ClevelandInc. leased a new crane to Abriendo Construction under a 5-year, non-cancelable contract starting January 1, 2020. Terms of the lease require payments of $48,555 each January 1, starting January 1, 2020. The crane has an estimated life of 7 years, a fair value of $240,000, and a cost to Cleveland of $240,000. The estimated fair value of the crane is expected to be $45,000 (unguaranteed) at the end of the lease term. No bargain purchase or renewal options are included in the contract, and it is not a specialized asset. Both Cleveland and Abriendo adjust and close books annually at December 31. Collectibility of the lease payments is probable. Abriendo’s incremental borrowing rate is 8%, and Cleveland’s implicit interest rate of 8% is known to Abriendo. Discuss what should be presented in the balance sheet, the income statement, and the related notes of both the lessee and the lessor at December 31, 2020.

Answers

Answer 1

Answer:

The correct answer is "2,40,000". The further explanation is given below.

Explanation:

The given fair value is:

= $240,000

The presentation in books of lessee will be:

⇒  \(Record \ of \ assets =PV \ of \ Lease \ Payment +Unguaranteed \ residual \ value\)

⇒  \(Annuity \ value \ of \ 8 \ percent \5 \ year\times 48555+Anuity \ value \ of \ 5th \ year\times 45000\)

On putting the values, we get

⇒  \(3.9927\times 48555+0.6806\times 45000\)

⇒  \(193865.54+30627\)

⇒  \(224492.54 \ i.e., 2,24,493\) ($)

Presentation in books of Lessor , the fair value of assets will be

=  \(2,40,000\) ($)


Related Questions

List five potential conflicts that ANY employee of the company could face, be it sales
staff on the floor or management staff in the office, or even a warehouse worker that ships
products to the outlet store.

Answers

U ever get this solved? I need it too

Explanation:( NOT AN ANSWER)

If a process only has random variations, then 95.5% of the time the sample averages will fall within approximately

1 standard deviation of the population mean

2 standard deviation of the population mean

3 standard deviation of the population mean

4 standard deviation of the population mean

Answers

The answer is 3 standard deviation of the population mean

The level of planning involving the longest time horizon, usually ranging from three to seven years, is __________ planning.

Answers

Strategic planning refers to a level of planning which involves the longest time horizon and it usually ranges from three (3) to seven (7) years.

Planning can be defined as a strategic process which involves the development of organizational goals and objectives, as well as translating these goals and objectives into action plans or courses of action.

In Business management, there are four (4) main types of planning and these include:

Operational planning.Tactical planning.Contingency planning.Strategic planning.

Strategic planning refers to a level of planning by a business firm, which involves the longest time horizon and it usually ranges from three (3) to seven (7) years.

In conclusion, strategic planning is a long-term planning technique which is focused on why things need to happen in a business.

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Pizza International, Incorporated, reported the following information (in thousands):



Operating Activities
Net Income $ 100
Depreciation 33,305
Increase in receivables 170
Decrease in inventory 643
Increase in prepaid expenses 664
Decrease in accounts payable 8,720
Increase in accrued liabilities 719
Decrease in income taxes payable 2,721
Payments on notes payable 12,691
Cash paid for equipment 29,073


The following is the summarized income statement for Pizza International, Incorporated (in thousands):



Revenues $ 143,551
Cost of Sales 45,500
Gross Profit 98,051
Salary and Wages Expense 56,835
Depreciation 33,305
Office Expense 7,781
Net Income before Income Tax Expense 130
Income Tax Expense 30
Net Income $ 100


Required:

Based on this information, compute cash flow from operating activities using the direct method. Assume Prepaid Expenses and Accrued Liabilities relate to office expenses.
What was the primary reason that Pizza International was able to report large positive cash flow from operations despite nearly having a net loss?

Answers

The combination of adding back non-cash expenses, decreases in working capital accounts, and a decrease in inventory contributed to the large positive cash flow from operations despite nearly having a net loss.

To compute cash flow from operating activities using the direct method, we need to analyze the changes in different balance sheet accounts. Let's go step by step:
Step 1: Calculate Cash Flows from Operating Activities using the Direct Method
- Start with net income: $100,000
- Add back depreciation: $33,305
- Subtract the increase in receivables: $170
- Add the decrease in inventory: -$643 (Note: decrease is subtracted)
- Subtract the increase in prepaid expenses: -$664
- Add the decrease in accounts payable: -$8,720 (Note: decrease is subtracted)
- Subtract the increase in accrued liabilities: -$719
- Add the decrease in income taxes payable: -$2,721
- Subtract payments on notes payable: -$12,691
- Subtract cash paid for equipment: -$29,073
Cash flow from operating activities using the direct method: $99,464
Step 2: Analyzing the reason for positive cash flow from operations despite a net loss
The primary reason that Pizza International was able to report large positive cash flow from operations despite nearly having a net loss is due to non-cash expenses, such as depreciation, which is added back to net income. Depreciation is a non-cash expense that reduces net income but does not involve actual cash outflow. Therefore, adding back depreciation increases the cash flow from operating activities.
Additionally, there were decreases in working capital accounts, such as accounts payable and income taxes payable, which led to a positive impact on cash flow from operating activities. The decrease in accounts payable and income taxes payable means that Pizza International paid off its liabilities, resulting in a decrease in cash outflow.

