E. Extract from the Cash Budget for April and May 2021:…
E. Extract from the Cash Budget for April and May 2021: APRIL R MAY R Cash sales 78 300 (i) Loan received 316 800 0 Payment to creditors 134 583 (ii) Salary of manager 15 000 16 500 Wages of sales staff 38 400 38 400 Operating expenses ? (iii) Drawings 18 000 (iv) Water and electricity 15 400 16 632 Deposit on new equipment 12 600 0 Instalment on new equipment 0 (v) Instalment on loan 0 (vi) Interest on loan 0 2 310
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