Prepare a schedule of budgeted cash collections from sales for May, June, and July. Included a three month summary of estimated cash collections.

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Cash Receipts The sales budget for Perrier Inc. is forecasted as follows:

May $120,000

June $160,000

July $180,000

August $120,000

To prepare a cash budget, the company must determine the budgeted cash collections from sales. Historically, the following trends has been established regarding cash collection of sales:

60 percent in month of sales.

20 percent in month following sale.

15 percent in the second mont following sale.

5 percent uncollectible.

The company give a 2 percent cash discount for payments made by customers during the month of sale. The accounts receivable balance on April 30 is $24,000, of which $7,000 represents uncollected March sales and $17,000 represents uncollected April sales.

Required

Prepare a schedule of budgeted cash collections from sales for May, June, and July. Included a three month summary of estimated cash collections.

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Answer:

  May June July Total
Sales 120,000 160,000 180,000 460,000
60%os current month sale 72000 96000 108000 276,000
Less: 2% discounts 1440 1920 2160 5,520
20% of previous month sale 8500 24000 32000 64,500
15% of second previous month sale 5250 6375 18000 29,625
        0
  84310 124455 155840 364,605

 

Working notes for the above answer

April sales collection remaining=40%  
April sales=17000/40% 42500
20% cash collection in May=42500*20% 8500
   
March Sales collection remaining =20%  
March sales=7000/20% 35000
15% cash collection in =35000*15% 5250
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