Q33E

Question

Preparing a financial budget—schedule of cash receipts and schedule of cash payments 

Agua Cool is a distributor of bottled water. For each of the items, compute the amount of cash receipts or payments Agua Cool will budget for September. The solution to one item may depend on the answer to an earlier item. 

a. Management expects to sell equipment that cost \(14,000 at a gain of \)7,000. Accumulated depreciation on this equipment is \(5,000. 

b. Management expects to sell 7,100 cases of water in August and 9,000 cases in September. Each case sells for \)14. Cash sales average 20% of total sales, and credit sales make up the rest. Three-fourths of credit sales are collected in the month of the sale, with the balance collected the following month. 

c. The company pays rent and property taxes of $4,500 each month. Commissions and other selling expenses average 30% of sales. Agua Cool pays one-half of commissions and other selling expenses in the month incurred, with the balance paid the following month.

Step-by-Step Solution

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Answer

Answer


The total cash receipts and cash payments for the month of September is $136,680 and $36,980 respectively.

1Step 1: Preparation of schedule of cash receipts

August

September

Sale of water cases

$99,400

$126,000

Cash sales (20%)

$19,880

$25,200

Credit sales (80%) 3/4th in the month of sales

$59,640

$75,600

Credit sales (80%) balance in following month

$0

$19,880

Cash from sale of equipment

$0

$16,000

Total cash receipts

$79,520

$136,680


2Step 2: Preparation of schedule of cash payments

August

September

Rent and property tax

$4,500

$4,500

Add: Commission and other selling expenses

$9,940

$32,480

Total cash payments

$14,440

$36,980