• You will be required to develop a research paper (minimum 10 pages). • Position yourself as the new CFO of a publically traded company. You must provide the CEO an assessment of the financial condition of the company.– The paper should provide a brief summary of the Industry, Company Background, Products and any Acquisitions or Mergers in recent years.– The Financial Assessment should look at the last three years and include at least a balance sheet and income statement review, ROI, ROE, EBITDA, Margin Trends, a basic cash flow analysis, ratio analysis, trend analysis, debt review, cost of capital and outlook.– Provide a recommendation to strengthen the companies financial position given today’s circumstances. (i.e. restructure debt, offer equity swaps, sell more shares, issue bonds, downsize operations, uses of excess cash)• Your paper should demonstrate your comprehension of the Course Outcomes communicated earlier in this syllabus. It should be thorough, logically organized, grammatically correct and understandable for a first time reader. You may use any and all available sources. Please provide a list of sources used at the end of your written report. Any reference materials (i.e. financial reports, investor presentations, etc) should be contained in an appendix.