Furthermore, there was a decrease in inventory, which also positively impacted cash flow from operating activities. Decreasing inventory reduces the amount of cash tied up in unsold goods.
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If the order is accepted, by how much will monthly profits increase or decrease? (The order would not change the company’s total fixed costs.) Show and label all computations using words and numbers to explain the steps please (final answer should be incremental profits)

If the order is accepted, by how much will monthly profits increase or decrease? (The order would not

Answers

If the Superior Company accepts the special order, monthly profits will increase by $2,500.

By how much will monthly profits increase or decrease if order is accepted?

To determine the impact on monthly profits, we need to calculate the contribution margin per unit on the special order.

Contribution margin per unit = Selling price per unit - Variable costs per unit

= $15 - ($2.50 + $3.00 + $0.50 + $1.50)

= $7.50

The contribution margin ratio is 50% ($7.50 / $15).

The fixed costs are $4.25 + $2.00 = $6.25 per unit.

If the company accepts the special order, it will produce and sell an additional 2,000 units.

Total contribution margin from the special order:

= 2,000 units x $7.50 per unit

= $15,000

Since the order would not affect regular sales, the company's total fixed costs will remain the same. Therefore, the increase in monthly profits would be:

Increase in monthly profits = Total contribution margin from the special order - Incremental fixed costs

= $15,000 - ($6.25 x 2,000)

= $2,500.

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What are some elements of conventional morality that you think are morally mistaken? Be sure to provide the reasons that support your verdict.

Answers

An element of conventional morality that might be morally mistaken is caring about others' thoughts of you. This is wrong cause you will always be competing.

This is further explained below.

What are some elements of conventional morality that you think is morally mistaken?

Generally, One of the most essential components of conventional morality is the idea that the individual in issue should give consideration to the opinions and perspectives of others.

Furthermore, one's moral value is determined by what other people think of them, which means that a person is a good person when other people approve of the behaviors they do.

In conclusion, pre-conventional morality is more egocentric, and it requires the individual to consider primarily in terms of how they could be penalized or how they might profit from their actions.

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In terms of morality, which do you believe is more important -- the intention of an action or the consequences of an action? Explain, using the ethical reasoning of Kant or utilitarianism to support your view. Share an example that illustrates your point. Make sure you fully demonstrate that you understand the theory you are using.

Answers

Whereas utilitarianism places more emphasis on results, Kantism places more emphasis on intention. The decision between these two ethical systems ultimately comes down to personal values and views.

According to Kantianism, an action's morality is determined by its purpose rather than by its outcomes. Kant felt that the categorical imperative, which states that we should only act in ways that we could wish to be universal standards, should serve as a guide for our action. Wgere utilitarianism, a consequentialist ethical philosophy, holds that an action's morality is determined by its effects. According to utilitarianism, a decision is morally right if it leads to the greatest amount of happiness for the largest number of people.

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An automobile manufacturing company Country X is considering the construction and operation of a large plant on the eastern seaboard of the United States. Their MARR = 20% per year on a before-tax basis . (This is a market rate relative to their currency in Country X.) The study period used by the company for this type of investment is 10 years. Additional information • The currency in Country X is the Z-Kron. is provided as follows: PROBLEMS 447 • It is estimated that the U.S. dollar will become weaker relative to the Z-Kron during the next 10 years. Specifically, the dollar is estimated to be devalued at an average rate of 2.2% per year. • The present exchange rate is 92 Z-Krons per U.S. dollar. • The estimated before-tax net cash flow (in U.S. dollars) is as follows: EOY Net Cash Flow (U.S. Dollars) 0 -$168,000,000 -32,000,000 69,000,000 2 : 10 69,000,000 Based on a before-tax analysis, will this project meet the company's economic decision criterion? (8.6) End of Year Cash Flow (T-marks after Taxes) 0 1 2 3 4 5 6 7 -3,600,000 450,000 1,500,000 1,500,000 1,500,000 1,500,000 1.500.000 1,500,000

Answers

The project will meet the company's economic decision criterion, and the company will be able to build and operate the large plant on the east coast of the United States.

To determine whether the project will meet the company's economic decision criterion, we need to calculate the project's net present value (NPV) using the company's MARR of 20% per year on a before-tax basis. To calculate the NPV, we first need to convert the estimated before-tax net cash flows (in U.S. dollars) to Z-Krons, the currency used by the company.

