False. When creating a flexible budget, only the variable costs will increase from the original budget. Fixed costs will remain constant regardless of the number of units produced.
An adaptable budget evolves to reflect shifts in actual revenue levels. Once an accounting period is over, actual revenues or other activity metrics are placed into the flexible budget, which then creates a budget that is tailored to the inputs.
For example : The $10 million revenue budget for ABC Company is offset by a $4 million cost of goods sold. $3 million of the $4 million budgeted cost of goods sold is directly correlated with revenue, while $1 million is fixed. As a result, 30% of revenues represent the variable element of the cost of goods sold.
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(5 points)
Willie's Hot Dogs had sales last year of $250,300 and a guest count of 76,079.
Sales this year were $280,750 with a guest count of 83,556.
What was Willie's guest count percentage variance?
Willie's guest count percentage variance is 9.82%.
How to calculate guest count percentageTo calculate the guest count percentage variance
Use the following formula:
Guest count percentage variance = [(current year guest count - prior year guest count) / prior year guest count] x 100%
Guest count percentage variance = [(83,556 - 76,079) / 76,079] x 100%
Guest count percentage variance = (7,477 / 76,079) x 100%
Guest count percentage variance = 0.0982 x 100%
Guest count percentage variance = 9.82%
Therefore, Willie's guest count percentage variance is 9.82%.
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Calculations of cost and benefit are always which of the following?
OA. Resourceful
OB. Minimum
OC. Rational
OD. Subjective
Answer:
D.
Explanation:
It’s subjective.
I think it’s subjective because it’s about the benefit of the calculations of a cost.
In repetitive operations it is often possible to automatically check for quality and then reject parts that are unacceptable.
What can a borrower do to take control of their debt? O A. The borrower can apply for more credit cards. O B. The borrower can create a payment plan. O C. The borrower can make only minimum payments. O D. The borrower can pay bills selectively.
The thing a borrower can do to take control of their debt is The borrower can create a payment plan.
What is a debt?Debt refers to amount money borrowed or things someone owed a person and promises to refund or return back when it is available.
A borrower borrowed from the lender and it is the borrower that is in debt.
Therefore, The thing a borrower can do to take control of their debt is The borrower can create a payment plan.
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What are the Highest paying jobs with and without a degree?
Answer:
Without a degree-
With a degree- Transportation
Campbell Inc. produces and sells outdoor equipment. On July 1, 20Y1, Campbell issued $14,000,000 of 10-year, 11% bonds at a market (effective) interest rate of 9%, receiving cash of $15,821,074. Interest on the bonds is payable semiannually on December 31 and June 30. The fiscal year of the company is the calendar year.
Compute the price of $15,821,074 received for the bonds by using the present value tables.
Present value of the face amount:
Present value of the semiannual interest payments:
Price received for the bonds:
Answer:
Present value of the face amount:
The face amount of the bonds is $14,000,000. To calculate the present value of the face amount, we need to use the present value of 1 table. The present value factor of $1 for 10 periods at 9% is 0.42240. Therefore, the present value of the face amount is:
Present value of face amount = $14,000,000 x 0.42240 = $5,913,600
Present value of the semiannual interest payments:
The bonds have a stated interest rate of 11%, and the interest is paid semiannually. Therefore, the periodic interest rate is 5.5% (11% / 2). The semiannual interest payment is calculated as:
Semiannual interest payment = Face amount of bonds x Periodic interest rate
Semiannual interest payment = $14,000,000 x 5.5% = $770,000
To calculate the present value of the semiannual interest payments, we need to use the present value of an annuity of 1 table. The present value factor of an annuity of 1 for 20 periods at 4.5% is 12.92527. Therefore, the present value of the semiannual interest payments is:
Present value of semiannual interest payments = $770,000 x 12.92527 = $9,953,482.90
Price received for the bonds:
The price received for the bonds is the sum of the present value of the face amount and the present value of the semiannual interest payments. Therefore, the price received for the bonds is:
Price received for the bonds = Present value of face amount + Present value of semiannual interest payments
Price received for the bonds = $5,913,600 + $9,953,482.90 = $15,867,082.90
Therefore, the price received for the bonds is $15,867,082.90.
Explanation:
For each statement about Direct Competition and Indirect Competition,
choose True or False.
Indirect Competition is a
business whose services are
different from yours but
satisfy the same need.
All Companies that sell
goods and services are
Indirect Competitors.
When your target audience
buys products from a
competitor instead from
you, that is Indirect
Competition.
Direct Competition is a
company that offers
the same thing you
offer.
