Question
Spinning Wheel Corp. has prepared the following budget information for the first three months of 2020: Various Operating Budget Information Jan Feb Mar Sales Forecast
Spinning Wheel Corp. has prepared the following budget information for the first three months of 2020:
Various Operating Budget Information | Jan | Feb | Mar |
Sales Forecast (units of finished goods) | 12,000 units | 18,000 units | 25,000 units |
Production Budget (units of finished goods) | 14,000 units | 17,800 units | 20,000 units |
Material Purchases Budget (units of material) | 30,500 units | 25,000 units | 36,000 units |
Various Financial Budget Information | Jan | Feb | Mar |
Sales | $1,020,000 | $1,530,000 | $2,125,000 |
Selling & Admin. Expenses | $ 112,200 | $ 168,300 | $ 233,750 |
Under/(over) applied Fixed MO | $ 17,000 | $ ( 100) | $ (10,000) |
Taxes | $ 21,420 | $ 32,130 | $ 44,625 |
Manufacturing Unit Cost Assumptions:
(Direct Labor Hours is used as the cost driver for Manufacturing Overhead)
Materials: 6 units of material @ $7.00/unit | $42.00 |
Direct Labor: 1.5 hours @ $10.00/hour | $15.00 |
Variable Overhead: 1.5 hours @ $4.00/hour | $ 6.00 |
Fixed Overhead: 1.5 hours @ $3.00/hour | $ 4.50 |
Total Manufacturing Unit Cost | $67.50 |
Other Budget Assumptions:
- Monthly Fixed Manufacturing Overhead is $80,000 (includes $15,000 of depreciation). It also includes an accrual of $4,000 for annual maintenance to be performed in December.
- 20% of sales are collected in the month of sale- those paying in the month of sale receive a 3% discount. 78% of sales are collected in the month following the sale- 2% of sales are estimated to be noncollectable.
- 40% of Direct Material purchases are paid in the month of purchase- Spinning Wheel receives a 2% discount for paying in the month of purchase. The remaining 60% is paid in the month following the purchase.
- All other operating costs requiring payment are paid in the month of their incurrence.
- Selling & Administrative expenses contain $8,000 of depreciation.
- All income taxes for January, February, and March are to be paid in March.
- March Prepaid Asset activity:
- $8,000 will expire and be charged to Selling & Administrative expenses (included in the $233,750). March beginning balance is $2,000 and ending balance is anticipated to be $9,000.
The above information is needed for the next 7 questions.
Using the Spinning Wheel budget information, what would March's disbursements/payments be for Selling & Administrative Expenses?
$217,750
$233,750
$225,750
$223,750
Using the Spinning Wheel budget information, what would March's disbursements/payments be for Direct Material purchases?
$203,784
$205,800
$252,000
$1,222,704
$1,234,800
Using the Spinning Wheel budget information, what would March's disbursements/payments be for Direct Labor?
Group of answer choices
$200,000
$250,000
$300,000
$375,000
Using the Spinning Wheel budget information, what would March's disbursements/payments be for Variable Manufacturing Overhead?
Group of answer choices
$150,000
$120,000
$100,000
$80,000
Using the Spinning Wheel budget information, what would March's disbursements/payments be for Fixed Manufacturing Overhead?
Group of answer choices
$65,000
$69,000
$80,000
$51,000
$61,000
Using the Spinning Wheel budget information, what would March's disbursements/payments be Prepaids?
Group of answer choices
$17,000
$3,000
$15,000
No Change
Using the Spinning Wheel budget information, what would March's cash receipts/collections be?
Group of answer choices
$425,000
$1,618,400
$1,605,650
$412,250
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