Question

Problem 21-4A Colter Company prepares monthly cash budgets. Relevant data from operating budgets for 2017 are as follows: FebPrepare schedules for (1) expected collections from customers and (2) expected payments for direct materials purchases for JaPrepare a cash budget for January and February in columnar form. (Do not leave any answer field blank. Enter 0 for amounts.)

0 0
Add a comment Improve this question Transcribed image text
Answer #1
Colter Company
Expected cash collections Calculation
Req a1 Jan Feb Jan Feb
Nov sales          56,300                      -   =281,500*20%
Dec sales        108,096            72,064 =360,320*30% =360,320*20%
Jan sales        202,680          121,608 =405,360*50% =405,360*30%
Feb sales                   -            225,200 =450,400*50%
Total cash collections        367,076          418,872
Expected cash payments -Material Purchases
Req a2 Jan Feb Jan Feb
Dec Purchases          45,040                      -   =112,600*(1-60%)
Jan Purchases          81,072            54,048 =135,120*60% =135,120*(1-60%)
Feb Purchases                   -              84,450 =140,750*60%
Total cash payments-materials        126,112          138,498
Cash budget
Req b Jan Feb Jan Feb
Cash balance, beginning          67,560            57,426
Add: Cash Receipts
Cash collections        367,076          418,872
Collection of note receivable          16,890                      -  
Proceeds from sale of securities                   -                 6,756
Total Cash Receipts        383,966          425,628
Total Cash Available        451,526          483,054
Less: Cash Payments
Direct material purchases        126,112          138,498
Direct labor        101,340          112,600
Manufacturing overhead          78,820            84,450
Selling and administrative expenses          87,828            94,584 =88,954-1,126 =95,710-1,126
Cash dividends paid                   -                 6,756
Total Cash Payments        394,100          436,888
Excess (deficiency) of cash          57,426            46,166
Financing
Add: Borrowings            10,134 =56,300-46,166
Less: Repayments                   -                   -
Cash balance, ending          57,426            56,300
Add a comment
Know the answer?
Add Answer to:
Problem 21-4A Colter Company prepares monthly cash budgets. Relevant data from operating budgets for 2017 are...
Your Answer:

Post as a guest

Your Name:

What's your source?

Earn Coins

Coins can be redeemed for fabulous gifts.

Not the answer you're looking for? Ask your own homework help question. Our experts will answer your question WITHIN MINUTES for Free.
Similar Homework Help Questions
  • Problem 21-4A (Part Level Submission) Colter Company prepares monthly cash budgets. Relevant data from operating budgets...

    Problem 21-4A (Part Level Submission) Colter Company prepares monthly cash budgets. Relevant data from operating budgets for 2017 are as follows: January February Sales $405,360 $450,400 Direct materials purchases 135,120 140,750 Direct labor 101,340 112,600 Manufacturing overhead 78,820 84,450 Selling and administrative expenses 88,954 95,710 All sales are on account. Collections are expected to be 50% in the month of sale, 30% in the first month following the sale, and 20% in the second month following the sale. Sixty percent...

  • Problem 21-4A Colter Company prepares monthly cash budgets. Relevant data from operating budgets for 2017 are...

    Problem 21-4A Colter Company prepares monthly cash budgets. Relevant data from operating budgets for 2017 are as follows: Problem 21-4A Colter Company prepares monthly cash budgets. Relevant data from operating budgets for 2017 are as follows: Sales Direct materials purchases Direct labor Manufacturing overhead Selling and administrative expenses January $411,120 137,040 102,780 79,940 90,218 February $456,800 142,750 114,200 85,650 97,070 All sales are on account. Collections are expected to be 50% in the month of sale, 30% in the first...

  • Colter Company prepares monthly cash budgets. Relevant data from operating budgets for 2017 are as follows:...

    Colter Company prepares monthly cash budgets. Relevant data from operating budgets for 2017 are as follows: February January Sales $370,800 $412,000 Direct materials purchases 123,600 128,750 Direct labor 92,700 103,000 Manufacturing overhead 77,250 72,100 Selling and administrative expenses 81,370 87,550 All sales are on account. Collections are expected to be 50% in the month of sale, 30% in the first month following the sale, and 20% in the second month following the sale. Sixty percent (60%) of direct materials purchases...

  • Problem 21-4A (Part Level Submission) Colter Company prepares monthly cash budgets. Relevant data from operating budgets...

