Q1. Calculation of budgeted cash collections.
The Patuxent Rail Company's sales for the next three months are as follows:
February
|
$165,000
|
March
|
$170,000
|
April
|
$155,000
|
Collection history for the company indicates that 60% of sales are collected in the month of the sale, 38% is collected in the following month, and 2% of sales are uncollectible.
Budgeted cash receipts for April are?
Q2. Calculation of budgeted purchases of raw materials.
Each unit produced by the Kinderware Company requires 6 pounds of raw materials. The company has 12,000 pounds of material on hand at the beginning of May. The raw materials inventory must be equal to 10% of the next month's production. Budgeted production for May and June are as follows:
May
|
20,000 units
|
June
|
25,000 units
|
Budgeted purchases of raw materials sales for May are?