The LaGrange Corporation had the following budgeted sales for the first half of the current year: Cash Sales Credit Sales January $ 30,000 $ 130,000 February $ 35,000 $ 150,000 March $ 36,000 $ 110,000 April $ 31,000 $ 116,000 May $ 41,000 $ 180,000 June $ 60,000 $ 100,000 The company is in the process of preparing a cash budget and must determine the expected cash collections by month. To this end, the following information has been assembled: Collections on sales: 50% in month of sale 40% in month following sale 10% in second month following sale The accounts receivable balance on January 1 of the current year was $72,000, of which $56,000 represents uncollected December sales and $16,000 represents uncollected November sales. The total cash collected during January by LaGrange Corporation would be:
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Home » Business » The LaGrange Corporation had the following budgeted sales for the first half of the current year: Cash Sales Credit Sales January $ 30,000 $ 130,000 February $ 35,000 $ 150,000 March $ 36,000 $ 110,000 April $ 31,000 $ 116,000 May $ 41,000 $ 180,000