Reference no: EM132737823
Question - The following instalment payment schedule is for an instalment note payable:
Interest Period Cash Payment Interest Expense Reduction of Principal Principal Balance
Jan. 1, 2021 $110,000
Jan. 1, 2022 $25,407 $5,500 $19,907 90,093
Jan. 1, 2023 25,407 4,505 20,902 69,191
Jan. 1, 2024 25,407 3,460 21,947 47,244
Jan. 1, 2025 25,407 2,362 23,045 24,199
Jan. 1, 2026 25,407 1,208 24,199 0
Required - Is this a fixed principal or blended payment schedule?