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18 Frete pregang budget for November. The budgeted beginning a balance $30,000 Budgeted cash receipts to $100.000 and budgeted cash disbursements total $90,000. The desired

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Frete pregang budget for November. The budgeted beginning a balance $30,000 Budgeted cash receipts to $100.000 and budgeted cash disbursements total $90,000. The desired onding cash bace is $85.000. The company can bomow up to $50,000 at any time from a local bank, with interest hot due the following more Required Prepare the company's cash but for November in good form. Make sure to indicate what borrowing, any would be needed to attain the desired ending cash balance Cash balance beginning Aed cash receipts Total cash available Less cash disbursement Exons (deficiency of cash available over disbursements Borrowings Cash balance, ending

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