The following information was taken from Skysong, Inc. cash budget for the month of April Beginning cash balance $98000 Cash receipts 89000 Cash disbursements 112000 If the company has a policy of maintaining an end of the month cash balance of $82000, the amount the company would have to borrow is

Relax

Respuesta :

Answer:

$7000

Explanation:

$ 98,000+$89,000−$112,000 = $75000 + $7000 = $82000

Otras preguntas