ 14,000.00
₱ 25,998.00
₱ 14,798.00
2,990.00
1,700.00
37,990.00
8,799.00
14,980.00
66,459.00
2,750.00
3,998.00
1,695.00
3,198.00
2,550.00
14,191.00
Cost
₱ 242,354.25
₱ 35,841.00
₱ 278,195.25
Table 12
Machinery and Eq
Particulars Quantity Supplier
CCTV 3 KCC Mall Gensan
Inflatable Screen 1 National Bookstore
Projector 1 National Bookstore
Speaker 2 National Bookstore
Printer 1 PC Workx, KCC Mall Gensan
Telephone 1 Gaisano Mall of Gensan
Computer Set 2 PC Workx, KCC Mall Gensan
Air Conditioner 1 SM appliances, Gensan
Electric Cash Register 1 Gaisano Mall of Gensan
Total Cost
Table 12
Machinery and Equipment
Unit Cost Total Cost Estimated Useful Life Yearly Depreciation
7,699.75 23,099.25 10 2,309.93
14,000.00 14,000.00 15 933.33
12,999.00 12,999.00 15 866.60
7,399.00 14,798.00 15 986.53
2,990 2,990.00 5 598.00
1,700 1,700.00 10 170.00
18,995 37,990.00 10 3,799.00
8,799 8,799.00 10 879.90
14,980 14,980.00 10 1,498.00
131,355.25 12,041.29
Table 13
Furniture and Fixtures
Particulars Quantity Supplier Unit Cost Total Cost
L-table 1 Gaisano Mall Gensan 3,650.00 3,650.00
Office Table 1 Mandaque Foam Gensnan 2,750.00 2,750.00
Office Chair 2 Mandaque Foam Gensnan 1,999.00 3,998.00
Computer Table 1 PC Workx, KCC Gensan 1,695.00 1,695.00
Bench 4 KCC Mall Gensan 4,500.00 18,000.00
Visitor Chair 2 Gaisano Mall Gensan 1,599.00 3,198.00
Cabinet 1 Gaisano Mall Gensan 2,550.00 2,550.00
Total Cost 35,841.00
s
Estimated Useful Life Yearly Depreciation
10 365.00
10 275.00
15 266.53
10 169.50
5 3,600.00
15 213.20
10 255.00
5,144.23
Particulars Total Cost Life
Machinery and equipment
CCTV 23,099 10
Inflatable Screen 14,000 15
Projector 12,999 15
Speaker 14,798 15
Printer 2,990.00 5
Telephone 1,700.00 10
Computer Set 37,990.00 10
Air Conditioner 8,799.00 10
Electric Cash Register 14,980.00 10
Furniture & Fixtures
L-table 3,650.00 10
Office Table 2,750.00 10
Office Chair 3,998.00 15
Computer Table 1,695.00 10
Bench 18,000.00 5
Visitor Chair 3,198.00 15
Cabinet 2,550.00 10
Total
Open Air Cinema
Schedule no. 19
Projected Accumulated Depreciation
Year 1 Year 2
Total Annual Depreciation Dep'n Accum Dep'n Dep'n
2,309.93 11,549.63
933.33 4,666.67
866.60 4,333.00
598.00 2,990.00
170.00 850.00
3,799.00 18,995.00
879.90 4,399.50
1,498.00 7,490.00
365.00 1,825.00
275.00 1,375.00
266.53 1,332.67
169.50 847.50
3,600.00 18,000.00
213.20 1,066.00
255.00 1,275.00
17,185.53 80,994.96
Table 17
Employee Shifting Schedule
Sunday Monday Tuesday
SHIFT 05:00 PM-1:00 AM
Manager 5:00 PM- 1:00 AM Closed 5:00 PM-1:00 AM
Cashier 1 and 2 5:00 PM- 1:00 AM Closed 5:00 PM-1:00 AM
Maitenance 1 and 2 5:00 PM- 1:00 AM Closed 5:00 PM-1:00 AM
Guard 1 and 2 5:00 AM- 1:00 AM Closed 5:00 PM-1:00 AM
Table 17
ployee Shifting Schedule
Wednesday Thursday Friday Saturday
**** Allowance for advertising expense will increase by 2.7% each year due to inflation.
Open Air Cinema
Schedule No. 7
Projected Advertising Expense
Year 0 Year 1 Year 2 Year 3 Year 4
₱ 1,200.00 ₱ 1,200.00 ₱ 1,232.40 ₱ 1,265.67 ₱ 1,299.85
₱ 7,500.00 ₱ 7,500.00
₱ 500.00 ₱ 500.00 ₱ 513.50 ₱ 527.36 ₱ 541.60
₱ 9,200.00 ₱ 9,200.00 ₱ 1,745.90 ₱ 1,793.04 ₱ 1,841.45
