Prepare the cash budget of Meridian Machine Tools LLC for March to May 2020 from the following ormation. e company estimates its sales, purchases and other eexpenses as following January February March April Мay Particulars OMR OMR OMR OMR OMR 120,000 180,000 270,000 405,000 180,000 270,000 Sales 80,000 Purchases 60,000 90,000 135,000 Wages Admin –Expenses 18,000 23,000 32,000 45,000 50,000 10,000 20,000 25,000 30,000 35,000 Selling & Distribution Expenses 48,000 42,000 12,000 24,000 36,000 ne company also provides additional information to its estimates: 1. Cash sale are 20% of total sales; 50% of sales amount is collected in one month and the balance in two months 2. 25% of purchases are made on cash basis; 50% of purchases amount is paid within one month and the balance in two months 3. The time lag in the payments of wages is half (1/2) of the month and that of Admin. Expenses one month; Admin Expenses for each month include deprecation amounting to RO 5,000. 4. 10,000 6% debentures of RO 10 each were issued in January 2019. The interest is due in June and December every year 5. Selling and distribution expenses are paid in the same month 6. Cash balance at the end of February RO.150,000 You are required to estimate cash receipts and cash payments prepare cash budget March to May 2020.

Essentials Of Investments
11th Edition
ISBN:9781260013924
Author:Bodie, Zvi, Kane, Alex, MARCUS, Alan J.
Publisher:Bodie, Zvi, Kane, Alex, MARCUS, Alan J.
Chapter1: Investments: Background And Issues
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. Prepare the cash budget of Meridian Machine Tools LLC for March to May 2020 from the following
formation.
he company estimates its sales, purchases and other eexpenses as following
January February March
April
May
Particulars
OMR
OMR
OMR
OMR
OMR
120,000 180,000
90,000 135,000
270,000 405,000
180,000 270,000
Sales
80,000
Purchases
60,000
Wages
18,000
23,000
32,000
45,000
50,000
Admin –Expenses
10,000
20,000
25,000
30,000
35,000
Selling & Distribution
Expenses
12,000
24,000
36,000
48,000
42,000
he company also provides additional information to its estimates:
1. Cash sale are 20% of total sales; 50% of sales amount is collected in one month and the balance in
two months
2. 25% of purchases are made on cash basis; 50% of purchases amount is paid within one month and
the balance in two months
3. The time lag in the payments of wages is half (1/2) of the month and that of Admin. Expenses one
month; Admin Expenses for each month include deprecation amounting to RO 5,000.
4. 10,000 6% debentures of RO 10 each were issued in January 2019. The interest is due in June and
December every year
5. Selling and distribution expenses are paid in the same month
6. Cash balance at the end of February RO.150,000
You are required to estimate cash receipts and cash payments prepare cash budget March to May 2020.
Transcribed Image Text:. Prepare the cash budget of Meridian Machine Tools LLC for March to May 2020 from the following formation. he company estimates its sales, purchases and other eexpenses as following January February March April May Particulars OMR OMR OMR OMR OMR 120,000 180,000 90,000 135,000 270,000 405,000 180,000 270,000 Sales 80,000 Purchases 60,000 Wages 18,000 23,000 32,000 45,000 50,000 Admin –Expenses 10,000 20,000 25,000 30,000 35,000 Selling & Distribution Expenses 12,000 24,000 36,000 48,000 42,000 he company also provides additional information to its estimates: 1. Cash sale are 20% of total sales; 50% of sales amount is collected in one month and the balance in two months 2. 25% of purchases are made on cash basis; 50% of purchases amount is paid within one month and the balance in two months 3. The time lag in the payments of wages is half (1/2) of the month and that of Admin. Expenses one month; Admin Expenses for each month include deprecation amounting to RO 5,000. 4. 10,000 6% debentures of RO 10 each were issued in January 2019. The interest is due in June and December every year 5. Selling and distribution expenses are paid in the same month 6. Cash balance at the end of February RO.150,000 You are required to estimate cash receipts and cash payments prepare cash budget March to May 2020.
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