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The cash budget for March is being prepared for Ashley Incorporated. The beginning cash balance is $17.000. Expected cash receipts will be $189.000 and cash

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The cash budget for March is being prepared for Ashley Incorporated. The beginning cash balance is $17.000. Expected cash receipts will be $189.000 and cash disbursements are projected to be $188,000 Ashley's CFO would like to see an ending cash balance of at least $30,000 at the end of the month What is the excess deficiency of cash available over disbursements for March? Multiple Choice $10.000 $16.000 S1000 o $200,000

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