Fill in Order Details

  • Submit paper details for free using our simple order form

Make Payment Securely

  • Add funds to your account. There are no upfront payments. The writer will only be paid once you have approved your paper

Writing Process

  • The best qualified expert writer is assigned to work on your order
  • Your paper is written to standard and delivered as per your instructions

Download your paper

  • Download the completed paper from your online account or your email
  • You can request a plagiarism and quality report along with your paper

Cash Management and Budgeting

Assignment 1: LASA 2—Cash Management and Budgeting

The new owner of Bob’s Boats, Bob, just purchased the business and discovered that the prior owner did not have a plan for managing the current assets of the company.  Bob has decided that the place to start is with a cash budget, using the template he used in his prior position.

Click here to download the Excel template for this assignment.

Bob has requested that you to complete the cash budget given the data that he has already retrieved from the company’s records and from his own analysis.

Table-1:

Sales Forecast for the next 9 Months

Month

Sales

January

 $ 162,000.00

February

 $ 168,000.00

March

 $ 324,000.00

April

 $ 485,000.00

May

 $ 648,000.00

 June

 $ 325,000.00

July

 $ 325,000.00

August

 $   80,000.00

September

 $ 162,000.00

Collections on receivables have historically been collected as follows and this pattern is expected to continue:

  • 12% in the Month of Sale
  • 60% in the month following the Sale
  • 28% in the Second Month after the Sale

Bob pays for the labor and materials in the month after they are incurred.  Bob has also compiled the following information on expenses for the upcoming nine month period:

Table-2:

Month

Labor and Materials Expense

Administrative Salaries

Depreciation Charges

Income Taxes

Lease Payments

Miscellaneous Expenses

January

 $        80,000.00

 $         25,000.00

 $     34,500.00

 $     8,500.00

 $       3,000.00

February

 $        80,000.00

 $         25,000.00

 $     34,500.00

 $     8,500.00

 $       3,000.00

March

 $      114,000.00

 $         25,000.00

 $     34,500.00

 $     8,500.00

 $       3,000.00

April

 $      794,000.00

 $         25,000.00

 $     34,500.00

 $     8,500.00

 $       3,000.00

May

 $      275,000.00

 $         25,000.00

 $     34,500.00

 $   58,500.00

 $     8,500.00

 $       3,000.00

 June

 $      210,500.00

 $         25,000.00

 $     34,500.00

 $     8,500.00

 $       3,000.00

July

 $      146,000.00

 $         25,000.00

 $     34,500.00

 $     8,500.00

 $       3,000.00

August

 $        80,000.00

 $         25,000.00

 $     34,500.00

 $   58,500.00

 $     8,500.00

 $       3,000.00

September

 $        81,000.00

 $         25,000.00

 $     34,500.00

 $     8,500.00

 $       3,000.00

 Bob has also identified a cash payment of $175,000 upon completion of a new boat dock in July.  As of March 1st, the company now has $125,000 in cash on hand and would like to maintain a minimum cash balance of $85,000 at all times.
Required:

  1. Prepare a Schedule of Collections and Payments for the six month period beginning in March, using the template provided and the data above.
  2. Prepare a Schedule of Cash Gains and Losses by month for the six month period beginning in March, using the template provided and the data above.
  3. Prepare a Schedule of Cash Surplus or Shortages by month for the six month period beginning in March, using the template provided and the data above.
  4. Prepare a schedule of Net Cash Flow by month for the six month period beginning in March, using the template provided and the data above indicating the timing and amounts that must be borrowed or the amounts that can be re-invested or used in the firm.
  5. Based on the information in the reports you constructed above would you recommend any changes in the credit policy of the firm?  If so, what would they be?  Explain your answers.

***Please include atleast 3 credible references******

 

Assignment 1 Grading Criteria

Maximum Points

Correctly constructed a Schedule of Collections and Payments for the company during the period indicated.

48

Correctly constructed a Schedule of Cash Gains and Shortages for the company during the period indicated.

48

Correctly constructed a Schedule of Cash Surplus or Shortages for the company during the period indicated.

48

Correctly constructed a Schedule of Net Cash Flow for the company during the period indicated.

48

Correctly summarized the findings and identified any needed changes to the credit policy of the firm.

44

Written Components:
Organization (12)
usage and mechanics (12)
APA elements (16) 
Style (4)

64

Total:

300

WHAT OUR CURRENT CUSTOMERS SAY

  • Google
  • Sitejabber
  • Trustpilot
Zahraa S
Zahraa S
Absolutely spot on. I have had the best experience with Elite Academic Research and all my work have scored highly. Thank you for your professionalism and using expert writers with vast and outstanding knowledge in their fields. I highly recommend any day and time.
Stuart L
Stuart L
Thanks for keeping me sane for getting everything out of the way, I’ve been stuck working more than full time and balancing the rest but I’m glad you’ve been ensuring my school work is taken care of. I'll recommend Elite Academic Research to anyone who seeks quality academic help, thank you so much!
Mindi D
Mindi D
Brilliant writers and awesome support team. You can tell by the depth of research and the quality of work delivered that the writers care deeply about delivering that perfect grade.
Samuel Y
Samuel Y
I really appreciate the work all your amazing writers do to ensure that my papers are always delivered on time and always of the highest quality. I was at a crossroads last semester and I almost dropped out of school because of the many issues that were bombarding but I am glad a friend referred me to you guys. You came up big for me and continue to do so. I just wish I knew about your services earlier.
Cindy L
Cindy L
You can't fault the paper quality and speed of delivery. I have been using these guys for the past 3 years and I not even once have they ever failed me. They deliver properly researched papers way ahead of time. Each time I think I have had the best their professional writers surprise me with even better quality work. Elite Academic Research is a true Gem among essay writing companies.
Got an A and plagiarism percent was less than 10%! Thanks!

ORDER NOW


Consider Your Assignments Done

“All my friends and I are getting help from eliteacademicresearch. It’s every college student’s best kept secret!”

Jermaine Byrant
BSN

“I was apprehensive at first. But I must say it was a great experience and well worth the price. I got an A!”

Nicole Johnson
Finance & Economics

Our Top Experts

See Why Our Clients Hire Us Again And Again!


OVER

10.3k
Reviews

RATING
4.89/5
Average

YEARS
13
Mastery

Success Guarantee

When you order form the best, some of your greatest problems as a student are solved!

Reliable

Professional

Affordable

Quick

Using this writing service is legal and is not prohibited by any law, university or college policies. Services of Elite Academic Research are provided for research and study purposes only with the intent to help students improve their writing and academic experience. We do not condone or encourage cheating, academic dishonesty, or any form of plagiarism. Our original, plagiarism-free, zero-AI expert samples should only be used as references. It is your responsibility to cite any outside sources appropriately. This service will be useful for students looking for quick, reliable, and efficient online class-help on a variety of topics.