Prepare jana cash budget for the particular month


Problem:

The following information is budgeted for Jana supply company for the next quarter:

                                                         April           May            June
Sales                                              $110,000    $130,000    $180,000
Merchandise purchases                      $85,000      $92,000    $105,000
Selling and administrative expenses    $50,000     $50,000       $50,000

All sales at Jana are on credit. 40% are collected in the month of sale, 58% in the month following the sale and the remaining 2% are uncollectible. Merchandise purchases are paid in full the month following the month of purchase. The selling and administrative expenses above include $8,000 of depreciation on display fixtures and warehouse equipment. All other selling and administrative expenses are paid as incurred. McFrason wants to maintain a cash balance of $15,000. Any amount below this can be borrowed from a local bank as needed in increments of $1,000. All borrowings are made at month end.

Prepare Jana cash budget for the month of May. Use good form. Jana expects to have $24,000 of cash on hand at the beginning of May.

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Finance Basics: Prepare jana cash budget for the particular month
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