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Schedule of Cash Payments for a Service Company SafeMark Financial Tec. was organized on February 28. Projected selling and administrative expenses for each of the

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Schedule of Cash Payments for a Service Company SafeMark Financial Tec. was organized on February 28. Projected selling and administrative expenses for each of the first three months of operations are as follows: March $105,800 April 99,500 May 90.500 Depreciation, insurance and property taxes represent $23,000 of the estimated monthly expenses. The annual insurance premium was pard on February 28, and property taxes for the year will be paid in lune 7206 of the remainder of the expenses are expected to be paid in the month in which they are incurred with the balance to be paid in the following month Prepare a schedule indicating cash payments for selling and administrative expenses for March April, and May SafeMark Financial Inc. Schedule of Cash Payments for Selling and Administrative Expenses For the Three Months Ending May 31 March April May March expenses Paid in March Paid in April April expenses Paldin Apri Paid in May May expenses Pald in May Total cash payments

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