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The St. Germaine Company is preparing its cash payments budget. The following items relate to cash payments the company antic
More Info a. The company pays for 45% of its direct materials purchases in the month of purchase and the remainder the follow
d. Monthly operating expenses for March through June are projected to be as follows: March April May June $ 71,000 $ 87,000 $
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ANSE The St. Germaine Company Cash payment Budget for the months of April through June April I may Cash payments for direct .If you have any query ask in comment section. If you like my work plz rate. Thanks

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