Preparation of cash budget and interpreting the cash

Assignment Help Financial Accounting
Reference no: EM13356252

Preparation of Cash Budget and interpreting the cash position of the company.

Grenoble Enterprises had sales of $50,000 in March and $60,000 in April.  Forecast sales for May, June, and July are $70,000, $80,00, and $100,000, respectively.  The firm has a cash balance of $5,000 on May 1 and wishes to maintain a minimum cash balance of $5,000.  Given the following date, prepare and interpret a cash budget for the months of May, June, and July.

(1) The firm makes 20% of sales for cash, 60% are collected in the next month, and the remaining 20% are collected in the second month following sale.
(2) The firm receives other income of $2,000 per month
(3) The firm's actual or expected purchases, all made for cash, are $50,000, $70,000, and $80,000 for the months of May through July, respectively.
(4) Rent is $3,000 per month
(5) Wages and salaries are 10% of the previous month's sales.
(6) Cash dividends of $3,000 will be paid in June.
(7) Payment of principle and interest of $4,000 is due in June
(8) A cash purchase of equipment costing $6,000 is scheduled in July
(9) Taxes of $6,000 are due in June

Reference no: EM13356252

Questions Cloud

Find the reorder pointscrumptious spices manufactures a : find the reorder point.scrumptious spices manufactures a special blend of beef marinade. the company buys one of the
To compute present value and internal rate of return for a : to compute present value and internal rate of return for a new product line.auntnbspnbsp sallys sauces inc. is
Forecasting net income using pro forma income statementpro : forecasting net income using pro forma income statementpro forma income statement at the end of last year roberts inc.
To forecast additional funds needed using afn equationcater : to forecast additional funds needed using afn equation.cater corporations sales are expected to increase from 5 million
Preparation of cash budget and interpreting the cash : preparation of cash budget and interpreting the cash position of the company.grenoble enterprises had sales of 50000 in
Preparation of pro forma balance sheetpro forma balance : preparation of pro forma balance sheet.pro forma balance sheet------ peabody and peabody has 2006 sales of 10million.
Preparation of pro forma balance sheetpro forma balance : preparation of pro forma balance sheet.pro forma balance sheet------ peabody and peabody has 2006 sales of 10million.
Classification of different cash flow activitiescash flow : classification of different cash flow activities.cash flow classificationsfor each of the following items indicate
Computation of retained earningsretained earnings : computation of retained earnings.retained earnings computations during 2006 edgemont corporation had revenues of 230000

Reviews

Write a Review

Financial Accounting Questions & Answers

  Audit report and financial statements for the system

Audit report and financial statements for the system

  Evaluating a capital investment project

Which methods of evaluating a capital investment project ignore the time value of money and the first line item in the operating activities section of a spreadsheet for a statement of cash flows prepared using the indirect method

  Draw on face of financial statements

Show Conclusions you draw on face of financial Statements - Cash flow statement analysis is a very important part of analyzing a company's overall financial health.

  Calculate the effective interest rate

Calculate the discount rate used by the lender and calculate the effective interest rate (APR) on the loan - Where on the balance sheet would the account balance representing funds received for performances not yet presented be classified?

  The dempere imports companys eps in 2009 was 282 and in

the dempere imports companys eps in 2009 was 2.82 and in 2004 it was 1.65. the companys payout ratio is 30 and the

  Explain how many units of each product should jeepster make

Explain how many units of each product should Jeepster make in order to maximize profits?

  Prepare a statement of cash flows for 2012

Prepare a statement of cash flows for 2012 using the indirect method in the Operating Activities section and problem Statement of Cash Flows Indirect Method

  Describe breakeven point

assume that the company can produce up to 150,000 units (relevant range for this cost structure) and it typically sells 110,000 units per month. A customer has placed a bid for 30,000 gadgets; however, they are willing to pay only $3 each. Would C..

  Number of units to be produced to maintain the same net

number of units to be produced to maintain the same net income.wilson is a wholesale distributor of widgets. the

  Lease renting or purchase of machine decision making based

lease renting or purchase of machine decision making based on present value at a given discount rate of maintenance

  Is francine necessarily right

Long-term bonds are a great investment because their interest rate is over 20%. Is Francine necessarily right?

  Check which of the expenses are deductible

Recognize which of these expenses are deductible and the amount that is deductible. Show whether they are deductible for or from AGI.

Free Assignment Quote

Assured A++ Grade

Get guaranteed satisfaction & time on delivery in every assignment order you paid with us! We ensure premium quality solution document along with free turntin report!

All rights reserved! Copyrights ©2019-2020 ExpertsMind IT Educational Pvt Ltd