Problem

Calculating the Cash Budget. Here are some important figures from the budget of Red Barche...

Calculating the Cash Budget. Here are some important figures from the budget of Red Barchetta, Inc., for the second quarter of 2008:

 

April

May

June

Credit sales

$352,000

$296,000

$408,000

Credit purchases

168,000

148,000

192,000

Cash disbursements

 

 

 

  Wages, taxes, and expenses

72,500

68,800

84,000

  Interest

8,000

8,000

8,000

  Equipment purchases

24,000

48,000

152,000

The company predicts that 5 percent of its credit sales will never be collected, 35 percent of its sales will be collected in the month of the sale, and the remaining 60 percent will be collected in the following month. Credit purchases will be paid in the month following the purchase.

In March 2008, credit sales were $325,000. Using this information, complete the following cash budget:

 

April

May

June

Beginning cash balance

$148,000

 

 

Cash receipts

 

 

 

  Cash collections from credit sales

 

 

 

   Total cash available

 

 

 

Cash disbursements

 

 

 

  Purchases

152,000

 

 

  Wages, taxes, and expenses

 

 

 

  Interests

 

 

 

  Equipment purchases

 

 

 

   Total cash disbursements

 

 

 

Ending cash balance

 

 

 

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Solutions For Problems in Chapter 16