May  | June  | |
Balance opening  | 11500  | 3400  | 
February  | -------------------------------  | -----------------------------  | 
March  | 10500  | ------------------------------  | 
April  | 29400  | 12600  | 
May  | 12000  | 19600  | 
June  | ------------------------  | 6000  | 
Total cash inflow  | 63400  | 41600  | 
Less disbursement  | -60000  | -45000  | 
Net cash inflow -outflow  | 3400  | -3400  | 
March
Cash sales = 30%of total sales15000
Credit sales = 70% of total sales 35000
Recovery of credit sales in May = 30% of credit sales = 10500
April
Cash sales = 30% of total sales 18000
Credit sales = 42000
Recovery of credit sales in May = 70% of credit sales = 29400
Recovery of credit sales in June= 30% of credit sales = 12600
May
Cash sales = 30% of total sales 12000
Credit sales = 28000
Recovery or credit sales in June = 70% of credit sales = 19600
June
Cash sales = 30% of total sales 6000
Please do make changes in these assignment otherwise every one who copy this assignment as it is will awarded zero marks 
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