1. True
2. False
Answer:
Explanation:
1) Indirect Competition is a business whose services are different from yours but satisfy the same need.
True
2) All Companies that sell goods and services are Indirect Competitors.
False
3) When your target audience buys products from a competitor instead from you, that is Indirect Competition.
False
4) Direct Competition is a company that offers the same thing you offer.
True
Think of a time when you were leading a group project. What kinds of problems emerged? How did you hanlde them? How might those skills tranfer to managing a restaurant?
When leading a group project the most rising problem is deadlines and team coordination this can be handled by effective communication.
What is a group?
A group is referred to as a collection of people who come together to form a relationship or connection with each other. These groups mainly form to perform collaborative activities to achive something.
Working in a group was quite difficult as every individual have own perspective which causes differences of opinion and disagreement within the group.
This agreement can be solved by building effective communication and better relationships with group members in order to achieve the goal.
This will be helpful in the Restaurant business by dealing with customers and timely delivery of the demanded dish or service to them.
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The 15-year average return for the S&P 500 from January 1973 to December 2016 (29 separate 15 year periods) was as high as a 20% average annual return and as low as a 3.7% average annual return. Additionally, the average dividend yield for the S&P is 4.11% and the average annual dividend growth rate is 6.11%.
Using this information, please compare the investment in the 5% 15-year corporate bond with a $100,000 investment in a stock with a 3.7% dividend yield (10 percent less than the S&P 500 average yield) and a 3% dividend growth rate (50 percent of the S&P 500 dividend growth rate).
The annual investment returns are as follows:
Year 1 (13.40%) Year 2 (23.37%) Year 3 26.38% Year 4 8.99%
Year 5 3.00% Year 6 13.62% Year 7 3.53% Year 8 (38.49%)
Year 9 23.45% Year 10 12.78% Year 11 0.00 Year 12 13.41%
Year 13 29.60% Year 14 11.39% Year 15 (0.73%)
The bond interest payment of 5 percent is paid annually and not reinvested. To compare accurately with the bond investment, the stock dividend will not be reinvested, but paid annually as well.
Please calculate the value of the stock account at the end of each year and the dividend income from the stock on an annual basis.
Once you have performed the calculations, please let me know if you prefer to invest in a 5% corporate bond for 15 years or the stock and why.
What is the value of the stock after year 2? Year 8? Year 11? When does the annual dividend income of the stock exceed the annual interest income of the bond?
1. The value of the stock account after Year 2 is $155,401.626.
2. The value of the stock account after Year 8 is $96,110.0674.
3. The value of the stock account after Year 11 is $96,110.0674.
4. The annual dividend income of the stock exceeds the annual interest income of the bond at the end of Year 15.
Bond interest rate: 5%
Stock dividend yield: 3.7% (10% less than S&P 500 average yield)
Stock dividend growth rate: 3% (50% of S&P 500 dividend growth rate)
We'll assume an initial investment of $100,000.
Year 1:
Bond interest income: $100,000 * 0.05 = $5,000
Stock dividend income: $100,000 * 0.037 = $3,700
Value of stock account: $100,000 + ($100,000 * 0.2337) = $123,370
1. Year 2:
Bond interest income: $100,000 * 0.05 = $5,000
Stock dividend income: $100,000 * 0.037 = $3,700
Value of stock account: $123,370 + ($123,370 * 0.2638) = $155,401.626
2. Year 8:
Bond interest income: $100,000 * 0.05 = $5,000
Stock dividend income: $100,000 * 0.037 = $3,700
Value of stock account: $155,401.626 + ($155,401.626 * (-0.3849)) = $96,110.0674
3. Year 11:
Bond interest income: $100,000 * 0.05 = $5,000
Stock dividend income: $100,000 * 0.037 = $3,700
Value of stock account: $96,110.0674 + ($96,110.0674 * 0) = $96,110.0674
4. At the end of Year 15, the dividend income of the stock exceeds the interest income of the bond.
Stock dividend income: $100,000 * 0.037 = $3,700
Bond interest income: $100,000 * 0.05 = $5,000
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Ms. Tanja Umstead is 46 years old and lives in Richmond, British Columbia. She is in good health
and works in the sales department of a large publicly traded company.
Employment Information
1. Tanja's 2022 salary is $93,500. In addition, she was awarded a year-end bonus of $12,000, all
of which is payable in January 2023.
2.
Tanja's employer sponsors a defined benefit RPP. In 2022, Tanja and her employer each
contribute $4,150 to the plan. In addition, her employer withheld maximum El contributions of
$953 and maximum CPP contributions of $3,500.
