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Crane Company prepares monthly cash budgets. Relevant data from operating budgets for 2020 are as follows. January February SSdle Ul Securities ועזיזי T Total Receipts - T 422840 468720 T Total Available Cash 497240 531960 Less :).Disbursements Disbu

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Answer #1
Correct Answer Will be:- $11160
Borrowing = Ending Cash Balance- Excess of Available Cash Over Disbursement
=62000-50840=$11160
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