Using the present exchange rate of 92 Z-Krons per U.S. dollar, we can convert the cash flows to Z-Krons as follows:

EOY Net Cash Flow (U.S. Dollars) Net Cash Flow (Z-Krons)

0 -$168,000,000 -15,456,000,000

1 -32,000,000 -2,944,000,000

2 69,000,000 6,348,000,000

3-10 69,000,000- 6,348,000,000

Next, we need to adjust the net cash flows for the estimated devaluation of the U.S. dollar at an average rate of 2.2% per year. To do this, we can use the following formula to calculate the future value (FV) of the cash flows in Z-Krons:

FV = PV × (1 + r)^n

where PV is the present value of the cash flow, r is the annual rate of devaluation, and n is the number of years.

Using this formula, we can adjust the net cash flows as follows:

EOY Net Cash Flow (Z-Krons) Adjusted Net Cash Flow (Z-Krons)

0 -15,456,000,000 -19,208,910,440

1 -2,944,000,000 -3,523,741,580

2 6,348,000,000 6,866,620,652

3-10 6,348,000,000 6,866,620,652

Finally, we can calculate the NPV of the project by discounting the adjusted net cash flows using the MARR of 20% per year on a before-tax basis. The formula for calculating the NPV is as follows:

NPV = Σ(CF / (1 + r)^n) - I

where CF is the cash flow, r is the discount rate, n is the year, and I is the initial investment.

Using this formula, we can calculate the NPV of the project as follows:

NPV = -19,208,910,440 / (1 + 0.20)^0 + (-3,523,741,580 / (1 + 0.20)^1 + (6,866,620,652 / (1 + 0.20)^2 + ... + (6,866,620,652 / (1 + 0.20)^10 - (-168,000,000)

NPV = $1,979,775,849.96

Since the NPV is positive, the project will meet the company's economic decision criterion, and it would be economically feasible for the company to construct and operate the large plant on the eastern seaboard of the United States.

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impact of new vendor with zero opening balance

Answers

The impact of the vendor with the zero opening balance is to show that the account has been correctly set up.

What is the vendor opening balance?

This is the term that is used to refer to the amount of money that is in an account at the particular time that the account is newly opened.

The way that the vendor balance can be gotten is when the opening balances that are in a new year are carried forwards and the customers are done. In order to track this, the code that is to be used is F. 07.

The opening balance is what would have to be brought forward at the end of an accounting period and it is usually what the vendor would have to use as they try to keep a track of the cash flow that is in their account.

Hence we would say that the impact of the new vendor with this balance that is 0 is to help to determine how correct the set up of the account has been done.

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three stage division switch is used to connect 2048 inlet with 2048 outlet. If the number of inlets in each subgroup n=32 and the number of inter-stage switches k=10. Assume that the inlet utilization P=0.1, calculate the overall blocking probability of the system.please expline the solution with steps

Answers

The overall blocking probability of the system is 0.0000072 or 0.00072%. This is a very low blocking probability, which means that the system is highly efficient in handling traffic.

To calculate the overall blocking probability of the system, we can use Erlang B formula which is given as follows:

B(n,k) = [((n^k)/k!) / Σ(i=0 to k) ((n^i)/i!)]

where n = number of inlets in each subgroup

k = number of inter-stage switches

Σ = summation symbol, from i=0 to k

i! = factorial of i

In this case, n = 32 and k = 10. We can calculate the value of Σ(i=0 to k) ((n^i)/i!) using a calculator or a spreadsheet program. The value is approximately 0.9999979.

So, applying the Erlang B formula:

B(2048, 10) = [((32^10)/10!) / 0.9999979] = 0.0000072

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. Discuss two to three limitations of referee reports
placed on management or organizations for job candidates. How do organizations cope
with this burden?

Answers

Answer:

The lack of awareness of the organizational culture and prejudices that can affect the recruiting and selection process

Explanation:

some limitations of reports from referees positioned in management or organizations for job seekers. The recruitment and selection process for applicants who would occupy critical positions in organizations should be led by the company's executives, who have more expertise and vision in identifying the suitable candidate.

The referee reports can have one or many limitation one of which is lack of thorough reference check of the onboarding and presently working candidates.

Lack of awareness about the information technology to rectify the security framework breach by the employee. Lack of human resource which can analyze the moral, educational, and career background of the onboarding candidate. Lack of awareness about crimes associated with jobs like white collar crimes and cyber crimes.

The organizations cope up with the limitations in the following ways:

1. The organization can employee security and cyber experts to rectify all the doubts related to the on joining employee.

2. A legal team is required to check whether the on joining employee had a previous criminal link or was associated with crime.

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The US Senate overwhelmingly passed the 2022 Defense Authorization Act. The $768 billion "Defense Authorization Act" not only exceeds the defense spending proposed by the Biden administration by $25 billion, but also increases the US defense budget by about 5% compared to last year.

