In: Accounting
Schedule of Cash Collections of Accounts Receivable
Furry Friends Supplies Inc., a pet wholesale supplier, was organized on May 1. Projected sales for each of the first three months of operations are as follows:
May | $330,000 |
June | 480,000 |
July | 610,000 |
All sales are on account. 59 percent of sales are expected to be collected in the month of the sale, 31% in the month following the sale, and the remainder in the second month following the sale.
Prepare a schedule indicating cash collections from sales for May, June, and July.
Furry Friends Supplies Inc. | |||
Schedule of Collections from Sales | |||
For the Three Months Ending May 31 | |||
May | June | July | |
May sales on account: | |||
Collected in May | |||
Collected in June | |||
Collected in July | |||
June sales on account: | |||
Collected in June | |||
Collected in July | |||
July sales on account: | |||
Collected in July | |||
Total cash collected | $ | $ | $ |
Furry Friends Supplies Inc | |||
Schedule of collection from sales | |||
For the three months Ending May 31 | |||
May | June | July | |
May sales on account | |||
Collected in May | $330,000*59% = $194,700 | ||
Collected in June | $330,000*31% = $102,300 | ||
Collected in July | $330,000*10% = $33,000 | ||
June sales on account | |||
Collected in June | $480,000*59% = $283,200 | ||
Collected in July | $480,000*31% = $148,800 | ||
July sales on account | |||
Collected in July | $610,000*59% = $359,900 | ||
Total cash collected | $ 194,700 | $ 385,500 | $ 541,700 |
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