Cash Budget The Williams Supply Company sells for $50 one product that it purchases for $20. Budgeted sales in total dol
Posted: Sun Jul 03, 2022 1:13 pm
Company sells for $50 one product that it purchases for $20. Budgeted sales in total dollars for the year are $3,000,000. The sales information needed for preparing the July budget follows: Month Sales Revenue May $ 175,000 June July August 240,000 295,000 320,000 Account balances at July 1 include these: Cash $ 125,000 47,200 84,530 47,200 Merchandise inventory Accounts receivable (sales) Accounts payable (purchases) The company pays for one-half of its purchases in the month of purchase and the remainder in the following month. End-of-month inventory must be 40% of the budgeted sales in units for the next month. A 2% cash discount on sales is allowed if payment is made during the month of sale. Experience indicates that 60% of the billings will be collected during the month of sale, 25% in the following month, 12% in the second following month, and 3% will be uncollectible. Total budgeted selling and administrative expenses (excluding bad debts) for the fiscal year are estimated at $1,200,000, of which three-fourths is fixed expense (inclusive of a $36,000 annual depreciation charge). Fixed expenses are incurred evenly during the year. The other selling and administrative expenses vary with sales. Expenses are paid during the month incurred.
Part A Part B Part C Check (c) Prepare schedules of July selling and administrative expenses, separately identifying those requiring cash disbursements. WilliamsSupply Company Schedule of Selling and Administrative Expenses and Cash Disbursements For the Month of July Selling and administrative expenses: Fixed Cash payment Variable Total expenses and cash disbursements Part D Total 0 x 29.500 ✓ 0x s Cash 72.000 ✓ 29.500 ✓ 101,500
Cash Budget The Williams Supply Part A Part B Part C Check (c) Prepare schedules of July selling and administrative expenses, separately identifying those requiring cash disbursements. WilliamsSupply Company Schedule of Selling and Administrative Expenses and Cash Disbursements For the Month of July Selling and administrative expenses: Fixed Cash payment Variable Total expenses and cash disbursements Part D Total 0 x 29.500 ✓ 0x s Cash 72.000 ✓ 29.500 ✓ 101,500