Answers

The US Senate passed the 2022 Defense Authorization Act, a $768 billion bill that surpasses the Biden administration's defense spending proposal by $25 billion and represents a 5% increase in the US defense budget compared to the previous year.

1. The US Senate passed the 2022 Defense Authorization Act.

2. The Defense Authorization Act is a bill that determines the budget and expenditures for the US defense sector.

3. The total amount allocated for the Defense Authorization Act is $768 billion.

4. The defense spending proposed by the Biden administration was exceeded by $25 billion in this Act.

5. The Act represents a 5% increase in the US defense budget when compared to the previous year.

6. This increase in the defense budget indicates a commitment to strengthening the country's defense capabilities.

7. The Act was passed overwhelmingly, indicating strong support from the Senate.

8. The Defense Authorization Act is an essential piece of legislation that ensures the funding and resources necessary for the US military to carry out its operations effectively.

9. The Act covers various aspects of defense spending, including military personnel, equipment, research and development, and strategic initiatives.

10. By passing the Defense Authorization Act, the US Senate has demonstrated its commitment to national security and defense preparedness.

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ne year ago, a U.S. investor converted dollars to yen and purchased 100 shares of stock in a Japanese company at a price of 3,150 yen per share. The stock's total purchase cost was 315,000 yen. At the time of purchase, in the currency market 1 yen equaled $0.00952. Today, the stock is selling at a price of 3,465 yen per share, and in the currency market $1 equals 145 yen. The stock does not pay a dividend. If the investor were to sell the stock today and convert the proceeds back to dollars, what would be his realized return on his initial dollar investment from holding the stock

Answers

Answer:

realized loss = -20.31%

Explanation:

stock price ¥3,150, total operation ¥315,000

in US dollars = ¥315,000 x $0.00952 = $2,998.80

current market price ¥3,465, total operation ¥346,500

in US dollars = ¥346,500 / ¥145 = $2,389.66

realized loss = (current value in US dollars - initial investment) / initial investment = ($2,389.66 - $2,998.80) / $2,998.80 = -20.31%

Even though the stock price increased significantly (10%), the yen depreciated against the dollar even more (-38%)

What are some tasks commonly performed in Facility and Mobile Equipment Maintenance jobs? Check all that apply.

testing vehicles to identify problems
cleaning vehicles and equipment
analyzing the flow of traffic
communicating with customers
steering and navigating vehicles
documenting information

Answers

Answer:

A,B,D,F

is correct

Explanation:

A parking garage in downtown Baltimore offers its services to both monthly customers, who pay a fixed fee every month, and to visitors, who pay an hourly fee (assume that the hourly fee is the same regardless of the day or time of day). Each monthly customer gets an ID assigned by the garage, and the garage wants to maintain the customer’s basic contact information. The monthly fee paid is negotiated separately for each customer, and it changes periodically; it is important for the garage to maintain a history of the fee details for each customer. The garage has more than 700 parking spots, each of which is equipped with a sensor that recognizes whether there is a car in the spot; in addition, the sensor can read each monthly customer’s customer ID card with an RFID reader and, thus, knows which monthly visitor has parked at which spot and when. Each spot is also equipped with a camera that is able to take a picture of each visitor’s license plate number; this information is stored to help locate any vehicle that an owner has misplaced. The system should keep track of each time a parking spot is used, including an image of the license plate, start and end times, and a link to the monthly customer, if appropriate.

1. Create a high-level ERD which shows only the cardinality and modality between the main entities.
2. Write out the tables including cardinalities, primary and foreign keys.

Answers

High Level Entity Relationship Diagram which shows only cardinality and modality between main entities:

Customer  ------< Payment >------  Garage

Customer  ------< Spot >------  Garage

1- High-Level ERD:

High Level ERD, or High Level Entity Relationship Diagram, is a visual representation of the relationships between different entities in a data model. It is used to illustrate how different entities interact with one another, and how they can be used to store and retrieve data. High Level Entity Relationship Diagram's are typically used to help define the structure of a database, and they can be used to help identify potential problems that may arise when designing a database.

Customer  ------< Payment >------  Garage

Customer  ------< Spot >------  Garage

2 - Tables:

Monthly Customer Table:

Primary key: Customer ID

Fields:

Customer ID

Name

Contact information

Fee details (history)

Monthly Parking Spot Table:

Primary key: Spot ID

Foreign key: Customer ID

Fields:

Spot ID

Customer ID

Parking Event Table:

Primary key: Event ID

Foreign key: Spot ID

Fields:

Event ID

Spot ID

License plate number

Start time

End time

Hourly Parking Spot Table:

Primary key: Spot ID

Fields:

Spot ID

Visitor Table:

Primary key: Visitor ID

Fields:

Visitor ID

Name

Contact information

Parking events (many-to-many link to Parking Event table)

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Reese opened his business in February. Due to circumstances beyond his control, it closed in August. What month of this short tax year will serve as the midpoint for purposes of calculating depreciation using the half-year convention?

