Make a cash budget for cde ltd for the month of august

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Reference no: EM132580412

CDE Ltd has provided the following budgeted Income Statement extract for the July-September quarter in 2020.

                                                  July           August                September

                                                 $,000            000                       000

Sales (all on credit)               85                  88               91

Purchases                        (43)                 (45)                (47)

Depreciation expense             (5)                  (5)                   (5)

Electricity expense              (6)                    (6)                  (6)

Other expenses                   (25)                  (25)                (25)

You are also given the following additional information:

  1. All sales are collected in cash the month after sale.
  2. All purchases are made on credit and paid for in cash the month after purchase.
  3. Electricity is paid at the end of each quarter (i.e. on 30 September)
  4. Other expenses are paid in cash in the same month they are incurred.
  5. The business plans to buy a delivery van in August for $40,000 cash.
  6. The cash balance is $17,000 on 31 July 2020.

Question 1: make a cash budget for CDE Ltd for the month of August and September.

Question 2: Assess the cash position of CDE Ltd. Should CDE Ltd proceed with the purchase of delivery van as planned? Give your reasons and suggest alternatives if applicable.

Reference no: EM132580412

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