Cash Budget The owner of a plumbing supply company has requested a cash budget for...
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Accounting
Cash Budget
The owner of a plumbing supply company has requested a cash budget for June. After examining the records of the company, you find the following:
Cash balance on June 1 is $786.
Actual sales for April and May are as follows:
Line Item Description
April
May
Cash sales
$10,000
$18,000
Credit sales
28,900
35,000
Total sales
$38,900
$53,000
Credit sales are collected over a 3-month period: 30% in the month of sale, 40% in the second month, and 20% in the third month. The sales collected in the third month are subject to a 2% late fee, which is paid by those customers in addition to what they owe. The remaining sales are uncollectible.
Inventory purchases average 64% of a month's total sales. Of those purchases, 20% are paid for in the month of purchase. The remaining 80% are paid for in the following month.
Salaries and wages total $11,750 per month, including a $4,500 salary paid to the owner.
Rent is $4,500 per month.
Taxes to be paid in June are $6,780.
The owner also tells you that he expects cash sales of $18,600 and credit sales of $58,000 for June. No minimum cash balance is required. The owner of the company doesn't have access to short-term loans.
1. Prepare a cash budget for June. Include supporting schedules for cash collections and cash payments. Round calculations and final answers to th nearest dollar. Be sure to enter nercentaaes as whole numbers
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