Respuesta :
Answer:
Cash budget
Particulars          January    February      March
Beginning Balance  $ 16,000  $ 11,200  $ 10,000
Cash Receipts     $ 240,000  $ 232,000  $ 272,000
Cash for disbursements(y) $ 256,000 Â $ 243,200 Â $ 282,000
Less: Cash payments  Â
Inventories           $ 220,000  $ 164,000  $ 190,000
S & A expenses       $ 62,000    $ 64,000  $ 54,000
Interest on line of credit  $ 800      $ 800      $ 800
Total disbursements (z) Â $ 282,800 Â $ 228,800 Â $ 244,800
Excess/Deficiency x=y-z  $ (26,800)  $ 14,400  $ 37,200
Min. cash required       $ 10,000  $ 10,000  $ 10,000
Total cash needed   $ 36,800  $ (4,400)  $ (27,200)
Financing           $ 38,000  $ -           $ -
Interest at 1% per month         $ 380      $ 340
Balance cash before repayment  $ 14,020  $ 36,860
Repayment              $ 4,020  $ 26,860
Ending Balance  $ 11,200  $ 10,000  $ 10,000
The cash budget will be:
Beginning Balance  $16,000    $11,200      $10,000
Cash Receipts     $240,000   $232,000    $272,000
Cash for disbursements $256,000 Â $243,200 Â $282,000
Less: Cash payments  Â
Inventories            $220,000  $164,000   $190,000
S & A expenses        $62,000    $64,000  $54,000
Interest online of credit  $800      $ 800      $800
Total disbursements   $282,800  $228,800  $244,800
Excess/Deficiency x=y-z  $ (26,800)  $ 14,400  $ 37,200
Min. cash required      $ 10,000  $ 10,000  $ 10,000
Total cash needed   $ 36,800  $ (4,400)  $ (27,200)
Financing          $ 38,000   $ -           $ -
Interest at 1% per month        $380      $ 340
Balance cash before repayment $ 14,020 Â $ 36,860
Repayment              $ 4,020  $ 26,860
Ending Balance  $ 11,200  $ 10,000  $ 10,000
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