Table 14-14 Cash Receipts for Next Year Month Jan. Feb. March April May June July Aug. Sept. Oct. Nov. Dec. Total Cash Receipts ($) 605,600 707,200 653,600 720,900 708,100 760,400 506,500 466,000 364,700 317,400 440,000 632,400 6,882,800 5) For the cash receipts displayed in Table 14-14 on page 189, prepare a monthly cash receipts curve and an annual cumulative cash receipts curve.