3. Her employer offers to pay the tuition for employees taking foreign language courses. Tanja is
taking an intensive course in spoken Chinese at a British Columbia university. The course is
a course of personal interest and is not related to Tanja's employment. The tuition fee for the
course is $3,600, all of which is paid for by her employer. The duration of the course is eight
months.
4. Tanja is provided with disability insurance by an employer-sponsored plan. In 2022, as a
consequence of an automobile accident, she was unable to go to work for one month and
receives benefits of $6,500. Starting in 2020, Tanja has contributed $340 per year for the plan's
coverage. Her employer made a matching contribution in each year.
5. Tanja's employer provides her with an automobile that was purchased several years ago at
a cost of $39,500. In 2022, the car is driven 41,000 kilometres, 34,000 of which were for
employment purposes and 7,000 for personal use. Tanja is required to pay her own operating
costs, which for 2022 totalled $7,240. Except for the one month that she was off from work,
the car was available to Tanja throughout the year. During the one month that she was off, the
car was left in her employer's garage as required by her employer's policy.
6.
Tanja's employer provides all of its employees with financial counselling services. The cost to
the company of the services provided to Tanja was $450.
7.
As a result of winning a sales contest, Tanja received a one-week trip to Las Vegas. The value
of this trip in Canadian dollars was $5,620.
8.
In 2020, Tanja received options to acquire 250 shares of her employer's common stock at a
price of $25 per share. When the options were granted, the shares were trading at $25 per
share. In 2022, Tanja exercises all of the options. On the exercise date, the shares are trading
at $32 per share. Tanja still owns the shares on December 31, 2022.
Required: Calculate Tanja's 2022 minimum taxable income
Ignore any GST/HST & PST considerations.
From the information given about 46 year old Ms Tanja, her minimum taxable income for 2022 will be $85,877.
Determining the minimum taxable incomeFirst consider various sources of income and deductions. In steps:
Employment Income:
Salary: $93,500Year-end bonus: $12,000Registered Pension Plan (RPP) Contributions:
Tanja's contribution to RPP: $4,150Employer's contribution to RPP: $4,150Employment Insurance (EI) Contributions:
Maximum EI contributions withheld by the employer: $953Canada Pension Plan (CPP) Contributions:
Maximum CPP contributions withheld by the employer: $3,500Employer-Paid Tuition Fees:
Tuition fee for the Chinese language course: $3,600Disability Insurance Benefits:
Benefits received due to the automobile accident: $6,500Employee Contributions to Disability Insurance:
Annual contribution to the plan: $340Automobile Usage:
Employment-related kilometers driven: 34,000Personal use kilometers driven: 7,000Operating costs: $7,240Financial Counselling Services:
Cost of services provided by the employer: $450Sales Contest Prize:
Value of the Las Vegas trip: $5,620Stock Options:
Options granted to acquire 250 shares at $25 per shareExercise of options when shares were trading at $32 per shareTo calculate the taxable income, this can be done in three stages.
First Calculate Gross Income:
Employment Income:
Salary: $93,500Year-end bonus: $12,000Total Employment Income: $105,500RPP Contributions:
Tanja's contribution: $4,150
Employer's contribution: $4,150
Total RPP Contributions: $8,300
EI Contributions:
Maximum EI contributions withheld: $953
CPP Contributions:
Maximum CPP contributions withheld: $3,500Gross Income: $105,500 + $8,300 - $953 - $3,500 = $109,347Secondly, Calculate Employment-Related Automobile Benefit:
Determine the standby charge:
Cost of the automobile: $39,500Standby charge rate (based on the cost): 2% per monthNumber of months the car was available to Tanja: 12 monthsStandby Charge: ($39,500 × 2%) × 12 = $9,480
Determine the operating cost benefit:
Operating costs paid by Tanja: $7,240
Personal use percentage: 7,000 / 41,000 = 17.07%
Operating Cost Benefit: $7,240 × 17.07% = $1,237
Total Automobile Benefit: Standby Charge + Operating Cost Benefit = $9,480 + $1,237 = $10,717
Thirdly, Calculate Taxable Income:
Gross Income - RPP Contributions - EI Contributions - CPP Contributions - Automobile Benefit = Taxable Income
$109,347 - $8,300 - $953 - $3,500 - $10,717 = $85,877
Therefore, Tanja's minimum taxable income for 2022 is $85,877.
