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Cash Flow Schedule and Variance Analysis by 김가온 is a document available to read on EtoBox.

1. The document outlines a schedule of cash collections for May including cash sales of $60,000 and collections on accounts receivable of $54,000 from the beginning balance and $66,000 from May sales. 2. Total cash collections for May are projected to be $180,000 which is the sum of cash sales and collections on accounts receivable. 3. The schedule only provides cash collection information for the month of May.

Author
김가온
Language
EN