Answer:
$54,600
Explanation:
Cash Budget for the 3rd Quarter
July Aug Sep
Receipts :
Cash Collections $25,000 $22,000 $20,000
Total Receipts $25,000 $22,000 $20,000
Expenditures :
Purchases of Inventory $5,800 $7,000 $6,200
Operating Expenses $3,500 $4,600 $5,300
Total Expenditures $9,300 $11,600 $11,500
Net Receipts $15,700 $10,400 $8,500
Balance b/d $20,000 $35,700 $46,100
Balance c/d $35,700 $46,100 $54,600
therefore,
The projected cash balance at the end of September is $54,600