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Question 7 of 10
Business health insurance plans are
A. required
B. varied
C. non-existent
D. uniform
so
Ying pays $300 of investment interest related to her investments. The interest is not directly related to any particular investment owned by Ying. She owns $40,000 worth of municipal bonds that pay her $2,400 in interest and $20,000 worth of bonds that pay her taxable interest of $2,000. Ying allocates the investment fees based on the fair market value of the securities. The allocation between the nondeductible portion of the fee and the deductible portion is:
Answer:
yeet
Explanation:
Explain the biggest danger of not recording your transactions in a separate registry
Answer:
Good records allow you to identify all of your assets, expenses, income, and liabilities. This lets you see your strengths and weaknesses of your business, which will allow you to make much better financial decisions.
The biggest danger of not recording your transactions in a separate registry is that you would not be able to keep accurate records.
This may lead to issues whereby there are inaccurate records. This can impede the growth of your business.
Without proper records, you cannot control your resources and can also stocks and fixed assets could be tampered with.
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3.1 The equilibrium price and quantity for City 1 are 75 and 25, respectively and the total profit for the monopoly is 3775.
3.2 City 2 has a lower price elasticity of demand than City 1.
How to calculate the value3.1. To find the equilibrium price and quantity for each city, we need to equate the demand curve with the marginal cost curve. For City 1, we have:
P₁ = 100-Q = MC = 25
Solving for Q, we get:
Q₁ = 25
Plugging this value of Q into the demand curve for City 1, we get:
P₁ = 100-25 = 75
Therefore, the equilibrium price and quantity for City 1 are 75 and 25, respectively.
We can do the same thing for City 2 to find that the equilibrium price and quantity are 95 and 20, respectively.
To find the profit for each city, we can use the following formula:
Profit = (Price - MC) * Quantity
For City 1, we have:
Profit₁ = (75 - 25) * 25 = 1875
For City 2, we have:
Profit₂ = (95 - 25) * 20 = 1900
Therefore, the total profit for the monopoly is 3775.
3.2. To find the price elasticity of demand for each city, we can use the following formula:
Ed = -(ΔQ/Q)/(ΔP/P)
For City 1, we have:
Ed₁ = -(ΔQ₁/Q₁)/(ΔP₁/P₁) = -(0/25)/(25/75) = -1
For City 2, we have:
Ed₂ = -(ΔQ₂/Q₂)/(ΔP₂/P₂) = -(0/20)/(95/120) = -2
Therefore, City 2 has a lower price elasticity of demand than City 1.
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1. A Company manufactures and sells one product. The product has the following cost and revenue data:
Selling price Per Unit (AED) 70
Variable cost Per Unit (AED) 30
Total fixed expenses per month are as follows:
Expenses types AED
Advertising 327287
Rent 100,000
Heating 100,000
The company produced and sold 10,000 units during the month and had no beginning or ending inventories.
a. What is the break-even value in Dirhams?
QUESTION 2
1. A Company manufactures and sells one product. The product has the following cost and revenue data
Selling price Per Unit (AED) 88
Variable cost Per Unit (AED) 30
Total fixed expenses per month are as follows:
Expenses types AED
Advertising 372923
Rent 100,000
Heating 100,000
The company produced and sold 10,000 units during the month and had no beginning or ending inventories.
a. How many units would the company have to sell to have a profit of AED 120,000?
QUESTION 3
1. A Company manufactures and sells one product. The product has the following cost and revenue data:
Selling price Per Unit (AED) 116
Variable cost Per Unit (AED) 39
Total fixed expenses per month are as follows:
Expenses types AED
Advertising 200,000
Rent 100,000
Heating 100,000
The company produced and sold 10,000 units during the month and had no beginning or ending inventories.
a. If the sales increase by 200 units, by how much well the net operating income (profit) increase?
1. In dirhams, the break-even point is roughly 13,182.18.
2. To make a profit of AED 120,000, the company would need to sell about 11,954.93 units.
3. When sales grow by 200 units, the net operating income rises by 8,000 dirhams.
1. a. We must establish the contribution margin per unit in order to calculate the break-even amount in dirhams. The selling price per unit less the variable cost per unit is the contribution margin.
Selling price per unit minus variable cost per unit equals contribution margin per unit.
Unit contribution margin = 70 - 30
Margin of contribution per unit = 40
When the overall contribution margin meets the total fixed expenses, a break-even point is reached. Let's figure out the break-even point:
Total fixed costs divided by contribution margin per unit yields the break-even amount.
Break-even value is equal to (327287 plus 100,000 plus 100,000) / 40.
Break-even value is equal to 527,287/40.
13,182.18 dirhams are needed to break even.s
2. b. Taking into account the contribution margin per unit and fixed expenses, we can determine how many units the company would need to sell to make AED 120,000 in profit.