    Problem 21-4A (Part Level Submission) Colter Company prepares monthly cash budgets. Relevant data from operating budgets for 2017 are as follows: Sales Direct materials purchases Direct labor Manufacturing overhead Selling and administrative expenses January $403,200 134,400 100,000 78,400 88.480 February $448,000 140,000 112,000 84,000 95,200 All sales are on account. Collections are expected to be 50% in the month of sale, 30% in the first month following the sale, and 20% in the second month following the sale. Sixty percent...

  • Colter Company prepares monthly cash budgets. Relevant data from operating budgets for 2020 are as follows...

    Colter Company prepares monthly cash budgets. Relevant data from operating budgets for 2020 are as follows January February Sales $363,600 $404,000 Direct materials purchases 121,200 126.250 Direct labor 90,900 101.000 Manufacturing overhead 70,700 75,750 Selling and administrative expenses 79.790 85,850 All sales are on account, Collections are expected to be 50% in the month of sale, 30 % in the first month following the sale, and 20% in the second month following the sale, Sixty percent (60%) of direct materials...

  • Colter Company prepares monthly cash budgets. Relevant data from operating budgets for 2017 are as follows:...

    Colter Company prepares monthly cash budgets. Relevant data from operating budgets for 2017 are as follows: anuary February $360,000 120,000 90,000 70,000 79,000 $400,000 125,000 100,000 75,000 85,000 Sales Direct materials purchases Direct labor Manufacturing overhead Selling and administrative expenses All sales are on account. Collections are expected to be 50% in the month of sale, 30% in the first month following the sale, and 20% in the second month following the sale. Sixty percent (60%) of direct materials purchases...

  • Colter Company prepares monthly cash budgets. Relevant data from operating budgets for 2017 are as follows:...

    Colter Company prepares monthly cash budgets. Relevant data from operating budgets for 2017 are as follows: anuary February $360,000 120,000 90,000 70,000 79,000 $400,000 125,000 100,000 75,000 85,000 Sales Direct materials purchases Direct labor Manufacturing overhead Selling and administrative expenses All sales are on account. Collections are expected to be 50% in the month of sale, 30% in the first month following the sale, and 20% in the second month following the sale. Sixty percent (60%) of direct materials purchases...

  • Colter Company prepares monthly cash budgets. Relevant data from operating budgets for 2020 are as follows...

    Colter Company prepares monthly cash budgets. Relevant data from operating budgets for 2020 are as follows February January $435,600 $484,000 Sales 151,250 Direct materials purchases 145,200 121,000 Direct labor 108,900 84,700 90,750 Manufacturing overhead 95,590 Selling and administrative expenses 102,850 All sales are on account. Collections are expected to be 50 % in the month of sale, 30 % in the first month following the sale, and 20 % in the second month following the sale. Sixty percent (60 %)...

  • Colter Company prepares monthly cash budgets. Relevant data from operating budgets for 2020 are as follows....

    Colter Company prepares monthly cash budgets. Relevant data from operating budgets for 2020 are as follows. January February Sales Direct materials purchases Direct labor Manufacturing overhead Selling and administrative expenses $421,200 140,400 105,300 81,900 92,430 $468,000 146,250 117,000 87,750 99,450 All sales are on account. Collections are expected to be 50% in the month of sale, 30% in the first month following the sale, and 20% in the second month following the sale. Sixty percent (60%) of direct materials purchases...

  • Marigold Company prepares monthly cash budgets. Relevant data from operating budgets for 2017 are as follows:...

    Marigold Company prepares monthly cash budgets. Relevant data from operating budgets for 2017 are as follows: Sales Direct materials purchases Direct labor Manufacturing overhead Selling and administrative expenses January $380,160 126,720 95,040 73,920 83,424 February $422,400 132,000 105,600 79,200 89,760 All sales are on account. Collections are expected to be 50% in the month of sale, 30% in the first month following the sale, and 20% in the second month following the sale. Sixty percent (60% of direct materials purchases...

ADVERTISEMENT
Free Homework Help App
Download From Google Play
Scan Your Homework
to Get Instant Free Answers
Need Online Homework Help?
Ask a Question
Get Answers For Free
Most questions answered within 3 hours.
ADVERTISEMENT
ADVERTISEMENT
ADVERTISEMENT