Accountancy, asked by premsaipanigrahi7243, 2 days ago

ABC Ltd., wishes to arrange overdraft facilities with its bankers during the period April to June 2007. When it will be manufacturing mostly for stock. Prepare a cash budget for the above period from the following data, indicating the extent of the bank facilities the company will require at the end of each month. (a) Credits Sales (Rs.) Purchase (Rs.) Wages(Rs.) Feb 2007 180000 124800 12000 Mar 192000 144000 14000 Apr 10800 243000 1000 May 174000 246000 1000 June 126000 268000 15000 (b) 50% of credit sales are realize in the month of following the sales and the reaming 50% in the second month following creditors are paid in the month following the month of purchase. (c) Cash at bank on 1.4.2007 (estimated) Rs. 25000.

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Answers

Answered by vv812492
0

Explanation:

This answer is A-B and correct answer

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