Profit is equal to (Contribution margin per unit * Units Sold) - Total annual fixed costs
We may find the number of units by rearranging the formula:
(Number of units) = (Profit + Total fixed expenses) / Contribution margin per unit
(Number of units) = (120,000 + 372,923 + 100,000 + 100,000) / (88 - 30)
(Number of units) = 692,923 / 58
(Number of units) = 11,954.93 units
3. c. We must take into account the contribution margin per unit to determine the increase in net operating income (profit) when sales increase by 200 units.
Net operating income growth equals contribution margin per unit * growth in units
Net operating income growth equals 40 times 200.
8,000 dirhams more in net operating income
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18)
Whiskey, gin, and vodka are examples of
spirits (3 pts).
Answer:
Vodka, gin, baijiu, shōchū, soju, tequila, rum, whisky, brandy and singani are examples of distilled drinks. Beer, wine, cider, sake and huangjiu are examples of fermented drinks.
Explanation:
Instruction: Each of the following passages contains a single argument. 1. identify the premises and conclusion of each argument 2. Fake out the premise and conclusion indicators and write them separ ately. 3. use the standard form of writing arguments premises first and concl usion last by using the letters "p" and "C" 4. which of these passages lack indicators, show us $. 28. 333 10. X X X X X X X X X X X X X X X X X X X X X X X X X X 1 "Abortion is wrong because all human life is sacred."2 "We must reduce the amount of money we spend on space explorati on. Right now, the enemy is launching a massive military buildup, an d we need the additional money to purchase military equipment to m atch the anticipated increase in the enemy's strength." 3 We must give up some privacy in the name of security. If the homeland is not secure, terrorist attacks orders of magnitudes larger than 9/11 will fin d their way to our shores. No amount of privacy is worth enduring an attac k like this. It really does matter if you get enough sleep. We need sleep to think clearl y, react quickly, and create memories. Studies show that people who are ta ught mentally challenging tasks do better after a good night's sleep. Other research suggests that sleep is needed for creative problem solving (U.S. Na tional institutes of Health, "Your Guide to Healthy Sleep") Women of the working class, especially wage workers, should not have mo re than two children at most. The average working man can support no m ore and the average working woman can take care of no more in decentia shion. (Margaret Sanger, Family Limitations) It's flu season and you work with kids, SO you should get a flu shot. "John will probably receive the next promotion SINCE he's been here the lon gest." Instruction : Each of the following passages contains a single argument . 1. identify the premises and conclusion of each argument 2. Fake out the premise and conclusion indicators and write them separ ately . 3. use the standard form of writing arguments premises first and concl usion last by using the letters " p " and " C " 4. which of these passages lack indicators , show us $ . 28 . 333 10 . X X X X X X X X X X X X X X X X X X X X X X X X X X " Abortion is wrong because all human life is sacred . " " We must reduce the amount of money we spend on space explorati on . Right now , the enemy is launching a massive military buildup , an d we need the additional money to purchase military equipment to m atch the anticipated increase in the enemy's strength . " We must give up some privacy in the name of security . If the homeland is not secure , terrorist attacks orders of magnitudes larger than 9/11 will fin d their way to our shores . No amount of privacy is worth enduring an attac k like this . It really does matter if you get enough sleep . We need sleep to think clearl y , react quickly , and create memories . Studies show that people who are ta ught mentally challenging tasks do better after a good night's sleep . Other research suggests that sleep is needed for creative problem solving ( U.S. Na tional institutes of Health , " Your Guide to Healthy Sleep " ) Women of the working class , especially wage workers , should not have mo re than two children at most . The average working man can support no m ore and the average working woman can take care of no more in decentia shion . ( Margaret Sanger , Family Limitations ) It's flu season and you work with kids , SO you should get a flu shot . " John will probably receive the next promotion SINCE he's been here the lon gest . "
The argument in each of the passage is life is precious. Hence, the whole passage hammers the importance of life. Read below on each premise and the conclusions made on them.
What are the premises and conclusion to back the argument?The premises are marked P and the conclusion are marked C. Read below;
P: Abortion; C: all human life is sacredP: wise spending; C: space exploration is inimicalP: warfare; C: improve the armyP: Privacy; C: embrace communalismP: Rest; C: sound healthP: Family planning; C: efficiency in family careP: flu outbreak; C: proactive responseP: Long service worker; C: promotionTherefore, the correct answers are given above.
