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a. Beginning cash balance on March 1, ( $ 73,000 ). b. Cash receipts from sales, ( $ 307,000 ). c. Cash payments for direct

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a. Beginning cash balance on March 1, \\( \\$ 73,000 \\). b. Cash receipts from sales, \\( \\$ 307,000 \\). c. Cash payments for direct materials, \\( \\$ 130,000 \\). d. Cash payments for direct labor, \\( \\$ 75,000 \\). e. Cash payments for overhead, \\( \\$ 37,000 \\). f. Cash payments for sales commissions, \\( \\$ 8,000 \\) g. Cash payments for interest, \\( \\$ 170 \\) ( \1 of beginning loan balance of \\( \\$ 17,000) \\) h. Cash repayment of loan, \\( \\$ 17,000 \\). Prepare a cash budget for March for Gado Company

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