please solve the remainder of these:)
C he con lo view on mon) Inventory at the art of the year was planters. The desired Inventory of planters the end of each month should be of the following mortuguese fac parterr plastic) The company wants to have 20% of the polypropylene gred for next month's production on hand at the end of each month. The polypropylene costs $0.20 per pound e pounds of polypropylene a type of nered and the stof the polyroylere beheed Requirement 2. Prepare a real budget for the polypropylene for each more he a rt of the year, including the pounds of por Start by preparing the direct material budget Prough the total Quantity needed, then complete the budget Meght Manufacturing Direct Materials Budget Data Table For the Month of January through March February March Quarter Number of planters to be sold Units to be produced January February Qarty needed for production Plus Desired ending inventory of direct materials Total any needed Print Done Mimply by Cost per pound Total cost of direct material purchases Enter any number in the sand encore to the next to O stion Help Besnie Health Center provides a variety of medical services. The company is preparing cash budget for the upcoming third quarter. The following sections are expected to our Click the con lo vw the expected transactions) Requirement Prepare a combined cash budget for Sesi Health Care for third quarter with a column for each month and for the quarter to a box is not used in the tableave the box emply do not for negative ending ch ances) 0 More info Sean Health Center Combined Cash Budget For the Months of M u gh September & Cush i ons from services Auguland S t erre proted to be 101.000 150.000 and 120.000 Begining birce of cash Plus Cash collections Total cash available Less: Cash payments Ending cash balance before financing Financing Plus: New boring Less Debt repayments Less Interest payments Ending cash balance b. Co m ents for the upcoming id quarter are to be $141.000 100.000 in ugand 1137.000 Septe The cash balance as of the first day of the third quarters projected to be $35.000 d. The heat corder has a polythat must ma m mum cash balance of 8.000 The health center has a line of credit with the bank low bow funds in more po w e have n umber the company has more on its imbalance he end of any given more the e funds to pay of any standing line of credit Bano Each month Serie H a rler ey were on the prior montre of creditanding balance. The actuales retalhe conter we pay Roots since it is led to the prime tale. However, the rest paid during the budget periode pected to be of the prior more of creating balance of the company and not have an outstanding balance at the end of the prior more then the health center does not have to pay any rere line of credit borrows are taken opadol on first day of the months of her day of the Wind quarter Serie Health Caro did not have a balance on one of credit Enter any number in the edtields and then continue to the next question MacBook Air C he con lo view on mon) Inventory at the art of the year was planters. The desired Inventory of planters the end of each month should be of the following mortuguese fac parterr plastic) The company wants to have 20% of the polypropylene gred for next month's production on hand at the end of each month. The polypropylene costs $0.20 per pound e pounds of polypropylene a type of nered and the stof the polyroylere beheed Requirement 2. Prepare a real budget for the polypropylene for each more he a rt of the year, including the pounds of por Start by preparing the direct material budget Prough the total Quantity needed, then complete the budget Meght Manufacturing Direct Materials Budget Data Table For the Month of January through March February March Quarter Number of planters to be sold Units to be produced January February Qarty needed for production Plus Desired ending inventory of direct materials Total any needed Print Done Mimply by Cost per pound Total cost of direct material purchases Enter any number in the sand encore to the next to O stion Help Besnie Health Center provides a variety of medical services. The company is preparing cash budget for the upcoming third quarter. The following sections are expected to our Click the con lo vw the expected transactions) Requirement Prepare a combined cash budget for Sesi Health Care for third quarter with a column for each month and for the quarter to a box is not used in the tableave the box emply do not for negative ending ch ances) 0 More info Sean Health Center Combined Cash Budget For the Months of M u gh September & Cush i ons from services Auguland S t erre proted to be 101.000 150.000 and 120.000 Begining birce of cash Plus Cash collections Total cash available Less: Cash payments Ending cash balance before financing Financing Plus: New boring Less Debt repayments Less Interest payments Ending cash balance b. Co m ents for the upcoming id quarter are to be $141.000 100.000 in ugand 1137.000 Septe The cash balance as of the first day of the third quarters projected to be $35.000 d. The heat corder has a polythat must ma m mum cash balance of 8.000 The health center has a line of credit with the bank low bow funds in more po w e have n umber the company has more on its imbalance he end of any given more the e funds to pay of any standing line of credit Bano Each month Serie H a rler ey were on the prior montre of creditanding balance. The actuales retalhe conter we pay Roots since it is led to the prime tale. However, the rest paid during the budget periode pected to be of the prior more of creating balance of the company and not have an outstanding balance at the end of the prior more then the health center does not have to pay any rere line of credit borrows are taken opadol on first day of the months of her day of the Wind quarter Serie Health Caro did not have a balance on one of credit Enter any number in the edtields and then continue to the next question MacBook Air