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The following information was taken from Sandhill Company's cash budget for the month of July: Beginning cash balance Cash receipts Cash disbursements O $52100. O

The following information was taken from Sandhill Company's cash budget for the month of July: Beginning cash balance Cash receipts Cash disbursements O $52100. O $78150. O $44900. O $26050. $125300 Save for Later 120700 If the company has a policy of maintaining an end of the month cash balance of $127900, the amount the company would have to borrow is 170200 Atter
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The following information was taken from Sandhill Company's cash budget for the month of July: If the compary has a policy of maintaining an end of the month cash balance of $127900, the amount the company would have to borrowis $52100$78150$44900$26050

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