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Kayak Co budgeted the following cash receipts (excluding cash receipts from loans received) and cash payments (excluding cash
Prepare monthly cash budgets for January, February, and March (Negative balances and Loan repayment amounts (if any) should b
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KAYAK COMPANY
Cash Budget
for januarym february and March
January February   March
Beginning Cash Balance $        50,000.00 $       50,000.00 $     57,133.00
Cash receipts $     516,000.00 $    406,000.00 $   478,000.00
Total Cash Available $     566,000.00 $    456,000.00 $   535,133.00
Cash payments $     461,700.00 $    351,700.00 $   524,000.00
Interest Expense $          1,000.00 $             467.00 $                    -  
Priliminary cash balance $     103,300.00 $    103,833.00 $     11,133.00
Additional loan (Loan Repayments) $     (53,300.00) $    (46,700.00)
Ending Cash Balance $        50,000.00 $       57,133.00 $     11,133.00
Loan Balance
Loan Balance -Beginning of Month $     100,000.00 $       46,700.00 $                    -  
Additional Loan (Loan Repayment) $     (53,300.00) $    (46,700.00) $                    -  
Loan Balance End of Month $        46,700.00 $                      -   $                    -  
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