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Schedule of Cash Payments

Tadpole Learning Systems Inc. was organized on February 28.Projected selling and administrative expenses for each of the firstthree months of operations are as follows:

March $171,300
April 161,000
May 146,500

Depreciation, insurance, and property taxes represent $37,000 ofthe estimated monthly expenses. The annual insurance premium waspaid on February 28, and property taxes for the year will be paidin November. 58% of the remainder of the expenses are expected tobe paid in the month in which they are incurred, with the balanceto be paid in the following month.

Prepare a schedule indicating cash payments for selling andadministrative expenses for March, April, and May. Enter allamounts as positive numbers.

TADPOLE LEARNING SYSTEMS INC.
Schedule of Cash Payments for Selling andAdministrative Expenses
For the Three Months Ending May 31
March April May
March expenses:
Paid in March $
Paid in April $
April expenses:
Paid in April
Paid in May $
May expenses:
Paid in May
Total cash payments $ $ $

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Collen Von
Collen VonLv2
28 Sep 2019

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