Answers

Reese opened his business in February. Due to circumstances beyond his control, it closed in August. The month of this short tax year that will serve as the midpoint for purposes of calculating depreciation using the half-year convention is: July. (Option D)

What is tax year?

For a short tax year, the month of July will be used for depreciation using the midpoint technique. This is because when an asset is acquired throughout the year and used after the second half, July 1 is used to calculate depreciation using the half-year approach. As a result, option d, July, is the right answer.

A fiscal year is used in government accounting, which differs by country, as well as budgeting. Businesses and other organizations also utilize it for financial reporting.

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Full Question:

Jackson opened his business in February. Due to circumstances beyond his control, it closed in August. What month of this short tax year will serve as the midpoint for purposes of calculating depreciation using the half-year convention?

A) April

B) May

C) June

D) July

Perpetual Inventory Using Weighted Average
Beginning inventory, purchases, and sales for WCS12 are as follows:
340 units at $10
200 units
360 units at $11
400 units
Oct. 1
13
22
29
Inventory
Sale
Purchase
Sale
a. Assuming a perpetual inventory system and using the weighted average method, determine the weighted average unit cost after the October 22 purchase. Round your answer to
two decimal places.
per unit
b. Assuming a perpetual inventory system and using the weighted average method, determine the cost of goods sold on October 29. Round your "average unit cost" to two decimal
places.
$
c. Assuming a perpetual inventory system and using the weighted average method, determine the inventory on October 31. Round your "average unit cost" to two decimal places

Answers

Perpetual Inventory can be calculated as follows:

a. Weighted average unit cost after the October 22 purchase:

Beginning inventory:

340 units at $10 = $3,400

Purchases:

200 units at $10 = $2,000

360 units at $11 = $3,960

Total units: 340 + 200 + 360 = 900 units

Total cost: $3,400 + $2,000 + $3,960 = $9,360

Weighted average unit cost = Total cost / Total units

=$9,360 / 900 units

≈ $10.40 (rounded to two decimal places)

b. Cost of goods sold on October 29:

Units sold: 400 units

Cost of goods sold = Units sold * Weighted average unit cost

= 400 units * $10.40

= $4,160

c. Inventory on October 31:

Remaining units: 100 units (900 units - 400 units)

Weighted average unit cost (from part a): $10.40

Inventory value = Remaining units * Weighted average unit cost

= 100 units * $10.40

= $1,040

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If your manager were to give you a complex project that involved a lot of research and analysis to provide information to write a detailed and accurate report, how might you make it more manageable? What type of communication skills would that require? Please write at least 5 sentences.

Answers

A large project report can be easier to manage if the key components are first outlined as a thesis statement and the duties are divided into manageable chunks.

A report is what?

A report is a written statement or document that outlines the major problems or happenings inside an organization and aids in understanding the internal and external forces at play.

It's crucial to have written communication abilities that enable someone with a strong vocabulary to precisely communicate the notion to the reader in order for a report to be effective and correct.

It is necessary to create an outline plan for the task that needs to be done since it aids in framing the report aspects when a project report requires extensive research and analysis to deliver information.

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Determine if each of the following plans are short term, long term, or operational.
1. Participate in student organizations that will help build my practical experience and make me a more competitive candidate
A. Short Term
B. Long Term
C. Operational

2. Identify and get accepted into the program I want to attend
A. Short Term
B. Long Term
C. Operational

3. Continue developing my professional network in ways that can connect me with graduate schools, scholarships and career opportunities
A. Short Term
B. Long Term
C. Operational

Answers

Answer:

1.B. Long Term

2.A. Short Term

3.B. Long Term

Explanation:

Strategic planning is determining and framing a predetermined sequence of action for the achievement of a preset goal.

whether the plans are short term, long term, or operational?

1. participating in an student organization for gathering practical experience and building personal growth is a long term vision as the experience will help over a long period and thus it is a long term plan.

2. Getting an invitation or an acceptance in a program one wants to attend does not relates with long term or operational plan as it is simply a short term plan.

3. Developing continuously the professional network with a view to access new career opportunities by connecting with people is a operational plan because it is not just a fixed target, it is continuous in nature.

Therefore the plan in the first scenario is long term , the second scenario it is a short term plan and the third scenario is an operational plan. Thus , OPTION B, A and C are correct receptively.

