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Question
qs 20-24 (algo) manufacturing: cash budget lo p2
using the following information:
a. beginning cash balance on march 1, $78,000.
b. cash receipts from sales, $305,000.
c. cash payments for direct materials, $133,000.
d. cash payments for direct labor, $78,000.
e. cash payments for overhead, $35,000.
f. cash payments for sales commissions, $7,000.
g. cash payments for interest, $160 (1% of beginning loan balance of $16,000).
h. cash repayment of loan, $16,000.
prepare a cash budget for march for gado company.
Calculate total cash available
Using the Cash Budgeting knowledge point
Calculate total cash payments
Using the Cash Budgeting knowledge point
Calculate preliminary cash balance
Using the Cash Budgeting knowledge point
Account for financing activities
Using the Financing Activity knowledge point
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| GADO COMPANY | |
|---|---|
| March | |
| Beginning cash balance | \$78,000 |
| Cash receipts from sales | 305,000 |
| Total cash available | \$383,000 |
| Less: Cash payments for | |
| Direct materials | \$133,000 |
| Direct labor | 78,000 |
| Overhead | 35,000 |
| Sales commissions | 7,000 |
| Total cash payments | 253,000 |
| Preliminary cash balance | \$130,000 |
| Financing | |
| Repayment of loan | (16,000) |
| Interest paid | (160) |
| Ending cash balance | \$113,840 |