Prepare a master budget for the three-month period ending June 30 that includes a sales budget, by month and in total. \begin{tabular}{|l|l|c|c|c|} \hline \multicolumn{3}{|c|}{ Sales Budget } \\ \hline & April & May & June & Quarter \\ \hline Budgeted unit sales & & & & \\ \hline Selling price per unit & & & & \\ \hline Total sales & & & & \\ \hline \hline \end{tabular} Prepare a master budget for the three-month period ending June 30 that includes a schedule of expected cash collections, by month and in total. Prepare a master budget for the three-month period ending June 30 that includes a merchandise purchases budget in units and in dollars. Show the budget by month and in total. (Round unit cost to 2 decimal places.) Prepare a master budget for the three-month period ending June 30 that includes a schedule of expected cash disbursements for merchandise purchases, by month and in total. Prepare a master budget for the three-month period ending June 30 that includes a cash budget. Show the budget by month and in total. Determine any borrowing that would be needed to maintain the minimum cash balance of $58,000. (Cash Prepare a master budget for the three-month period ending June 30 that includes a budgeted income statement for the three month period ending June 30 . Use the contribution approach..