Schedule of Cash Receipts Rosita Flores owns Rosita's Mexican Restaurant in Tempe, Arizona. Rosita's is an affordable restaurant near campus and several hotels. Rosita accepts cash and checks. Checks are deposited immediately. The bank charges $0.50 per check; the amount per check averages $75. "Bad" checks that Rosita cannot collect make up 3 percent of check revenue. During a typical month, Rosita's has sales of $45,000. About 80 percent are cash sales. Estimated sales for the next three months are as follows: April $32,000 May 45,000 June 56,000 Rosita thinks that it may be time to refuse to accept checks and to start accepting credit cards. She is negotiating with VISA/MasterCard and American Express, and she would start the new policy on April 1. Rosita estimates that with the drop in sales from the "no checks" policy and the increase in sales from the acceptance of credit cards, the net increase in sales will be 30 percent. The credit cards do involve added costs as follows: VISA/MasterCard: Rosita will accumulate these credit card receipts throughout the month and submit them in one bundle for payment on the last day of the month. The money will be credited to her account by the fifth day of the following month. A fee of 3.5 percent is charged by the credit card company. American Express: Rosita will accumulate these receipts throughout the month and send them to American Express for payment on the last day of the month. American Express will credit her account by the sixth day of the following month. A fee of 5.5 percent is charged by American Express. Rosita estimates the following breakdown of revenues among the various payment methods. Cash 10% VISA/Mastercard 75    American Express 15    Required: Prepare a schedule of cash receipts for May and June that incorporates the changes in policy. Round your intermediate computations and final answers to the nearest dollar. Rosita's Mexican RestaurantSchedule of Cash ReceiptsFor the Months of May and June   May June Cash sales: $fill in the blank 1 $fill in the blank 2 VISA/MasterCard: fill in the blank 3 fill in the blank 4 American Express: fill in the blank 5 fill in the blank 6 Total $fill in the blank 7 $fill in the blank 8

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

Rosita Flores owns Rosita's Mexican Restaurant in Tempe, Arizona. Rosita's is an affordable restaurant near campus and several hotels. Rosita accepts cash and checks. Checks are deposited immediately. The bank charges $0.50 per check; the amount per check averages $75. "Bad" checks that Rosita cannot collect make up 3 percent of check revenue.

During a typical month, Rosita's has sales of $45,000. About 80 percent are cash sales. Estimated sales for the next three months are as follows:

April $32,000
May 45,000
June 56,000

Rosita thinks that it may be time to refuse to accept checks and to start accepting credit cards. She is negotiating with VISA/MasterCard and American Express, and she would start the new policy on April 1. Rosita estimates that with the drop in sales from the "no checks" policy and the increase in sales from the acceptance of credit cards, the net increase in sales will be 30 percent. The credit cards do involve added costs as follows:

VISA/MasterCard: Rosita will accumulate these credit card receipts throughout the month and submit them in one bundle for payment on the last day of the month. The money will be credited to her account by the fifth day of the following month. A fee of 3.5 percent is charged by the credit card company.

American Express: Rosita will accumulate these receipts throughout the month and send them to American Express for payment on the last day of the month. American Express will credit her account by the sixth day of the following month. A fee of 5.5 percent is charged by American Express.

Rosita estimates the following breakdown of revenues among the various payment methods.

Cash 10%
VISA/Mastercard 75   
American Express 15   

Required:

Prepare a schedule of cash receipts for May and June that incorporates the changes in policy. Round your intermediate computations and final answers to the nearest dollar.

Rosita's Mexican RestaurantSchedule of Cash ReceiptsFor the Months of May and June
  May June
Cash sales: $fill in the blank 1 $fill in the blank 2
VISA/MasterCard: fill in the blank 3 fill in the blank 4
American Express: fill in the blank 5 fill in the blank 6
Total $fill in the blank 7 $fill in the blank 8
 

 

 

 

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