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We always start the project with a full financial analysis
and an assessment of this project to determine what will be the best capital structure
required for an acquisition, renovation, addition, or development of this project.
We can start by preparing an equity financing proposal, which will include a feasibility
study that assesses the profitablity of the project and the economic strength
of the area. Then we will prepare a market analysis and a comprehensive business
plan outlining all the financial projections.
In case of acquisition we will prepare a financial analysis showing the actual
year-end income/expenses statements for the past five years.
We will prepare and propose, on a monthly basis, full computerized financial and
cash flow forecasts, capital expenditure analysis and various statistical and
management reports.
We at Royal Regency International Hotels, inc © always insist on strict financial controls
to protect our owners and our own assets and hotels, as we share a common vision.
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