Schedule of Cash Payments Operations Schedule of cash payments for...
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Accounting
Schedule of Cash Payments Operations
Schedule of cash payments for a service company EastGate Physical Therapy Inc, is planning its cavh payments for operations for the fint quarter (danuary-March). The Acorved Expenses Payable balance on January 1 is 529,200. The budgeted expenses for the nent buree months are as followsi Other operating expenses indude $3,600 of monthly depreciation expense and $800 of monthly insurance expense that was prepaid for the year on May 1 of the previous yeac of the remaining expenses, ao\% are paid in the month in which they are incurred, with the remainder paid in the foliowing month, The Accrued Expenses Payable balance on January 1 relates to the expenses incurred in December. Prepare at schedule of cash payments for operations for Janvary, February, and March. Calculate cash payments in dasuary, Februacy, and March. 1 more Cheak My Work uses remeing

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