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You have a job at a real-estate agency in the small country of Dystopia, where you are paid 72,000 marks (the currency of Dystopia) a year. You are now faced with the decision of whether to work a second job at the local university teaching a real-estate investing class, where the pay is 45,000 marks a year. Social insurance tax and income tax rates are listed below.
Social insurance taxes: 7.65% on your first 110,100 marks of total income
Income taxes:
Taxable income (in marks) Tax rate
0–8,700 10%
8,700–35,350 15%
35,350–85,650 25%
85,650–178,650 28%
a.) Using the information above, what would be the total amount you pay in social insurance taxes on your second job? Give your answer to two decimals.
b.) What is your income tax bill for the second job? Give your answer to two decimals.
c.) What is your total tax bill for the new job? Give your answer to two decimals.
Answer:
2,914.65
2nd question : 12,190.50
Explanation:
income to be taxed is equal to (110,100 - 72,000) = 38,100 conchs. The tax itself is 7.65% × 38,100 = 2,914.65
2nd explaination: 25% × (85,650 - 72,000) = 25% × 13,650 = 3,412.50 conchs
28% × (45,000 - 13,650) = 28% × 31,350 = 8,778
Total income tax = 3,412.50 + 8,778 = 12,190.50 .
"Income to be taxed is equal to = 2,914.65 and The Total income tax is = 12,190.50. Find more information check below".
Calculation of Income TaxPart-1: income to be taxed is equal to (110,100 - 72,000) = 38,100 conchs.
Therefore, The tax itself is 7.65% × 38,100 is = 2,914.65
Part-2: 25% × (85,650 - 72,000) = 25% × 13,650 = 3,412.50 conchs
Then, 28% × (45,000 - 13,650) = 28% × 31,350 = 8,778
Therefore, The Total income tax is = 3,412.50 + 8,778 = 12,190.50.
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Long Market Value: $48,000 Short Market Value: $18,000 Debit: $25,000 Credit: $25,000 SMA: $3,000 Interest charges on the account are based on a balance of:____.A. 0.B. $3,000.C. $25,000.D. $50,000.
Answer:
C. $25,000
Explanation:
The interest charges on the account(margin) are based on the debit balance in the account. Also, credits that came as a result of short sales are usually not matched off against debits in the account, hence interest charges is based on the $25,000 debit balance.
Which of the following are examples of etiquette? Check all of the boxes that apply.
A. Prioritizing tasks
B. Writing a note about a patient’s medical condition
C. Following an employer’s dress code
D. Following a company’s policy of addressing patients by their last names
Answer:
C and D
Explanation:
Suppose RCS Enterprises had an additional $500,000 of depreciation expense in 2016, then the dollar impact of this change in depreciation expense on earnings (E), cashflow from operating activities (OCF) and on end-of-year cash balance (CB) will be, respectively:
a. E increase $395,000; OCF increase $105,000 and CB increase $105,000
b. E decrease $395,000, OCF decrease $105,000 and CB decrease $105,000
c. E decrease $395,000, OCF increase $105,000 and CB increase $105,000
d. E increase $395,000, OCF decrease $105,000 and CB increase $105,000
Answer:
c. E decrease $395,000, OCF increase $105,000 and CB increase $105,000
Explanation:
Since there is an additional depreciation expense of $500,000 in the year 2016 so it would reduce the earnings also the depreciation expense would be added back in the operating section of the cash flow statement. So it incresae the operating cash flow also it would increase the year end cash balance
Therefore the option c is correct
By comparing prices at different stores, consumers will:
By comparing prices at different stores, consumers will save money and make informed purchasing decisions.
How can comparing prices at different stores benefit consumers?Comparing prices at different stores allows consumers to make informed purchasing decisions and save money. By taking the time to research and compare prices, consumers can identify the best deals and discounts available for the products they intend to buy.
This practice helps them ensure that they are getting the most value for their money. It can also help consumers uncover any price discrepancies or inflated prices allowing them to avoid overpaying for goods and services.
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NEED HELP ASAP!!!
Imagine that you volunteer at an after school program that's seen an increase in bullying among the third grade boys. You're tasked to design a "Good Citizen" project that helps these students understand how to treat one another. What will you design? How will you help these young men learn how to treat one another? Use the space below to jot down your program ideas in preparation for sharing with the class.
Title: "Building a Respectful Community"
Objective:To foster a culture of empathy, respect, and kindness among third-grade boys, addressing the issue of increased bullying in the after-school program.
Program Design:
Introduction and Icebreaker Activities:
Begin with a warm welcome and create a positive atmosphere.
Conduct icebreaker activities to encourage bonding and familiarity among the boys.
