SIMAR Inc. provides the following information to prepare the cash budget for the first three months of 2020.. 1- Total s
Posted: Thu Dec 23, 2021 9:08 am
SIMAR Inc. provides
the following information to prepare the cash budget for the first
three months of 2020.. 1- Total sales in November and December were
$ 130,000, respectively
and $ 140,000.
- 01/2020: $ 150,000
- 02/2020: $ 120,000
-03/2020: $ 130,000
3 - The distribution of the cashing of
sales is done as follows.
Prepare
cash Budget for
the first three
months?
the following information to prepare the cash budget for the first
three months of 2020.. 1- Total sales in November and December were
$ 130,000, respectively
and $ 140,000.
- 01/2020: $ 150,000
- 02/2020: $ 120,000
-03/2020: $ 130,000
3 - The distribution of the cashing of
sales is done as follows.
Prepare
cash Budget for
the first three
months?