You are on page 1of 8

SYNOPSIS ON A STUDY ON RATIO ANALYSIS WITH REFERENCE TO GOLDEN TULIP AL JAZIRA HOTEL AND RESORT

By ........................................... Roll No:..............................


Name of the Project Guide: ........................... (Should be an MBA)

Synopsis submitted in fulfillment of the requirements of the University of Sikkim Manipal for the degree of MBA in Finance

Submitted to . Wisdom Educational Institute

Abu Dhabi

PART :INTRODUCTION >WRITE ABOUT AN INTRODUCTION ABOUT YOUR TOPIC >WHAT IS THE PROJECT AND ITS FEATURES IN GENERAL >HOW THE PROJECT IS DONE >WHICH COMPANY YOU BELONGS TO ETC PART 2: COMPANY PROFILE >Introduction of your company > Company history >Company Activities >Company products and services >Company organizational structure >Company departmets and staff strength >Company competitors >Company performance >Company strategy

PART 3: INDUSTRY ANALYSIS


Kindly include the following in the industry analysis > Gloabl perspective of the industry >How the industry is performing now globally >How the industry is performing Regionally in GCC countries >How the industry is performing in UAE >How the industry is performing in Abu Dhabi where your project is conducted >What is the competitive framework of the industry > Who are the major competitors and what are their strategy The above things should be there in industry analysis

PART 4: STATEMENT OF THE PROBLEM The need for assessing financial health of the company relating to the companys profitability, asset utilization, liquidity and financing are more important. The company should have the financial capability to provide its commercial strategy. Here the topic evaluation of financial performance of Golden Tulip al Jazira Hotel and Resort was undertaken to determine the companys financial strength and weakness and accordingly take action to improve the firms position. PART 5: OBJECTIVE OF THE STUDY

The major objectives of the resent study are to know about financial strengths and weakness of through FINANCIAL RATIO ANALYSIS. The main objectives of resent study aimed as: To evaluate the performance of the company by using ratios as a yardstick to measure the efficiency of the company. To understand the liquidity, profitability and efficiency positions of the company during the study period. To evaluate

and analyze various facts of the financial performance of the company. To make comparisons between the ratios during different periods.

OBJECTIVES: To study the present financial system at Golden Tulip al Jazira Hotel. To determine the Profitability, Liquidity Ratios. To analyze the capital structure of the company with the help of Leverage ratio. To offer appropriate suggestions for the better performance of the organization To gain the overall idea about the organization. To have an effective exposure of the actual working situation. To study the rules to find out the financial performance of the organization. To find out the importance of finance in business. To find out the future requirements of finance in business. To study the investment decisions of the organization and practices implemented at GTJH.

PART 6: SCOPE OF THE STUDY

The scope of the study is restricted to this project with the help of ratio analysis. By analyzing systematically this could understand the financial performance of the company and its strength and weaknesses.

The study has great significance and provides benefits to various parties whom directly or indirectly interact with the company.

It is beneficial to management of the company by providing crystal clear picture regarding important aspects like liquidity, leverage, activity and profitability.

The study is also beneficial to employees and offers motivation by showing how actively they are contributing for companys growth.

The investors who are interested in investing in the companys shares will also get benefited by going through the study and can easily take a decision whether to invest or not to invest in the companys shares.

PART 7: METHODOLOGY The information was collected from various sources which are listed below: From the official documents. From records and manuals of different departments of the organization. From a close observation of the functioning of various departments of the organization. Last but not the least, knowledge, both negative and positive precipitated through informal discussions with the employees of different departments

RESEARCH METHODOLOGY Plan of Study: A proper and systematic approach is essential in any project work. Proper planning should be done for conducting the data collection, completion and presentation of the project. Each and every step must be so planned that it leads to the next step automatically. This systematic approach is a blend of planning and organization and major emphasis is given to interdependence of various steps. The plan of this study is as follows: Research Purpose

The purpose of the research was to know the criteria on which investment of the company is raised every year and a favorable rate of return is arrived at, increasing the net result of the company as per their budget. The research is basically a desk research and for the purpose of the project the research designs adopts the following method. Understanding the theoretical background of the concerned problem through standard tax book. Collection of companys annual reports, specific literature during the study period. Identifying and collection the relevant financial data required for dealing with the problem. For this study Profit and Loss accounts, Balance sheet and various financial ratios likely to reflect the financial condition and performance of the company. Calculations of the ratios over the study period Analyses and interpretation of the calculated ratios. Finally arriving at certain recommendations and calculation

Classification of Data The data used for this study is Primary data and Secondary data. Primary data: This includes the information collected mainly from the office. This has served as primary source of data for this study. Secondary data: This includes the information gathered from various websites. Sample size: The sample size selected is of four years. Sampling Technique: The sampling procedure employed for this project is judgmental sampling, a convenience sampling technique in which elements are based on the judgment of researcher.

Statistical Analysis: Information collected was classified and tabulated for further analysis. Calculations were done for the interpretation of the data e.g. Discount factor, Averages, etc. The report is covered with various data and tables on which the project has been carried out.

Analysis and Interpretation of data


> Explain how you will analyze the data >What tools and technhiques you are going to use in that >How the data will be presented >How the reliability of the data can be confirmed

PART 8: SUMMARY After the analysis of Financial Statements, the company status is better, because the Net working capital of the company is doubled from the last years position. The company profits are huge in the current year; it is better to declare the dividend to shareholders. The company is utilising the fixed assets, which majorly help to the growth of the organisation. The company should maintain that perfectly. The company fixed deposits are raised from the inception, it gives the other income i.e., Interest on fixed deposits.

CONCLUSION The companys overall position is at a good position. Particularly the current years position is well due to raise in the profit level from the last year position. It

is better for the organization to diversify the funds to different sectors in the present market scenario.

You might also like