I need this work as soon as possible
The instruction are on the attachment. I will only do the 4th section which is ;
1. Organize your company’s and its closest competitor’s financial information in an Excel Workbook
Create Vertical and Horizontal Analysis excel spreadsheets – Using your company’s Income Statement reported in their Form 10-k, prepare a Vertical Analysis and a Horizontal Analysis of three years of your company’s income statement data. Embed your excel charts within your word document.
Create a comparative Ratio Analysis chart – Include the following information in a management report that is easy to read and comprehend.
Company ratios – Show a 3 year trend of your company’s key ratios (obtain ratios from Calcbench – do not calculate them), separated into the categories of profitability, liquidity, and solvency. You must choose at least 3 ratios that tell us something different about profitability, at least 3 ratios that tell us something different about liquidity, and at least 2 ratios that tell us something different about solvency. (For example, inventory turnover is a liquidity ratio but days sales in inventory, also a liquidity ratio, tells us the same thing in different ways….therefore, these are not considered 2 different liquidity ratios).
· Competitor ratios – Do the same for your company’s closest competitor (obtain ratios from Calcbench – do not calculate them).
· Industry ratios – Show the industry average for each ratio you reported for your company and competitor
https://www.sec.gov/Archives/edgar/data/1037038/000103703817000004/rl-20170401x10k.htm