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Document? Home Insert Draw Design Layout References Mailings Review View Share Comments Paste Styles StylesSensitivity Fill and Send for Agreement Pane Sign Signature Status Cash
Document? Home Insert Draw Design Layout References Mailings Review View Share Comments Paste Styles StylesSensitivity Fill and Send for Agreement Pane Sign Signature Status Cash budget-Basic Grenoble Enterprises had sales of $50,000 in March and $60,000 in April. Forecast sales for May, June, and July are $70,000, $80,000 and $100,000, respectively. The firm has a cash balance of $5,000 on May 1 and wishes to maintain a minimum cash balance of $5,000. Given the following data, prepare and interpret a cash budget for the months of May, June, and July (1) The firm makes 20% of sales for cash, 60% are collected in the next month, and the remaining 20% are collected in the second month following sale (2) The firm receives other income of $2,000 per month. (3) The firm's actual or expected purchases, all made for cash, are $50,000, $70,000, and $80,000 for the months of May through July, respectively (4) Rent is $3,000 per month (5) Wages and salaries are 10% of the previous month's sales. (6) Cash dividends of $3,000 will be paid in June (7) Payment of principal and interest of $4,000 is due in June (8) A cash purchase of equipment costing $6,000 is scheduled in July (9) Taxes of $6,000 are due in June Page 1 of 1 0 wordsEnglish (United States) Focus E) 1-0 + 367%
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