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SELECT AN ORGANISATION OF YOUR CHIOCE.
1.1 SUMMARISE THE NATURE OF BUSINESS
1.2 SUMMARISE THE BUSINESS MODEL
1.3 WHAT ARE THE KEY BUSINESS DRIVERS
2.1 NATURE OF DECISION DESCRIBING WHAT DECISION NEEDED TO BE MADE AND WHY
2.2 SUMMARISE HOW WAS THE DECISION MADE
2.3 ANALYSE THE DECISION MADE AND DESCRIBE IF A QUALITATIVE OR QUANTITATIVE APPROACH WAS USED AND JUSTIFY YOUR RESPONSE
2.4CONFIRM WHY WAS THIS APPROACH TAKEN BY THE BUSINESS AND APPRAISE THIS APPROACH FROM RISK MODELLING PERSPECTIVE
3.1 USING THE SELECTED BUSINESS DECISION FROM ABOVE, IDENTIFY AT LEAST 5 RISKS THAT NEEDED TO BE CONSIDERED TO MAKE THE SAME
3.2 USING THE RISK REGISTER IN THE PREVIOUS SECTION, CONDUCT A QUALITATIVE RISK ANALYSIS FOR THESE 5 RISKS BY PROPOSING THE PROBABILITY OF OCCURRENCE AND IMPACT FOR EACH RISK
3.3 USING A MATRIX INCLUDED IN APPENDIX A, PLOT THE RISKS ON A HEAT MAP AND EXPLAIN WHAT THE MAP MEANS
4.1 USING THE REGISTER DERIVED IN QUESTION 3.1, CALCULATE THE AVERAGE IMPACT (EXPECTED MONETARY VALUE) USING AGGREGATION OF STATIC VALUES
4.2 SUMMARISE WHAT DOES THIS AVERAGE IMPACT VALUE MEANS FOR THE ORGANISATION
5.1 USING THE REGISTER FROM 3.1, CALCULATE THE 5 POSSIBLE EXPECTED MONETORY VALUES USING THE AGGREGATION OF THE RISK DRIVEN OCCURRENCES METHODOLOGY
5.2 DESCRIBE THE RESULT OF THIS METHODOLOGY USING AN APPROPRIATE DIAGRAM
5.3 SUMMARISE WHAT DOES THIS AVERAGE IMPACT VALUE MEANS FOR THE ORGANISATION

Answers

An organization that will be analyzed in this context is Coca-Cola.1.1 Summary of the nature of the business:Coca-Cola is one of the most well-known beverage manufacturers in the world. They create fizzy drinks, juices, and water for a variety of markets.

Their drink portfolio includes more than 200 brands sold in over 200 countries.1.2 Summary of the business model:Coca-Cola Company follows a business model based on creating strong brands that generate significant customer demand.

Their main goal is to build and enhance brand equity. They engage in extensive advertising and promotion campaigns to attract more consumers.1.3 What are the key business drivers:Coca-Cola's essential business drivers are its brand, extensive distribution network, market reach, product innovation, customer satisfaction, and product differentiation.2.1 Nature of decision describing what decision needed to be made and why:The business decision that was taken by Coca-Cola was regarding the selection of the right marketing mix, which is a critical decision.

This allowed them to gain valuable insights into how the consumers perceive their products, which they could use to develop targeted marketing strategies. From a risk modeling perspective, the approach is beneficial because it allows the company to minimize the risks by identifying the issues that consumers may face with their products.3.1 Using the selected business decision from above, identify at least 5 risks that needed to be considered to make the same:1. Competition from other beverage manufacturers2. Consumer preferences and behavior3. Changes in market trends4. Fluctuating economic conditions

5. Changing health and safety regulations3.2 Using the risk register in the previous section, conduct a qualitative risk analysis for these 5 risks by proposing the probability of occurrence and impact for each risk:The following table shows the qualitative risk analysis for the five risks that were identified:RiskProbabilityImpactCompetitionMediumHighConsumer preferences and behaviorHighHighChanges in market trendsLowHighFluctuating economic conditionsHighMediumChanging health and safety regulationsLowMedium3.3 Using a matrix included in Appendix A, plot the risks on a heat map and explain what the map means:The risks were plotted on a heat map, as shown below:The heat map shows that the competition and consumer preferences risks have a higher probability of occurrence and impact, while the changes in market trends and health and safety regulations have a lower probability of occurrence and impact.4.1 Using the register derived in question 3.1, calculate the average impact (expected monetary value) using aggregation of static values:

The five possible expected monetary values are calculated by multiplying the probability of each risk and the range of possible impacts.RiskProbabilityImpactRange of possible impactsExpected Monetary ValueCompetitionMedium$2,000,000-$4,000,000$1,200,000Consumer preferences and behaviorHigh$3,000,000-$5,000,000$3,000,000Changes in market trendsLow$1,000,000-$3,000,000$300,000Fluctuating economic conditionsHigh$1,000,000-$2,000,000$1,200,000Changing health and safety regulationsLow$500,000-$1,000,000$50,000Total Expected Monetary Value$5,750,0005.2 Describe the result of this methodology using an appropriate diagram:The following diagram shows the possible expected monetary values for the five risks:5.3 Summarize what does this average impact value mean for the organization:

The average impact value means that the Coca-Cola Company could potentially lose an estimated $5,750,000 due to the five risks that were identified. This value represents the range of possible impacts that the company may face, given the probability of occurrence of each risk. The company can use this information to identify the risk mitigation strategies that are required to minimize the impact of these risks.

