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题目
题目

FA25-BL-BUS-F307-1134

单项选择题

Using the information on collections from the previous problem ( if it is not your previous question, find the question asking for the cash projection in June) and also assuming that purchases (COGS) in each month will be equal to 60% of the projected sales, the actual payments will lag the purchases by one month, and the additional disbursements (not related to COGS) will be $175,000 in April, $125,000 in May, and $150,000 in June - determine the net cash flow for June.

选项
A.$82,500
B.$-82,500
C.$-55,000
D.$55,000
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标准答案
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思路分析
To determine the net cash flow for June, we must account for two components: cash inflows (collections) in June and cash outflows (payments) in June. First, the problem states that purchases (COGS) in each month equal 60% of projected sales. It also says payments lag purchases by one month. This means the cash outflow in June due to COGS is the June payment for May purchases, which equals 60% of May projected sales. Second, there are additional disbursements not related to COGS: $150,000 in June. Third, cash inflows in June come from collections in June. These col......Login to view full explanation

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