Cash Budget Beginning cash balance Plus Cash collections Cas
Cash Budget Beginning cash balance Plus: Cash collections Cash available Less: Cash payments Purchases of direct materials Operating expenses Capital expenditures Ending cash balance Aug $34,000 $8,000 $11,000 $51,000 $51,000 45,000 85,000 $59,000 $56,000 36,000 9,000 1,000 40,000 30,000 30,800 7,400 $8,000 $11,000 $6,800 1,000 9,000 Subsequently, the marketing department revised its figures for cash collections. New data are as follows: $53,000 in July $56,000 in August, and $43,000 in September. Based on the new data, calculate the new projected cash balance at the end of September. OA. $6,800 ? B. $18,000 O C. $11,800 OD, $10,000
Solution
Calculate new project cash balance :
So answer is c) $11800
| Jul | Aug | Sep | |
| Beginning cash balance | 34000 | 10000 | 18000 |
| Cash collection | 53000 | 56000 | 43000 |
| Cash available | 87000 | 66000 | 61000 |
| Less; Cash payment | |||
| Purchase of direct material | 36000 | 9000 | 11000 |
| Operating expense | 40000 | 30000 | 30800 |
| Capital expense | 1000 | 9000 | 7400 |
| Ending cash balance | 10000 | 18000 | 11800 |
