chedule of Cash Collections from Sales or the Three Months Ending December 31 October November December eceipts from cash sales: Cash sales eptember sales on account: Collected in October ctober sales on account:

FINANCIAL ACCOUNTING
10th Edition
ISBN:9781259964947
Author:Libby
Publisher:Libby
Chapter1: Financial Statements And Business Decisions
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**Schedule of Cash Collections of Accounts Receivable**

OfficeMart Inc. has "cash and carry" customers and credit customers. OfficeMart estimates that 25% of monthly sales are to cash customers, while the remaining sales are to credit customers. Of the credit customers, 25% pay their accounts in the month of sale, while the remaining 75% pay their accounts in the month following the month of sale. Projected sales for the next three months are as follows:

- October: $110,000
- November: $138,000
- December: $201,000

The Accounts Receivable balance on September 30 was $74,000.

Prepare a schedule of cash collections from sales for October, November, and December. Round all calculations to the nearest whole dollar.

---

**OfficeMart Inc.**

**Schedule of Cash Collections from Sales for the Three Months Ending December 31**

|                                 | October | November | December |
|---------------------------------|---------|----------|----------|
| **Receipts from cash sales:**   |         |          |          |
| Cash sales                      | $       | $        | $        |
| **September sales on account:** |         |          |          |
| Collected in October            | $       |          |          |
| **October sales on account:**   |         |          |          |
| Collected in October            | $       |          |          |
| Collected in November           |         | $        |          |
| **November sales on account:**  |         |          |          |
| Collected in November           |         | $        |          |
| Collected in December           |         |          | $        |
| **December sales on account:**  |         |          |          |
| Collected in December           |         |          | $        |
| **Total cash receipts**         | $       | $        | $        |

Fill in the appropriate values to complete the schedule of cash collections.
Transcribed Image Text:**Schedule of Cash Collections of Accounts Receivable** OfficeMart Inc. has "cash and carry" customers and credit customers. OfficeMart estimates that 25% of monthly sales are to cash customers, while the remaining sales are to credit customers. Of the credit customers, 25% pay their accounts in the month of sale, while the remaining 75% pay their accounts in the month following the month of sale. Projected sales for the next three months are as follows: - October: $110,000 - November: $138,000 - December: $201,000 The Accounts Receivable balance on September 30 was $74,000. Prepare a schedule of cash collections from sales for October, November, and December. Round all calculations to the nearest whole dollar. --- **OfficeMart Inc.** **Schedule of Cash Collections from Sales for the Three Months Ending December 31** | | October | November | December | |---------------------------------|---------|----------|----------| | **Receipts from cash sales:** | | | | | Cash sales | $ | $ | $ | | **September sales on account:** | | | | | Collected in October | $ | | | | **October sales on account:** | | | | | Collected in October | $ | | | | Collected in November | | $ | | | **November sales on account:** | | | | | Collected in November | | $ | | | Collected in December | | | $ | | **December sales on account:** | | | | | Collected in December | | | $ | | **Total cash receipts** | $ | $ | $ | Fill in the appropriate values to complete the schedule of cash collections.
Expert Solution
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Schedule of cash collections shows the cash receipts and cash inflows from different customers. Customers pay on cash or take credit which they pay later. The schedule of cash collections take into consideration the timings of cash inflows.

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