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Redbirds Inc. is working on its cash budget for January. The budgeted beginning cash balance is $ 4 1 , 0 0 0 . Budgeted

Redbirds Inc. is working on its cash budget for January. The budgeted beginning cash balance is $41,000. Budgeted cash receipts total $114,000 and budgeted cash disbursements total $113,000. The desired ending cash balance is $60,000. The excess (deficiency) of cash available over disbursements for January will be:
$42,000
$40,000
$1,000
$155,000
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