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F. Sunny and Clear, Inc. Schedule of Expected Cash Collections Absorbtion Costing Income Statement July August September Quarter For the Quarter Ended September 30, 2020
F. Sunny and Clear, Inc. Schedule of Expected Cash Collections Absorbtion Costing Income Statement July August September Quarter For the Quarter Ended September 30, 2020 Budgeted Sales $ 52,000 $ 56,000 $ 60,000 $ 168,000 Cash Sales 13,520 $ 14,560 $ 15,600 $ 13,680 Calculation (52,000*.26 (56000*.26) (60000*.26) Credit Calculations 29,250 $ 38,480 $ 41,440 $ 109,170 Calculation (52000* .74) (56000*.74) Total Cash Collections $ 42,770 $ 53,040 $ 57,040 $ 152,850 culation (13520+29250) (14560+38480) (15600+41440) Merchandise Purchase Budget For the Quarter Ended September 30 July August September Quarter Cost of Goods Sold $ 40,040 S 43,120 $ 46,200 $ 129.360 Calculation (52000*.77) (56000*.77) (60000*.77) Plus: Desired Ending Inventory 15,092 $ 16,170 $ 12,936 $ 12,93 Calculation (43120*.35) (46200*.35) (48000*0.35*.77) Total Needed S 55,132 $ 59,290 $ 59,136 $ 142,296 Calculation (40040+15092) (43120+16170) (46200+12936) (129360+12936) G. Sunny and Clear, Inc. Minus Beg. Inventory: 14,014 $ 15,092 $ 16,170 $ 14,014 Balance Sheet Calculation (40040*.35) (43120*.35) (46200*.35) September 30, 2020 Required Inventory Purchases: 41,118 $ 44,198 $ 42,966 $ 128,282 Calculation (55132-14014) (59260-15092) (59136-16170) (142296-14014) Schedule of Expected Cash Disbursents - Merchandise Purchases July August September Quarter June Purchase 22,400 JulyPurchas 19,737 $ 21,381 Calculation (41118*.48) (411198*.52 August Purchase 21,215 $ 22,983 Calculation (44198*.48) (44198*.52) September Purchase 20,624 Calculation (42966*.48) Total Disbursement $ 42,137 $ 42,596 43,607 $ 128,340 Calculation (22400+19737) (21381+21215) (22983+20624) (42137+42596+43607) D. Schedule of Expected Cash Disbursements - Selling and Administrative Expenses July August September Quarter Commissions $ 9,000 $ 9,000 9,000 S 27.000 Rent 1,200 $ 1,200 $ 1,200 $ 3,600 Other Expenses(8%) 4,160 $ 4,480 $ 4,800 $ 13,440 Calculation (52000*.08) (56000*.08 (60000* .08) Total Cash for Expenses $ 14,360 $ 14,680 $ 15,000 $ 44,040 Calculation (9000+1200+4160) (9000+1200+4480) (9000+1200+4800) E. Cash Budget
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