In 2022. Oriole Company had cash receipts of 562720 and cash disbursements of $35840. Oriole's cash...
Current Attempt in Progress In 2022, Bramble Corp. had cash receipts of $54880 and cash disbursements of $31360. Bramble's cash balance at December 31, 2022 was $76440. What was Bramble's January 1, 2022 cash balance? O $52920 O $99960 O $68600 O $107800 View Policies Current Attempt in Progress In 2022, Sheridan Company had cash receipts of $29400, including additional owner investments of $10,000, and cash disbursements of $16800. Sheridan Company purchased equipment of $12,000 on account. Sheridan's cash balance...
View Policies Current Attempt in Progress In 2022, Pharoah Company had cash receipts of $43400, including additional owner investments of $10,000, and cash disbursements of $24800. Pharoah Company purchased equipment of $12.000 on account. Pharoah's cash balance at December 31.2022 was $80600. What was Pharoah's January 1, 2022 cash balance? O $62000 O $74400 $99200 $105400 Save for later Attempts: 0 of 1 used Submit Answer 05:57 her acer
Question 12 2 pts In 2025, Banks Corporation had cash receipts of $56,000 and cash disbursements of $32,000. Bank's cash balance at December 31, 2025 was $78,000. What was Bank's January 1, 2025 cash balance? $110,000 $102,000 $54,000 $70,000
In 2007 Bombay Corporation had cash receipts of $21,000 and cash disbursements of $12,000. Their ending cash balance at December 31, 2007 was $33,000. What was their beginning cash balance? $24,000 $30,000 $45,000 $42,000
In 2017 Vaughn Manufacturing had cash receipts of $35700 and cash disbursements of $20400. Vaughn's ending cash balance at December 31, 2017 was $66300. What waſ Vaughn's beginning cash balance? $81600 $86700 O $51000 O $61200
During the month of February, Victor Services had cash receipts of $7,700 and cash disbursements of $9,000. The February 28 cash balance was $2,200. What was the February 1 beginning cash balance?
1. On July 31, 2022, Teal Mountain Company had a cash balance per books of $6,285. The statement from Dakota State Bank on that date showed a balance of $7,835.80. A comparison of the bank statement with the Cash account revealed the following facts. 1. The bank service charge for July was $17. 2. The bank collected $1,665.00 for Teal Mountain Company through electronic funds transfer. 3. The July 31 receipts of $1,346.30 were not included in the bank deposits...
During the month of February, Victor Services had cash receipts of $7,900 and cash disbursements of $9,400. The February 28 cash balance was $2,600. What was the February 1 beginning cash balance? Multiple Choice $0. $1.100 O $1,500. O $6,300 O $4,100
During the month of February, Hoffer Company had cash receipts of $7,800 and cash disbursements of $8,950. The February 28 cash balance was $1,900. What was the January 31 beginning cash balance? Multiple Choice О O $3,050 $1,150 O $0 $750 O $4,200 The following transactions occurred during July: a. Received $1,300 cash for services provided to a customer during July. b. Received $2,600 cash investment from Barbara Hanson, the owner of the business. c. Received $950 from a customer...
Suppose Columbia Sportswear Company had accounts receivable of $329,543,500 at January 1, 2022, and $249,202,800 at December 31, 2022. Assume sales revenue was $1,368,425,300 for the year 2022. What is the amount of cash receipts from customers in 2022? The amount of cash receipts from customers in 2017=?