Q12 Cnoc Candles Ltd has an opening cash balance of €400 on 1 January. (i) Complete the cash flow budget using the planned receipts and payments below.
● Planned Receipts Sales Revenue: January €3,000, February €2,000, March €3,500 Online Sales: January €500, February €600, March €700
● Planned Payments Purchases: January €1,000, February €800, March €1,100 Wages: €700 each month Rent: €400 each month
Electricity: January €90, February €100, March €80 Details