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bores op P4-10 (similar to) Cashbudget Basie Oracle Enterprises had sales of $48.600 in March and $59,900 in April Forecast sales for May June and
bores op P4-10 (similar to) Cashbudget Basie Oracle Enterprises had sales of $48.600 in March and $59,900 in April Forecast sales for May June and July are 560.600.580,100 and $100.400, respectivelyThe firm has a cash balance of 5.200 on May and stomana muncah blancs of 5.200.Given the following data, prepare and interpretach budget for the month of May, Jure, and July The 215 for cash,62% recolected in the next month, and the remaining 17% are collected in the second month following sale The firm caves the income of 2.200 per month The actual or expected purchases made for cash, 550,000,00.000, and $79.900 for the month of May through July, respectively 4 Ranti 12.500 per month Chands of 3.500 will be paid in June Payment of pro and rest of $4.000 is due in June A cash purchase of counting 55.600 is scheduled in ses of 58.100 dinara Com the first month of the cash budget for Grenoble Enterprises below. Round to the rest dollar. Please input all the values in the table before checking your answers March Apel May s 60.000 43.600 16.416 59.500 5 135795 Cash 5 5 months number the Crew 9 CA Check Answer s 2 3 5 6 & 7 ( 9 8 1 O E R T Y U P
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