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Cash Disbursement Timber Company is in the process of preparing its budget for n

ID: 2546287 • Letter: C

Question

Cash Disbursement
Timber Company is in the process of preparing its budget for next year. Cost of goods sold has been estimated at 70 percent of sales. Lumber purchases and payments are to be made during the month preceding the month of sale. Wages are estimated at 15 percent of sales and are paid during the month of sale. Other operating costs amounting to 10 percent of sales are to be paid in the month following the month of sale. Additionally, a monthly lease payment of $24,000 is paid for computer services. Sales revenue is forecast as follows

Required
Prepare a schedule of cash disbursements for April, May, and June.
Do not use a negative sign with your answers.

Month Sales Revenue February $180,000 March 220,000 April 230,000 May 270,000 June 250,000 July 290,000

Explanation / Answer

Timber Company Schedule of Cash Disbursements April, May, and June April May June Lumbers purchases 189000 175000 203000 Wages 34500 40500 37500 Operating expenses 22000 23000 27000 Lease payment 24000 24000 24000 Total disbursements 269500 262500 291500

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