ALT Incorporated is preparing its cash budget for July. The budgeted beginning cash balance is $21,000. Budgeted cash re
Posted: Sat May 07, 2022 7:56 pm
ALT Incorporated is preparing its cash budget for July. The
budgeted beginning cash balance is $21,000. Budgeted cash receipts
total $117,000 and budgeted cash disbursements total $86,000. The
desired ending cash balance is $65,000. The company can borrow up
to $100,000 at any time from a local bank, with interest not due
until the following month.
Required:
Prepare the company's cash budget for July in good form. Make
sure to indicate what borrowing, if any, would be needed to attain
the desired ending cash balance.
budgeted beginning cash balance is $21,000. Budgeted cash receipts
total $117,000 and budgeted cash disbursements total $86,000. The
desired ending cash balance is $65,000. The company can borrow up
to $100,000 at any time from a local bank, with interest not due
until the following month.
Required:
Prepare the company's cash budget for July in good form. Make
sure to indicate what borrowing, if any, would be needed to attain
the desired ending cash balance.