based on information from first 4 images, i need help solving the statements for the rest of the images
Quantum Fquipment Company Budret Project Summer 2023 530 ber production unit ( f inlished Goods) 21 INVENTORY COSTS Fixed Overhead Application Rate CALCULATE FROM PRODUCTION BUDGET JTORY ACCOUNTS Finished Goods inventory \begin{tabular}{|l|r|r|r|r|r|} \hline \multicolumn{1}{|l|}{ 4th Quarter } & 1st Quarter & 2nd Quarter & 3rd Quarter & 4th Quarter \\ \hline 2023 & 0024 & 20.24 & 2024 & 2024 \\ \hline Ending units & 15,000 & 19,000 & 20,000 & 16,000 \\ \hline \end{tabular} Raw Materials Inventory Beginning units on 1/1/2024 Planned Ending units on 12/31/2024 Policy 41,368 pounds 26,000 pounds 25.00\% of next quarters' needs for production is in ending Raw Materials invento Work in Process inventory Beginning value 1/1/2024 5 231,720 Payment for Raw Materials Payment Policy 8500% quarter of purchase 15 o0\% quarter following purchase 55 OPERATING EXPENSES Wages and Salaries Payment. Payment Policy Variable Selling \& Administrative Exp. Fixed Selling \& Administrative Exp Depreciation $ Other Selling & Administrative Exp $ 2 times monthly on the 15 th and 30 th Fully paid each month 2.25% of selling price 55,000 per quarter 180,000 per quarter 66 CAPTTAL ECPENDTTEEF IKEASWY ACTIVIUIS \begin{tabular}{|r|r|r|r|} \hline 1st Ouanter & 2nd Quarter & 3rd Quarter & 4th Quarter \\ \hline 2024 & 2024 & 2024 & 2024 \\ \hline 5200,00000 & 520,00000 & 575,00000 & 515000000 \\ \hline \end{tabular} Minirum cash palance 5 250,000 Erquired at end of evervauarter intereit nate for investine (short termid 4254 Armaliy interest Pahicy Ait of the andirs cash ba laece for the avanter rarns interest for the entire quarter of the endine cash balonce for the quarter remains in cash at the beginning of the next quarter. irterest iate for bortoming interest poliky s 12 oen Annualiy 10,000 increments are ustd in borrowing and repwemem, maintainine the minimum cosh balance Borrowi ne occurs at the berinning of the evarte Repwrents occur at the end of the vear 18. SCHEDULE OF CASH PAYMENTS 25 payments in quarter of purchase 26 Pavments in quarter follawing purchase Total pavments: Accounts bayable balance CHECK YOUA ACHEDUIE OR CASH PAREERTS MORE WORKTO Hove vou found the ampunt of payments in the first quseter from purchases in 2023? 100 CASH BUDGET Cash Collections: Collections in quarter of sale Collections in quarter following sale Total Cash Receipts Cosh Disbursements: Raw Materials : Payments in quarter of purchase Pavments in quarter following nurchase Direct Labor costs Overheod costs 5elline and Administrative costs 2 Total Cash Disbursements \begin{tabular}{|l|l|l|l|l|} \hline First & Second & Third & Fourth \\ Quarter & Quarter & Quarter & Quarter \\ \hline & & & & Annual \\ \hline & & & & \\ \hline & & & & \\ \hline & & & & \\ \hline & & & & \\ \hline & & & & \\ \hline & & & & \\ \hline & & & & \\ \hline \end{tabular}