Ask Question
26 September, 08:19

Q5. Einstein Company is preparing its cash budget for the upcoming month. The beginning cash balance for the month is expected to be $10,000. Budgeted cash receipts are $85,000, while budgeted cash disbursements are $66,000. Einstein Company wants to have an ending cash balance of $25,000. The excess (deficiency) of cash available over disbursements for the month would be:

+2
Answers (1)
  1. 26 September, 11:20
    0
    There would be in the month an excess cash available of $29,000.

    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.
Know the Answer?
Not Sure About the Answer?
Get an answer to your question ✅ “Q5. Einstein Company is preparing its cash budget for the upcoming month. The beginning cash balance for the month is expected to be ...” in 📙 Business if there is no answer or all answers are wrong, use a search bar and try to find the answer among similar questions.
Search for Other Answers