Answer:
There would be in the month an excess cash available of $29,000.
Step-by-step explanation:
In order to calculate the excess (deficiency) of cash available over disbursements for the month, first we have to calculate the total cash.
Total cash= beginning cash balance+cash receipts
=$10,000+$85,000
=$95,000
There are budgeted cash disbursements of $66,000, so $95,000-$66,000=$29,000, hence there would be in the month an excess cash available of $29,000.