Answered step by step
Verified Expert Solution
Link Copied!

Question

1 Approved Answer

can someone please answer and explain by using the Cell reference and not just the numbers please S&P Enterprises has provided data from the first

can someone please answer and explain by using the Cell reference and not just the numbers please
image text in transcribed
image text in transcribed
image text in transcribed
image text in transcribed
image text in transcribed
S&P Enterprises has provided data from the first three months of the year. The Controller has asked you to prepare the Cash Budget and the related Schedules for Expected cash collections and Payments to suppliers. Use the information included in the Excel Simulation and the Excel functions described below to complete the task Cell Reference: Allows you to refer to data from another cell in the worksheet. From the Excel Simulation below. If in a blank cell on the Budget Data tab. -85 was entered the formula would output the result from cell 85, or 1600 in this example. Multi-Tab Cell Reference: Allows you to refer to data from another cell in a separate tab in the worksheet When using the multi-tab cell reference, type the equal sign first, then click on the other tab and then click on the cell you want to reference. The syntax of a multi-tob cell reference looks different than a normal cell reference, since it includes the tab name surrounded by apostrophes and also an exclamation point before the cell location. From the Excel Simulation below. If in a blank cell on the Schedules and Cash Budget tab Budget Dato'IC7" was entered, the formula would output the result from cell C7 in the Budget Data tab, or 33.750 in this example. Basic Math functions: Allows you to use the basic moth symbols to perform mathematical functions. You can use the following keys (plus sign to add), (minus sign to subtract)." (asterisk sion to multiply) and/tforward slosh to divide). From the Excel Simulation below. If in a blank cell on the Budget Data tab, "-815+816 was entered the formula would add the values from those cells and output the result, or 34,000 in this example, if using the other math symbols the result would output an appropriate answer for its function SUM function: Allows you to refer to multiple cells and adds all the values. You can add Individual cell references or ranges to utilize this function. From the Excel Simulation below. If in a blank cell * SUM(810,811,812)" was entered, the formula would output the result of adding those three separate cells, or 97% in this example Similarly, if in a blank cell SUM(B10.812)" was entered the formula would output the same result of adding those cells, except they are expressed as a range in the formula, and the result would be 97% in this example. ? 25 FILE Cash Budget with Supporting Cash Collections and Disbursements Schedules - Excel INSERT PAGE LAYOUT FORMULAS DATA REVIEW VIEW HOME Sign In - 11 BX Calibri BAA % M Paste Conditional Format as Alignment Number Cell BIU- Cells Editing Formatting Table Styles Clipboard Font Styles Al S&P Enterprises needs a cash budget for March. The following information is B D E 1 S & P Enterprises needs a cash budget for March. The following information is available. 2 3 Data January February March 4 Actual January and February and expected March sales: 5 Cash sales $ 1,600 $ 3.750 $ 5.100 6 Sales on account 25,000 30,000 40,000 7 Total Sales $ 26,600 $ 33,750 $ 45, 100 8 9 Accounts Receivable Collections: 10 Month of sale 15% 11 Month following sale 60% 12 Second month following sale 22% 13 Uncollectible 3% 14 15 Accounts payable for inventory purchases, March 1 balance $10,500 16 Budgeted inventory purchases in March $23,500 17 Inventory payments: 18 Month of purchase 60% 19 Month following purchase 40% 20 21 Total budgeted selling & administrative expenses in March $12,500 22 Budgeted selling & administrative depreciation in March $3,200 23 24 Other budgeted cash disbursements in March Budget Data Schedules and Cash Budget READY 100% Attempt(s) Hint E E FILE HOME INSERT FORMULAS VIEW PAGE LAYOUT Sign In DATA REVIEW ie - 11 Cells Paste Font D > A X Calibri AA % Cell BIU . Alignment Number Conditional Format as Editing Formatting Table Styles Clipboard Styles A1 X Sa S&P Enterprises needs a cash budget for March. The following information is B E 22 Budgeted selling & administrative depreciation in March $3,200 23 24 Other budgeted cash disbursements in March 25 Equipment purchases $14,000 26 Dividends to be paid $2,000 27 28 Minimum cash balance to be maintained $10,000 29 March 1 cash balance $11,500 30 March 1 outstanding borrowings $0 31 March 1 interest due SO 32 33 The company has a line of credit available to bolster the cash balance as needed. 34 35 When preparing budgets, the company maintains their data on a separate sheet from the actual budget and schedules. 37 Click the Schedules and Cash Budget tab to prepare the following: 1. Schedule of expected cash collections for March. 2. Schedule of expected cash disbursements for inventory purchases for March 3. Cash budget for March. Indicate in the financing section any borrowing that will be needed in March. Assume that any interest will not be paid until the following month. 36 + 38 39 40 41 42 43 44 45 - Budget Data Schedules and Cash Budget 100% READY Attempt(s) Hint FILE HOME INSERT PAGE LAYOUT FORMULAS DATA REVIEW VIEW Sign In A Calibri - 11 A A % M Paste BIU. Alignment Number Cells Editing Conditional Format as Cell Formatting Table Styles Styles Clipboard Font B2 V fo B D D E 1 Expected cash collections: 2 March cash collections 3 March collections on account: 4 January sales 5 February sales 6 March sales 7 Total cash collections 8 9 Payments to suppliers: 10 Accounts payable for inventory purchases, beginning balance 11 March purchases 12 Total cash payments 13 14 S&P Enterprises 15 Cash Budget 16 For the Month of March 17 18 Cash balance, March 1 19 Add cash receipts: 20 Collections from customers 21 Total cash available before current financing 22 Less disbursements: 23 Payments to suppliers 24 Selling and administrative expenses Budget Data Schedules and Cash Budget READY Attempt(s) 1/2 le 2 L --+ 100% Hint - x KB 5 FILE Cash Budget with Supporting Cash Collections and Disbursements Schedules - Excel INSERT PAGE LAYOUT FORMULAS DATA REVIEW VIEW HOME Sign In * Calibri - 11 %6 M A A A Paste Cells BIU- Editing . Alignment Number Conditional Format as Cell Formatting Table Styles Styles Clipboard Font B2 C > v fu A B D E 18 Cash balance, March 1 19 Add cash receipts: 20 Collections from customers 21 Total cash available before current financing 22 Less disbursements: 23 Payments to suppliers 24 Selling and administrative expenses 25 Equipment purchases 26 Dividends paid 27 Total disbursements 28 Excess (deficiency) of cash available over disbursements 29 Financing: 30 Borrowings 31 Repayments 32 Interest 33 Total financing 34 Cash balance, March 31 35 36 37 38 + 39 40 41 - Budget Data Schedules and Cash Budget + READY

Step by Step Solution

There are 3 Steps involved in it

Step: 1

blur-text-image

Get Instant Access with AI-Powered Solutions

See step-by-step solutions with expert insights and AI powered tools for academic success

Step: 2

blur-text-image

Step: 3

blur-text-image

Ace Your Homework with AI

Get the answers you need in no time with our AI-driven, step-by-step assistance

Get Started

Recommended Textbook for

Advanced Accounting

Authors: Joe Hoyle, Thomas Schaefer, Timothy Doupnik

10th edition

0-07-794127-6, 978-0-07-79412, 978-0077431808

Students also viewed these Accounting questions

Question

Define success.

Answered: 1 week ago