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you will choose one federal agency to discuss in an informative essay. You should do outside research and write an essay on the structure of the agency and it’s function

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The Department of Homeland Security (DHS) oversees the movement of individuals and merchandise across the United States as well as the protection of the national frontiers.

What is the role of department of Homeland Security?

To protect the United States from potential terrorist acts and some other natural calamities, the Department of Homeland Security (DHS) is in charge.

All DHS Units immediately report to the Office of the Secretary under DHS organizational structure. The Secretary and Deputy Secretary, this same Chief of Staff, the Counselors, alongside their separate staffs make up the Office of the Secretary. There is no Component to which this staff is attached.

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help with the blank lol

help with the blank lol

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What bank are u talking about

What is the equilibrium price

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The equilibrium price refers to the cost of goods and services for the consumer where the forces of market supply are equal to the forces of market demand.

What do you mean by Price?

A price refers to the money that needs to be paid for acquiring a particular good, product, or service.

When the supply of goods and services is equal to the demand of goods and services, it is known as an equilibrium price.

The market is in a state of equilibrium when the forces of supply and demand are equal.

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AARP expects agents offering AARP-branded products to demonstrate five key behaviors when interacting with customers. AARP wants customers we work with to feel their relationship with AARP is

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There are key behaviors that AARP expects from agents offering AARP-branded products because they want customers to feel their relationship with AARP is Effortless and inspiring.

What kind of relationship does AARP want to have with customers?

The American Association of Retired Persons(AARP) as the name implies, work with the elderly in society who often require greater care.

As a result, the AARP places a huge premium on its agents working well with their customers (the elderly) such that the customers don't feel stressed and are instead impressed by effortless and inspiring actions.

Options include:

Effortless and inspiring Shrewd and disconcertingStressful and uncertain

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Required information Skip to question [The following information applies to the questions displayed below.]
In preparation for developing its statement of cash flows for the year ended December 31, 2021, Rapid Pac, Inc., collected the following information: ($ in millions) Fair value of shares issued in a stock dividend $ 65 Payment for the early extinguishment of long-term bonds (book value: $97 million) 102 Proceeds from the sale of treasury stock (cost: $17 million) 22 Gain on sale of land 4 Proceeds from sale of land 12 Purchase of Microsoft common stock 160 Declaration of cash dividends 44 Distribution of cash dividends declared in 2020 40
Required: 1. In Rapid Pac’s statement of cash flows, what were net cash inflows (or outflows) from investing activities for 2021? (Amounts to be deducted should be indicated with a minus sign. Enter your answers in millions (i.e., 10,000,000 should be entered as 10).)

Answers

Answer:

($148 million)

Explanation:

Calculation to determine Rapid Pac’s statement of cash flows, what were net cash inflows (or outflows) from investing activities for 2021

Cash flow from Investing activities ($ Million)

Proceeds from sale of land 12

Purchase of Investment (160)

Net cash inflows (outflows) from Investing activities ($148)

Therefore Rapid Pac’s statement of cash flows, what were net cash inflows (or outflows) from investing activities for 2021 will be ($148 million)

Five subtracted from the product of 10 and a number is less than 30. Use the variable b for the unknown number.​

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Ok so you want to set up an equation using b where b is a number which is less than 30. All you have to do is write out the way it sounds , 5 less than means whatever inside is being subtracted by 5 so you can write ___ -5 the product of 10 and a number means you can write 10 x b - 5

Which of the following statements about the W-2 form is TRUE?
1.AW-2 lists all the money you earned in cash over the last year
2. You need a separate W-2 form from EACH of your employers in order to file your taxes

3.The W-2 includes information about the interest you earned from your investments
4.The total wages you earned from ALL jobs you worked in the previous year appear on ONE W-2 form

Answers

Answer:

I believe it it the second option.

Explanation:

Once her teams goals were set Alyssa asked each team member to come up with a(n)____ to reach her goals.

Answers

Once her team's goals were set Alyssa asked each team member to come up with a(n) action plan to reach her goals.

What is an Action Plan?

This refers to the document that shows the list of steps that should be taken by a person in order to achieve or actualize their goals in a methodical manner.

Hence, we can see that based on the fact that the team goals have been set, Alyssa asked her team to form an action plan which was to help them achieve her goals and shows the list of actions and steps to be taken.


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Identify the features of stocks and bonds.

coupon rate
face value
closing price
maturity date

Stock? Bond ?


Plato/edmentum unit 3 finance

Answers

Answer:

Stocks:

closing price maturity rate

Bonds :

Coupon rate Face value

Explanation:

A stock entitles the holder to dividend payments and gives ownership right of a company to the holder.  

The closing price of a stock is the last price that the stock sells for at the end of a trading session

A bond is a debt instrument.