Group Discussions:
Facilitate open discussions about the importance of treating others with respect.
Encourage boys to share their experiences, feelings, and perspectives on bullying.
Highlight the negative consequences of bullying on individuals and the community.
Empathy Building:
Introduce the concept of empathy and its role in creating a harmonious environment.
Engage boys in activities that promote understanding and compassion for others.
Encourage them to put themselves in others' shoes and consider different perspectives.
Role-Playing Scenarios:
Create various bullying scenarios and divide the boys into groups.
Assign roles and ask them to act out different scenarios, focusing on positive solutions.
Allow them to explore strategies for intervention, empathy, and conflict resolution.
Mentorship and Buddy System:
Pair older students or volunteers as mentors for each third-grade boy.
Encourage regular interaction and support between mentors and mentees.
Mentors can provide guidance, reinforce positive behavior, and be a role model for good citizenship.
Art and Creative Expression
Provide opportunities for artistic expression through drawing, painting, or writing.
Encourage boys to create artwork that promotes kindness, respect, and inclusivity.
Display their creations around the program space as a reminder of their commitment.
Guest Speakers:
Invite community leaders, school counselors, or local police officers to share insights on respect, empathy, and the importance of a positive community.
Engage the boys in interactive sessions, allowing them to ask questions and learn from the experiences of others.
Community Service Project:
Organize a community service activity, such as a neighborhood cleanup or assisting a local charity.
Collaborating on a project for the greater good promotes teamwork, empathy, and a sense of responsibility.
Celebration and Recognition:
Acknowledge and celebrate the boys' progress and positive actions throughout the program.
Host a "Good Citizen" ceremony, where each boy receives a certificate of recognition.
Encourage parents and families to attend and witness their children's growth.
Remember to adapt the program to suit the specific needs and dynamics of the after-school program. Regular evaluations and feedback from the boys, their parents, and the program staff can help make necessary adjustments and improvements.
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The first step in the decision-making process requires you to do what?
Identify the decision that needs to be made and determine the desired goal.
Set aside some time to reflect on your career path.
Chart the decisions your competitors have made in the past three years.
Create a survey and send it to everyone in your company.
Answer:
think.....all you have to do is think XD
but in all honesty the answer is a determine your descision
22. Which of the following is correct?
a. If the central bank purchases bonds in the open market, then the money supply
shifts right and there is more currency in circulation.
b. If the central bank sells bonds in the open market, then money supply shifts right
and there is less currency in circulation.
c.
If the central bank purchases bonds, then the money supply shifts right and there
is less currency in circulation.
d.
If the central bank purchases bonds, then the money supply shifts right and there
is no change in currency circulation.
. If the central bank purchases bonds in the open market, then the money supply shifts right and there is more currency in circulation.
Any open-market operation is when the central banking authority buys and sells government securities, occasionally also commercial paper, with the goal of continuously controlling the money supply and credit conditions.
In some cases, the central bank's lending policies collide with the goal of using open-market operations to stabilize the price of government assets.
When a central bank buys securities on the open market, three things happen:
(1) commercial banks' reserves rise, allowing them to increase loans and investments;
(2) the price of government securities rises, causing interest rates on those securities to fall; and
(3) interest rates fall generally, encouraging business investment.
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Althea Brown contributed equipment, inventory, and $34,000 cash to a partnership. The equipment had a book value of $23,000 and a market value of $29,000. The inventory had a book value of $60,000 but only had a market value of $15,000 due to obsolescence. The partnership also assumed a $12,000 note payable owed by King that was used originally to purchase the equipment. Provide the journal entry for Brown’s contribution to the partnership. 5pts.
The journal entry for Brown’s contribution to the partnership are:
Dr. Cash 34,000
Dr. Inventory 15,000
Dr. Equipment 29,000
Cr Notes Payable 12,000
Cr Althea Brown, Capital 66,000
For instance, the accompanying effects might be felt on the partner's capital record and outside premise: Commitments to the association - Build the capital record and outside premise. Appropriations: Lessens the capital record and outside premise.
These capital records address the responsibility for the organization by the accomplices. The Accomplices' Capital Record is an Individual record since it was intended for reporting changes connected with accomplices' capital.
Given:
Dr. Cash 34,000
Dr. Inventory 15,000
Dr. Equipment 29,000
Cr Notes Payable 12,000
Cr Trevor Smith, Capital 66,000
(78,000-12,000)
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The five stress in the workplace
The five stress in the workplace
WorkloadInterpersonal conflictsLack of controlOrganizational culture and job demandsWork-life balanceThe five stress in the workplaceStress in the workplace can stem from various factors, including excessive workloads, tight deadlines, and a high volume of tasks. Interpersonal conflicts, such as poor communication and personality clashes, can also contribute to workplace stress.
