austin corporation prepares monthly cash budgets here are relev 269691

Austin Corporation prepares monthly cash budgets. Here are relevant data from operating budgets for 2012.

?.

All sales and purchases are on account. Budgeted collections and disbursement data are given below. All other expenses are paid in the month incurred except for administrative expenses, which include $1,000 of depreciation per month.

Other data.

1. Collections from customers: January $326,000; February $378,000.

2. Payments for purchases: January $110,000; February $135,000.

3. Other receipts: January: collection of December 31, 2011, notes receivable $15,000;

February: proceeds from sale of securities $4,000.

4. Other disbursements: February $10,000 cash dividend.

The company’s cash balance on January 1, 2012, is expected to be $46,000. The company wants to maintain a minimum cash balance of $40,000.

Instructions

Prepare a cash budget for January and February

Don't use plagiarized sources. Get Your Custom Essay on
austin corporation prepares monthly cash budgets here are relev 269691
For $10/Page 0nly
Order Essay
Calculator

Calculate the price of your paper

Total price:$26

Need a better grade?
We've got you covered.

Order your paper