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Sequence/Method of work and Programme

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Sequence/Method of work and Programme

Series of management documents drive the project management team to come up with a construction work plan. The program is created before the commencement of the work to set a timeline for the project based on the phases of construction. Construction programme requires maintenance of a close relationship with the engineers, project managers, and all the other stakeholders. The construction programme consists of various aspects of construction, such as budget, time, and resources. Some elements consist of the programme which includes scope, pre-construction, risk management, quality assurance, budget, and schedule of the activities.

The scope of the programme explains the justification of the activities by stating the purpose. The purpose of the final structure, considerations are taken, the duration of the project and resource scheduling are elements of the programme’s scope. Before commencing construction pre-construction study was carried out to create storage space and terrain conditioning. During planning, risk assessment is taken into consideration to ensure workers’ safety from possible accidents that may be encountered during construction. The plan also contains quality assurance, which entails the standards of the work throughout construction.

Budget

The estimated budget for the project is about £600,000. The budget of the costs expected to be incurred during the development of the Parish Hall project is estimated as shown in the table below;

FactorBudgeted Cost (£)
Labor100,304
Materials96,250
Equipment205,107
Subcontracts48,500
Others84,784
Total534,945

 

Cash flow forecast for the development

For project management purposes, cash flow forecasting is an important aspect to be considered as far as project development is concerned in that it helps in identifying potential problems and minimizes the impacts of cash shortages.

The cash flow forecast for the project development is summarized in the table below;

 JuneJulyAugust
Operating cash, at the beginning (£)200,470320,820100,245
Loans320,180070,400
Receivables110,34050,700280,560
Total sources of Cash (£)630,990371,520451, 205
Equipment payment50,69040,6750
Labor23,45020,90012,380
Transport16,79017,4907,450
Purchase of materials150,260130,69025,670
Tax payment68,98061,52030,100
Total cash used (£)310, 170271,27575,600
Change in cash (£)+120,350-220,575+75,600
Ending cash balance (£)320,820100,245375,605

 

From the cash forecasting table above, a positive change in cash at the end of the last month implies that as far as our project is concerned there are high chances that during the course of building our project there will be no cash issues and thus the project will be completed as expected.

 

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