Unit assessment pack (uap)



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SITXFIN004 Unit Assessment Pack (2)
Deviation

Cause

Action






























Part E
For this part, use MS Excel features as accounting software.
At the end of November, all the tickets were sold out. The enthusiasts were checking with the event committee if there are any more tickets, but due to limited seats, the booking system was closed.
On the 1st Saturday of December, the charity program was conducted with huge success.
At the end of the program, the financial status is as below:

Expense

Amount
$

Comments

September







Consultant fees

2,000.00

1st Instalment

Stage and Lighting hire

2,500.00

Booked

Hire Audio-visual equipment

1,500.00

Booked

Room decorations

500.00

Booked

Advertising

500.00




Printing

95.00




Venue hire

1,000.00

Booked

Labour

2,000.00

Booked

October







Advertising

1,000.00




Printing

450.00




Entertainment

1,500.00

Booked

November







Advertising

700.00




Postage/stationery

401.50




Communication

500.00




Room decorations

2,000.00

Paid on full before the event.

December







Food cost

5,200.00

One of the food raw material was damaged during transportation causing additional cost to cover it.

Beverage cost

439.45

Paid on delivery

Labour costs

6,824.00




Venue

1,000.00

Paid on the day of event

Stationery items / Postages

200.00




Communication

150.00




Event staff uniform

650.00




Hire audio-visual equipment

1,000.00

Paid on the day of event

Floral arrangements

4,000.00




Stage and lighting hire

2,000.00




Master of ceremonies

900.00

Paid on the day of event

Linen hire

627.50













Revenue: ticket sales







October

34,000.00

170 tickets sold

November

36,000.00

180 tickets sold (Sold out)



  1. Analyse the change in the internal and external environment and with necessary adjustments, prepare the cash flow statement.

Cash flow report as at 15 December




September
$

October
$

November
$

December
$

Opening bank balance













Cash in: Sales




























Cash out: Expenses





























































































































































































































































Total cash outflow













Closing bank balance













Outstanding expenses













Outstanding income













Anticipated final bank balance












  1. Prepare a profit and loss report. Identify the deviation and the budget performance for future reference during budget preparation.

Profit and loss report

Budget

Actual

Variance


$

$

$

%

Sales




























Cost of goods sold











































Total cost of goods













Gross profit













Expenses














































































































































































































































Total expenses













Profit/loss
















Assessor Checklist for Unit Project (UP) – Negotiate, Prepare, Monitor and Review Budget
Your draft must address the following performance criteria/ performance checklist.

To be assessed as satisfactory (S) in this assessment task the participant needs to demonstrate competency in the following critical aspects of evidence

S

N/S

Trainer/Assessor to complete
(Comment and feedback to students)

  1. Conducted a meeting to negotiate on the budget and later incorporated agreed modification in the budget based on organizational policy and procedures.






  1. Prepared final budget in clear format within designated timelines and informed the affected colleagues with final budget decisions and relevant work areas, roles and responsibilities.






  1. Reviewed budget regularly and checked the performance and prepare accurate financial reports.






  1. Incorporated all financial commitments and investigated and take appropriate action to handle significant deviations.






  1. Analyzed internal and external changes and adjust the budget accordingly.






  1. Collected and recorded relevant information to help in future project’s budget preparation.






  1. Used MS Excel as accounting software while preparing the budget for the event.






  1. Liaised and negotiated with stakeholders on potential budgets requirements.






  1. Identified budget deviations and deficiencies and developed options for meeting budgetary requirements








Unit Assessment Result Sheet (UARS)

Assessment Task 3 – Unit Project (UP) – Negotiate, Prepare, Monitor and Review Budget

Student and Trainer/Assessor Details


Unit code

SITXFIN004

Unit name

Prepare and monitor budgets

Outcome of Unit Assessment Task (UAT)

First attempt:

Outcome (please make sure to tick the correct checkbox):


Satisfactory (S) ☐ or Not Satisfactory (NS) ☐

Date: _______(day)/ _______(month)/ ____________(year)



Second attempt:

Outcome (please make sure to tick the correct checkbox):


Satisfactory (S) ☐ or Not Satisfactory (NS) ☐


Date: _______(day)/ _______(month)/ ____________(year)

Feedback to Student

  • First attempt:




  • Second attempt:




Student Declaration

  • I declare that the answers I have provided are my own work. Where I have accessed information from other sources, I have provided references and or links to my sources.

  • I have kept a copy of all relevant notes and reference material that I used as part of my submission.

  • I have provided references for all sources where the information is not my own. I understand the consequences of falsifying documentation and plagiarism. I understand how the assessment is structured. I accept that all work I submit must be verifiable as my own.

  • I understand that if I disagree with the assessment outcome, I can appeal the assessment process, and either re-submit additional evidence undertake gap training and or have my submission re-assessed.

  • All appeal options have been explained to me.

Student Name




Student ID




Student Signature




Date




Trainer/Assessor Name




Trainer/Assessor Declaration

I hold:
 Vocational competencies at least to the level being delivered
 Current relevant industry skills
 Current knowledge and skills in VET, and undertake
 Ongoing professional development in VET
I declare that I have conducted an assessment of this candidate’s submission. The assessment tasks were deemed current, sufficient, valid and reliable. I declare that I have conducted a fair, valid, reliable, and flexible assessment. I have provided feedback to the above-named candidate.

Trainer/Assessor Signature




Date




Office Use Only

Outcome of Assessment has been entered onto the Student Management System on _________________ (insert date)
by (insert Name) __________________________________



TOID 41406 CRICOS Code 03762M

Authorized by CEO

Review Date: November 2022

Unit Code: SITXFIN004 Page of Version 1.1

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