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Cash Budget The controllet of Sonoma Housewares Inc. Instructs you to prepare a monthly cash budget for the next three months. You are presented with

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Cash Budget The controllet of Sonoma Housewares Inc. Instructs you to prepare a monthly cash budget for the next three months. You are presented with the following budget information: May June July Sales $105,000 $131,000 $174,000 Manufacturing costs 44,000 56,000 63,000 30,000 Selling and administrative expenses 35,000 38,000 Capital expenditures 42,000 The company expects to soll about 12% of its merchandise for cash of sales on account, 70% are expected to be collected in the month following the sale and the remainder the following month (second month following salo). Depreciation, Insurance, and property tax expense represent $9,000 or the estimated monthly manufacturing costs. The annual insurance premium is paid in September, and the annual property taxes are paid in November, or the remainder of the manufacturing costs, 75% are expected to be paid in the month in which they are incurred and the balance in the following month Current assets as of May 1 Indude cash of $40,000, marketable securities of $57,000, and accounts receivable of $117,200 (592,000 from April sales and $25,200 from March sales), Sales on account for March and Apeil were $84,000 and $92,000, respectively. Current liabilities as of May 1 include $11,000 of accounts payable incurred in April for manufacturing costs. All selling and administrative expenses are paid in cash in the period they are incurred. An estimated income tax payment of $16,000 will be made in June. Sonoma's regular quarterly dividend of $9,000 is expected to be declared in June and paid in July, Management wants to maintain a minimum cash balance of 531,000. Required: 1. Prepare a monthly cash budget and supporting schedules for May, June, and July. Input all amounts as positive values except overall cash decrease and defidency which should be indicated with a minus sign. Sonoma Housewares Inc Cash Budget For the Three Months Ending July 31 May June July Estimated cash receipts from: Cash sales 12.600 15.720 20,380 X Collection of accounts receivable Total cash receipts Estimated cash payments for: Manufacturing costs Selling and administrative expenses Capital expenditures Other purposes: Income tax Dividends Total cash payments Cash increase or (decrease) Cash balance at beginning of month DIJIJI Cash balance at end of month QOJIO Minimum cash balance Excess (deficiency)

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