Feeling a lack of control over work-related decisions and schedules, along with a toxic organizational culture or unrealistic job demands, can further exacerbate stress levels. Additionally, difficulties in achieving work-life balance due to long hours and limited personal time can lead to increased stress and burnout.
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1. Who has the absolute advantage in bike building?
2. Who has the absolute advantage in Computer building?
3. Using the information above, who has the comparative advantage in building Bikes?
4. Using the information above, who has the comparative advantage in building Computers?
For the next questions assume Matt and Tom each specialize in production where they have their comparative advantage and are both given 120 Hours to produce these goods.
5. What does Matt produce and how many units does he produce?
6. What does Tom produce and how many units does he produce ? In order to have some of each good Tom gives Matt 20 Bikes and Matt gives Tom 30 Computers
7. How many of each item does Tom have after the trade? Could he have produced this mixture of goods in 120 hours?
8. How many of each Item does Matt have after the trade? Could he have produced this mixture of goods in 120 hours?
The person that has the absolute advantage in bike building is tom
2. The person that has the absolute advantage in Computer building is Tom and Math
What is the absolute advantage?In the above case, one can say that Tom has the comparative advantage in building bicycles as his opportunity fetched of building one bicycle is as it were one computer, while Matt's opportunity taken a toll of building one bicycle is two computers.
Matt has the comparative advantage in building computers as his opportunity fetched of building one computer is as it were 0.5 bicycles, while Tom's opportunity fetched of building one computer is one bicycle.
Therefore, Matt can to create computers since he has the comparative advantage in building them. He can deliver:
120/3 = 40 computers in about 120 hour
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Sandra’s Purse Boutique has the following transactions related to its top-selling Gucci purse for the month of October. Sandra's Purse Boutique uses a periodic inventory system.
Date Transactions Units Unit Cost Total Cost
October 1 Beginning inventory 6 $ 790 $ 4,740
October 4 Sale 4
October 10 Purchase 5 800 4,000
October 13 Sale 3
October 20 Purchase 4 810 3,240
October 28 Sale 7
October 30 Purchase 8 820 6,560
$ 18,540
3. Using LIFO, calculate ending inventory and cost of goods sold at October 31
The cost of goods sold (COGS) was $17,260, and the ending inventory was $3,160 using the LIFO method.
The LIFO method (last-in, first-out) of inventory valuation requires that the most recent purchases of inventory be used first in the cost of products sold and ending inventory calculations. The ending inventory and cost of products sold at the end of October will be calculated using the LIFO method, based on the data given in the table.Based on the data given, the total units sold is 14, and the total units purchased is 17. Here's how to calculate the ending inventory and cost of products sold using the LIFO method:Step 1: The last purchase of 8 units at a cost of $820 each on October 30 is deducted from the inventory count, leaving 9 units.Step 2: The previous purchase of 4 units at a cost of $810 each on October 20 is deducted from the inventory count, leaving 5 units.Step 3: The next purchase of 5 units at a cost of $800 each on October 10 is deducted from the inventory count, leaving 0 units.Step 4: Based on the LIFO method, the cost of the ending inventory is the sum of the cost of the oldest units remaining in stock, which is 4 units at a cost of $790 each on October 1, totaling $3,160.Step 5: Based on the LIFO method, the cost of goods sold (COGS) is calculated by adding the total cost of units sold, which is 14 units at a cost of $820 each on October 30, 4 units at a cost of $810 each on October 20, and 5 units at a cost of $800 each on October 10, totaling $17,260.Therefore, the cost of goods sold (COGS) was $17,260, and the ending inventory was $3,160 using the LIFO method.For more questions on cost of goods sold (COGS)
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Describe the laws that are enforced by the SEC for companies that publicly sell stock.
(SEC); US security and exchange commission is a body in the United States that has 3 main part mission.
They maintain fair, orderly and efficient market,they also protect investors as well as facilitate capital formation.
SEC enforced some laws to companies that publicly sell stocks,this enforced laws covers the fact that broker dealers,public companies as well as certain insiders are all required to make a regular fillings with SEC. These financial professionals and investors solely rely on these fillings with SEC to get information about companies they are evaluating for the purpose of investment.
Answer:
The SEC ensures that companies publicly selling stock tell the public the truth about their businesses, the stocks they are selling, and the risks involved in investing.
Explanation: Sample Response