CASH BUDGET - MANAGEMENT ACCOUNTING
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- Опубліковано 13 вер 2024
- A cash budget is an estimation of the cash flows of a business over a specific period of time. This could be for a weekly, monthly, quarterly, or annual budget. This budget is used to assess whether the entity has sufficient cash to continue operating over the given time frame.
Thank you so much. God bless you. Preparing for exam and I feel so confident about it.
Woow, great to hear, I believe you passed your exams
A good concept to help the students understand the MOC you populated for Aug 24 BDA exam. Thanks
Thank you! This is so helpful in class.
Great, glad you have enjoyed.
Very interesting and enjoyable.
Have really gained the basic concept in you tutorial discussion
Woow. Amazing. I am glad you enjoyed the class.☺️☺️
Thank you sir,just understood the concept and am heading to do my exam now... Let God bless you 🙏🏽
You are most welcome. I am glad you enjoyed the class.
Thank you, sir
very interesting
Glad you think so! and i hope you have learnt something.
Great content
very clear👏👏
Great you have learnt something.
@@AringoFredrick absolutely 💯💯
Shouldn’t the cash collection for the month of November be 33,000?
Hello ,
sorry what if you are given minimum balance how can we do that calc
Hello Latifa, That is even much easier because cash balance will be capped. In the event that you have a balance, which is less than that, you will take a loan, if more it's okay
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Thank you.
When preparing the cash budget, why do we start the months from October and not August
The question requires you to prepare cash budget showing the months of October,Nov and Dec
Which year paper is this, kindly?
Thank you
You're welcome
Can I ask Do we put loan expected on the cash budget?
If it is within the budget period and will be received, then you can include it in your cash budget.
As said, the cash budget is also a forecast.
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