Question: Construction Management Cash Flow Analysis Hammark #: For the target schedule shown below. 14 24 D 10 14 18 22 24 A 1 12 1


Construction Management Cash Flow Analysis Hammark #: For the target schedule shown below. 14 24 D 10 14 18 22 24 A 1 12 1 10 20 F 10 Target Schedule And the following budget et pay price Tarvi Fayl Act Schede C Pay PriPrice NAD 50 (3) ATTOR DO 2 14 12.000 12 2000 CHO 14 20 . DR4000 14.000 TOUKORD 24 25 30000 Pre Indirect Costoy Pay period 10 working days. Puyment(interim and final is dat and working , due to days after paytda Retention 10% of contract price Lumum (L.) pay item is paid when the activity is plete Retention is withheld until the end of the maintenance pened. Based on the above Target whestale, Bag Cost, and Pay Priest All this allalance lid wily you wer Fadil markup amount and percentage wedin pricing the pro Find the amount of the first second and final payment for the Target schedule D) Draw the cash out oost) and cash-in (payment for the Target schedule PE Construction Management Cash Flow Analysis Homework Answers to Q1: Based on the Target schedule, Budget Cust, and Puy Pries A) Is a balanced B) Markup amunt Markup percentage c Amats of Fast and Second Payments Pwy Art Cute Perind Oty Umut Price Pas Complete Price A B Period Retention Payment Payment C D F G A 1 D E F G First Payment Second Payment Final Payment Cash Flow Analysis Ilomework Construction Manage Pret Cost Data (put cost in 1,000 for example loput 4 for a cost of 4,000) DOWN A AM D 1 Direct | Flidara Cahilaw (Cather hani May HD || Construction Management Cash Flow Analysis Hammark #: For the target schedule shown below. 14 24 D 10 14 18 22 24 A 1 12 1 10 20 F 10 Target Schedule And the following budget et pay price Tarvi Fayl Act Schede C Pay PriPrice NAD 50 (3) ATTOR DO 2 14 12.000 12 2000 CHO 14 20 . DR4000 14.000 TOUKORD 24 25 30000 Pre Indirect Costoy Pay period 10 working days. Puyment(interim and final is dat and working , due to days after paytda Retention 10% of contract price Lumum (L.) pay item is paid when the activity is plete Retention is withheld until the end of the maintenance pened. Based on the above Target whestale, Bag Cost, and Pay Priest All this allalance lid wily you wer Fadil markup amount and percentage wedin pricing the pro Find the amount of the first second and final payment for the Target schedule D) Draw the cash out oost) and cash-in (payment for the Target schedule PE Construction Management Cash Flow Analysis Homework Answers to Q1: Based on the Target schedule, Budget Cust, and Puy Pries A) Is a balanced B) Markup amunt Markup percentage c Amats of Fast and Second Payments Pwy Art Cute Perind Oty Umut Price Pas Complete Price A B Period Retention Payment Payment C D F G A 1 D E F G First Payment Second Payment Final Payment Cash Flow Analysis Ilomework Construction Manage Pret Cost Data (put cost in 1,000 for example loput 4 for a cost of 4,000) DOWN A AM D 1 Direct | Flidara Cahilaw (Cather hani May HD ||
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