How can this property better manage its working capital


 

May

June

July

August September

Credit Sales

$65,500

$58,950

$53,055

$47,750

$52,524

70% collected in next month

45,850

41,265

37,139

33,425

36,767

30% collected in two months

19,650

17,685

15,917

14,325

15,757

Cash Sales

18,500

16,650

14,985

13,487

14,835

Credit Purchases-due in 30 days

24,500

24,990

25,490

26,000

26,520

Cash Purchases

4,100

4,141

4,182

4,224

4,266

Payroll-34% of total sales

28,560

25,704

23,134

20,820

22,902

Service on mortgage-Quarterly payments

 

15,450

 

 

15,450

Quarterly Insurance Payment

 

5,400

 

 

5,400

Partner distribution-due quarterly

 

10,000

 

 

10,000

Question

1. From the information provided in the chart, determinee available cash for the months of July, August, and September. Assume a beginning cash balance of dollar (10,000) in July.

2. How can this property better manage its working capital? Provide specific suggestions for Watree Lodge management.

Request for Solution File

Ask an Expert for Answer!!
Financial Management: How can this property better manage its working capital
Reference No:- TGS02722313

Expected delivery within 24 Hours