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S 22-24 (Algo) Manufacturing: Cash budget LO P2 Using the following information: a. Beginning cash balance on March 1, $73,000. b. Cash receipts from sales,
S 22-24 (Algo) Manufacturing: Cash budget LO P2 Using the following information: a. Beginning cash balance on March 1, $73,000. b. Cash receipts from sales, $309,000. c. Cash payments for direct materials, $135,000. d. Cash payments for direct labor, $77,000. e. Cash payments for overhead, $36,000. f. Cash payments for sales commissions, $7,000 g. Cash payments for interest, $150 (1% of beginning loan balance of $15,000) h. Cash repayment of loan, $15,000. Prepare a cash budget for March for Gado Company. GADO COMPANY Total cash available Less: Cash payments for Cash Budget March Prepare a cash budget for March for Gado Company. GADO COMPANY Cash Budget Total cash available Less: Cash payments for Total cash payments Preliminary cash balance Loan activity Ending cash balance Loan balance, end of month March
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