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IMA CMA-Strategic-Financial-Management Exam Syllabus Topics:
| Section | Weight | Objectives |
|---|---|---|
| Financial Statement Analysis | 20% | - Basic financial statement analysis
|
| Corporate Finance | 20% | - Risk and return
|
| Professional Ethics | 15% | - IMA Statement of Ethical Professional Practice
|
| Enterprise Risk Management | 10% | - Risk identification and classification
|
| Capital Investment Decisions | 10% | - Capital budgeting process
|
| Business Decision Analysis | 25% | - Cost-volume-profit analysis
|
IMA CMA Part 2: Strategic Financial Management Sample Questions:
1. Radal inc. currently has three product lines: stationery computer supplies, and printer cartridges Based on the following information, the company is considering whether to drop the printer cartridge line.
A) continue the printer cartridge product line to avoid an additional $3.000 decrease in net income
B) continue the printer cartridge product line to avoid an additional $6.000 decrease in net income
C) drop the printer cartridge product line as this will result in a $6,000 increase m net income
D) drop the printer cartridge product line as this will result in a $3 000 increase m net income
2. If a CMA is asked to conduct a financial assessment of a company owned by a close relative, what would be the proper response under the credibility standard of the IMA Statement of Ethical Professional Practice?
A) Provide an assessment that is timely and accurate despite the personal relationship
B) Keep information confidential except when authorized By the relative
C) Advise all parties of a potential conflict of interest
D) Communicate the existence of a constraint that might preclude responsible judgment
3. A company's balance sheet information at the end of July is shown below (in$000s).
What is the company's financial leverage ratio?
A) 2.45
B) 3.89
C) 1.69
D) 3 74
4. Custom Ceramics produces two hand-painted items a large bowl and a large platter. Relevant information for each of these items is shown below
A) The company should produce only bowls because the contribution margin per bowl is higher.
B) The company should produce only platters because the variable cost per platter is lower
C) The company should produce only platters because the contribution margin per painting hour is higher
D) The company should produce only bowls because the sales price per Bowl is higher
5. Discuss whether QDD stock provided a return that was Better, worse, or the same as its investors would have expected using CAPM snow your calculations Essay Quality Digital Design (QDD) Inc is a public-traded technology company Selected financial data of QDD for the prior year are as follows
QDD's stock was trading at $160 per share at the beginning of the yea: and at $176 per share by the end of the year. The company paid dividends of S5 per share. The company "s stock had a beta of 1 4 The stock market provided a total return of 12% last year, well above the 3% risk free rate of return QDD is considering the issuance of $200 million of bonds to fund the repurchase of $200 million of its stock.
QDD is evaluating the bond, including its term structure, maturity, and whether it should be callable obtaining the lowest coupon interest is an important objective of QDD. The CFO has estimated that sales for the current year would remain the same as last year and the new bond would add S12 million in annual interest payments
Solutions:
| Question # 1 Answer: A | Question # 2 Answer: C | Question # 3 Answer: C | Question # 4 Answer: C | Question # 5 Answer: Only visible for members |






