Entries by davie

calculate ending loan balance in a cash budget

 AZTEC COMPANY Cash Budget June and July   June July Beginning cash balance   $   140,000.00  $                                     47,468.00 Cash receipts from customers   $   515,200.00  $                                   555,840.00 Total available cash   $   655,200.00  $                                   603,308.00 Cash disbursements     Payments on purchases   $   407,352.00  $                                   425,832.00 Selling and administrative expenses   $   162,000.00  $                                   162,000.00 Interest expense*   $          380.00  $                                                 –   Total disbursements   $   569,732.00  $                                   587,832.00 Preliminary cash balance   $     85,468.00  $                                     15,476.00 Additional […]

Software development and weave

The Senior Manager of the DevOps Team is delivering a presentation to a non-technical audience about what his team (of which you are the newest member) does. You have been asked to present a structured paper on what is best to discuss.Write a 3-4 page document about DevOps and what it does/produces. Include some of […]