Year 5
₱ 1,334.94
₱ 556.23
₱ 1,891.17
Projecte
Sanitation and Maintenance
Quantity
Expense
Dustpan 2
Dust Mop 1
Floor Sweeps 1
Glass Squeeze 1
Window Washer 1
Waste Bin 7
Garbage Container 3
Detergent Soap 15
Hand Soap 15
Bathroom Tissue 20
Rugs 4
Total
**** Allowance for sanitation and maintance will increase by 2.7% each year due to i
Open Air Cinema
Schedule No. 6
Projected Cleaning Materials and Supplies Expense
Unit Cost Total Year 1 Year 2
100.00 200.00 200.00 205.40
220.00 220.00 220.00 225.94
75.00 75.00 75.00 77.03
215.00 215.00 215.00 220.81
130.00 130.00 130.00 133.51
110.00 770.00 770.00 790.79
900.00 2,700.00 2,700.00 2,772.90
25.00 375.00 375.00 385.13
55.00 825.00 825.00 847.28
6.50 130.00 130.00 133.51
35.00 140.00 140.00 143.78
₱ 5,780.00 ₱ 5,780.00 ₱ 5,936.06
₱ 15,000.00
Schedule No.
PROJECT:
OWNER:
LOCATION: GENERAL SANTOS CITY
SUBJECT: COST ESTIMATE AND BILL OF MATERIALS
NO. DESCRIPTION AMOUNT
II EARTHWORKS/SITEWORKS -
V STEEL/WELDING WORKS -
IX FINISHES 9,300.00
X SPECIALTY WORKS -
Assumption: Repairs and maintenance will be 5% of the cost of the fixed assets during the first year and will be inc
Open Air Cinema
Repairs and Maintenance
Year 2 Year 3 Year 4 Year 5
1,186.15 1,218.17 1,251.06 1,284.84
141.21 145.03 148.94 152.96
205.30 210.84 216.53 222.38
87.04 89.39 91.80 94.28
164.22 168.65 173.20 177.88
130.94 134.48 138.11 141.84
₱ 1,914.85 ₱ 1,966.56 ₱ 2,019.65 ₱ 2,074.18
ssets during the first year and will be increased by 2.7% in the next years.
Open Air Cinema
Schedule No. 15
Projected Other Expenses
Particulars Quantity Unit Cost Total Cost
Fire Extinguisher 1 ₱ 2,000.00 ₱ 2,000.00
TOTAL ₱ 2,000.00
Expenses for permits and Licenses will be assumed constant over the next 5 years for simplicity.
Building permit fee will only be expensed in the first year.
Open Air Cinema
Schedule No. 12
Projected Permits and Licenses
Year 1 Year 2 Year 3 Year 4
₱ 75.00 ₱ 75.00 ₱ 75.00 ₱ 75.00
60.00 60.00 60.00 60.00
460.00 460.00 460.00 460.00
500.00 500.00 500.00 500.00
60.00
5,000.00
500.00
10,500.00
1,500.00
30.00
30.00
500.00
500.00
₱ 19,715.00
Open Air Cinema
Schedule No.
Projected Pre-Operating Expenses
Advertising Expense Quantity
Tarpaulin 10
Social Media 1
Local Print Media 1
Leaflets 2000
Trainings and Seminars
Permits and Licenses
Business Location Clearance
Sanitary Health Clearance
Fire Safety Clearance
CENRO
SEC Registration
Brgy. Clearance
Water Permit
Garbage Collection Fee
Community Tax
Permit Fee
Certificate of Tax Payment
Confirmation/Certificate/Verification/Clearance Fee
Building Permit fee
Recording Fee
DTI Permit
Miscellaneous Expense
Total
Cinema
le No.
rating Expenses
Unit Cost Total Cost Total
₱ 120.00 ₱ 1,200.00
- -
₱ 7,500.00 ₱ 7,500.00
₱ 0.25 ₱ 500.00 ₱9,200.00
₱ 10,000.00
₱ 75.00
₱ 60.00
₱ 460.00
₱ 500.00
₱ 123,320.00
₱ 60.00
₱ 5,000.00
₱ 500.00
₱ -
₱ 1,500.00
₱ 30.00
₱ 30.00
₱ 13,800.00
₱ 500.00
₱ 500.00 ₱ 146,335.00
₱ 384.00
₱ 165,919.00
(CR CHB)
Open Space Cinema
Schedule no. 17
LAND
Particular Area (sq. meter) Purchase Price (per sq. meter Total
Land 5,000 2,000 ₱ 10,000,000.00
l