Schedule C: Budgeted Monthly Cash Disbursements for Operating Costs Item OctoberNovember declination4th Quarter Salaries and wages (15% of sales) $ 8,640$ 10,800$14,400$33,840 Rent (5% of sales) 2,8803,6004,80011,280 Other cash operational costs (4% of sales) 2,304 2,880 3,840 9,024 Total $13,824$17,280$23,040$54,144 4.Schedule D: Budgeted Total Monthly Cash Disbursements Item OctoberNovemberDecember4th Quarter Purchases $49,392$65,856$29,635.2$144,883.2 Cash operating costs 13,82417,28023,04054,144 unused fixtures 720 480 -- 1,200 Total $63,936$83,616$52,675.2$200,227.2! 5.Schedule E: Budgeted Cash Receipts and Disbursements ItemOctoberNovemberDecember4th Quarter Receipts $55,200$68,400$90,000$213,600 Disbursements 63,936 83,616 52,675.2 200,277.2 Net cash augment$37,324.8$ 13,372.8...If you want to get a full essay, order it on our website: BestEssayCheap.com
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