1. Some businesspeople believe that elimination agents and wholesalers reduce their operating expenses. Discuss the opportunity costs associated with eliminating intermediaries.

Answers

1. While eliminating intermediaries may result in reduced operating expenses, businesses need to weigh these savings against the associated opportunity costs. These costs may include the loss of expertise and value-added services, additional responsibilities and expenses, and reduced customer access to products.

Eliminating intermediaries such as elimination agents and wholesalers reduce operating expenses, but it also has associated opportunity costs that businesses need to consider. One of the primary costs is the loss of the expertise and value-added services that intermediaries offer to businesses and customers. Eliminating intermediaries may result in businesses taking on additional responsibilities and expenses such as marketing, distribution, and logistics.

This may result in the need for additional staff and resources to ensure that products reach customers on time. Furthermore, eliminating intermediaries may also result in reduced customer access to products, as intermediaries are often responsible for finding new markets and customer segments. In this case, businesses may need to invest additional resources to market and promote their products to reach new customers.

In conclusion, while eliminating intermediaries may result in reduced operating expenses, businesses need to weigh these savings against the associated opportunity costs. These costs may include the loss of expertise and value-added services, additional responsibilities and expenses, and reduced customer access to products.

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True or False: Companies encourage their employees to hold stock in the company because it gives employees the incentive to work hard. Consider a branching process whose offspring generating function is (s) = (1/6) + (5/6)s^2. Obtain the probability of ultimate extinction. Enter your answer as an integer of the form m or a fraction of the form m/n. Do not include spaces. The image is attached a the bottomPlease Help!!!! If quadrilateral ABCD is congruent to PQRS, then find the missing values and enter the answers in the corresponding labels Can You help me with this? What is 20 divided by 10 plus 50 (1) Calculate the optimal Economic Order Quantity for one of the companys raw materials when its estimated demand for 2023 is 50005 pieces, order cost is 20 per order, delivery costs is 50 per order and storage cost 5% per year. Average price of one raw material is 120 Euros.(A) How much of that raw material should be in stock when placing a new order in order to place a new order arrives just before you have to use the Reorder Point? The average delivery time is 5 days, demand can be expected to be linear and your company has 2 days to emergency storage. Explain some of the benefits and drawbacks of using social media within a criminal investigation.Please write a full sentence or l report you. Radon-222 is a colorless and odorless gas that is radioactive, undergoing alpha-decay with a half-life of 3.8 days. What atom remains after this process? O Carbon-12 O Radium-226 O Polonium-218 O Uranium-238 O Radon-222 factorise p-q-x(q-p) What helps plants stay in place and get water?A.rootsB.LeavesC.StemsD.All of the above Charlotte has a large container of only red beads.Harry has a large container of only blue beads.Charlotte and Harry swap 40 beads.This means that Charlotte gets 40 of Harry's blue beads in her container and Harry gets 40 of Charlotte's red beads in his container.Charlotte now randomly picks 90 beads from her container and notices that 9 are blue.Harry now randomly picks 80 beads from his container and notices that 70 are blue.If all the beads were placed in one container, work out an estimate for the ratio of red to blue beads.Simplify your answer fully. american indian men in both northeast and southeast DOes anyone know the answer to thiss?? ALL 3 Select one body system that you learned about in the video and explain how it works with the circulatory system. PLEASE HELP WILL MARK BRAINLIEST . Which is the best statement of the angle-angle similarity theorem?A. When the preimage of a triangle is a dilation of the image, the triangles are similar.When triangles have two pairs of corresponding angles that are congruent, the third pair of angles is also congruent.B. When triangles have two pairs of corresponding angles that are congruent, those triangles are similar.C. When the interior angles of a polygon sum to 180 degrees that polygon is a triangle. could someone please write a thesis for this?How does Katherine Mansfield use symbolism to reinforce the theme of the short story The Dolls House? Focus1Read the following extract from the opening of a detective storycalled Broken Promises. Write a summary of what it reveals about thepersonality of the detective, Lian.orLian quietly knocked on the door, and waited. She knew theowner of the shop, Mr Chan, a large, unfriendly man who wasalways getting into arguments with people. But now he was inneed of help. Jewellery - and lots of it - had been stolen fromhis shop the previous evening.Mr Chan opened the door. 'Wondered when you'd bother toturn up,' he said abruptly.Lian said nothing but entered the shop, stepping quietlybehind Mr Chan. He walked like an angry bear. She let him talk.'They got in through this window. I called you lot twelve times.Where have you been?' he demanded.Lian said nothing, but looked carefully at the broken windowand the way the glass lay on the floor. She knew straight away.'I think I can solve this very quickly,' she said quietly, as sheconfidently looked Mr Chan right in the eye. Mr Chan blinkedand for once, said nothing. last year the price per share of stock x increased by k percent and the earnings per share of stock x increased by m percent, where k is greater than m. by what percent did the ratio of price per share to earnings per share increase, in terms of k and m ?