Answer:
$9,000
Explanation:
Beg. Cash Balance $15,300
Cash Collections +$435,000
Cash Available $450,300
Less Cash Disbursements:
Direct Materials ($80,000)
Direct Labor ($32,000)
MOH ($25,000)
Operating Expenses ($110,000)
Capital Expend. ($200,000)
Cash Excess $3,300
Borrow +$9,000
Ending Cash Balance $12,300