- Additional funds needed for next year are projected to be $50,000. The Current Ratio is 1.00; the Debt Ratio is at 75%, dividend payout ratio is 15%. Explain how you would analyze additional funding needed.
Additional funds needed for next year are projected to be $50,000. The Current Ratio is 1.00; the Debt Ratio is at 75%, dividend payout ratio is 15%….
