Final answer:
This detailed answer explains how to prepare a schedule of expected cash collections on sales, a schedule of expected cash disbursements for merchandise purchases and selling and administrative expenses, and a cash budget. It provides step-by-step calculations and shows the cash balance at the end of the year.
Step-by-step explanation:
1-a. Schedule of expected cash collections on sales by quarter:
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Total cash collections: $836,500
1-b. Schedule of expected cash disbursements for merchandise purchases:
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Total cash disbursements: $745,500
2. Expected cash disbursements for selling and administrative expenses:
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Total cash disbursements for selling and administrative expenses: $364,500
3. Cash budget:
Quarter 1:
Quarter 2:
Quarter 3:
Quarter 4:
Total cash collections: $836,500
Total cash disbursements: $745,500
Cash balance at the end of the year: $861,400