Respuesta :
Answer:
$ 16000
Explanation:
The excess ( deficiency ) of cash available over disbursements for July = beginning cash balance + budgeted cash receipts total - budgeted cash disbursements total = $ 15000 + $ 178000 - $ 177000 = $ 16000
Answer:
Excess of cash available over disbursements for July is $16,000
Explanation:
This can be calculated as follows:
Details Amount ($)
Budgeted beginning cash balance 15,000
Budgeted cash receipts 178,000
Total budgeted cash available 193,000
Budgeted cash disbursements (177,000)
Excess of cash available over disbursements 16,000
Financing ($43,000 − $16,000) 27,000
Ending cash balance 43,000
Therefore, excess of cash available over disbursements for July is $16,000