When creating a work breakdown structure (wbs), a project man-ager should focus on deliverables rather than act-ions.
What is a Work Breakdown Structure?A work breakdown structure (WBS) is a project manage-ment tool that takes a step-by-step app-roach to complete large pro-jects with several moving pieces. By break-ing down the project into smaller components, a WBS can inte-grate scope, cost and deliver-ables into a single tool.
The Project Management Institute (PMI) Project Manage-ment Book of Knowledge (PMBOK) defines the Work Break-down Structure as a “deliverable oriented hierarchical decom-position of the work to be executed by the project team.” There are two types of WBS: 1) Deliver-able-Based and 2) Phase-Based.
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I'll have to investigate fraud once a person notifies them in writing that their information is an accurate
I'll have to investigate fraud once a person notifies them in writing that their information is an accurate and it does not show on records
How to investigate fraudIf an individual notifies in writing that their information is accurate and there are no indications of fraud, a fraud investigation may not be necessary. Instead, the focus should be on verifying the accuracy of the information and addressing any discrepancies through a verification or reconciliation process.
It is essential to communicate with the individual, update records if necessary, and maintain proper documentation. However, if fraud suspicions arise during the verification process or if the person later reports suspected fraud, a fraud investigation should be initiated following appropriate procedures.
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Let's say that a country produces the following products:
5 Dust Mop Slippers at a price of $10 each;
8 Toilet Shaped Water Bowls for Dogs at a price of $25 each.
10 Automatic Spaghetti Twirling Forks at a price of $5 each.
5 pounds of stone (used in the production of the 3 final products listed above) at a price of $4 per pound.
1 pound of plastic (used in the production of the 3 final products listed above) at a price of $3 per pound.
The country's total depreciation is $20.
What is this country's Gross Domestic Product?
The Acme Company produces and sells widgets. They currently charge $16 per widget, and they sell 256 widgets per week. If the price is increased to $17.06 per widget, then 34 fewer widgets per week can be sold. Assuming that demand is linear, find the value for elasticity of demand at the current price. Round as necessary.
Answer:
2.0
Explanation:
0.066
Why do young workers, just starting their careers, tend to get pay raises that are greater than increases in the cost of living (inflation)?
Young workers who are just starting their careers often experience pay raises that are greater than increases in the cost of living due to several factors:
Skill acquisition: Young workers typically have limited experience and skills when they start their careers. As they gain knowledge, expertise, and proficiency in their roles, their value to employers increases. Employers recognize this growth and provide pay raises to retain and motivate these employees.
Career advancement: Young workers often have the potential for rapid career advancement. They may start in entry-level positions but have opportunities to climb the career ladder relatively quickly. With each promotion or job change, there is an expectation of increased responsibility and higher compensation.
Market demand for skills: Certain industries or professions may experience high demand for young workers with specific skills or qualifications. When there is a shortage of talent in a particular field, employers may offer higher pay to attract and retain young professionals.
Competitive job market: In a competitive job market, employers may need to offer higher wages to attract and retain young talent. With multiple job opportunities available, young workers have more leverage to negotiate better compensation packages.
Future potential and investment: Employers often view young workers as long-term investments. They recognize the potential for these individuals to become valuable assets to the company in the future. By offering higher pay raises, employers aim to motivate and retain young talent, fostering loyalty and commitment.
It's important to note that not all young workers experience pay raises greater than inflation. Economic conditions, industry-specific factors, and individual performance can influence the extent of pay raises. Additionally, pay raises that exceed inflation may be more prevalent for high-demand industries or specialized roles.
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Which of the following best describes how the Federal Reserve Bank helps
banks during a bank run?
A. The Federal Reserve Bank regulates exchanges to prevent the
demand for withdrawals from rising above the required reserve
ratio.
B. The Federal Reserve Bank has the power to take over a private
bank if customers demand too many withdrawals.
C. The Federal Reserve Bank can provide a short-term loan to banks
to prevent them from running out of money.
D. The Federal Reserve Bank acts as an insurance company that
pays customers if their bank fails.
Answer:
C. The Federal Reserve Bank can provide a short-term loan to banks
to prevent them from running out of money.
Explanation:
A job analysis report transforms the analysis into three components: an
analysis, a summary, and
?
Work activities, worker attributes, and work context are the three main categories of data used in job analysis.
What is Job analysis?Work analysis is the process of gathering all the essential details about a certain job, including the tasks involved, the knowledge and skills needed to accomplish the job, and the responsibilities and skills necessary for the job to be performed successfully.
One of the most crucial tasks carried out by a human resource manager is job analysis. By defining the relevance, definition, and technique of "job analysis" with an emphasis on the job description & job specification, which are seen as the process's output, this article will help readers understand the concept.
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1. Who do you want to win the 2020 Election? (Biden Harris/Joe Biden, Donald Trump)
2. Who do you think will win the 2020 Election? (Biden Harris/Joe Biden, Donald Trump)
(Business is the best subject i could find for politics XD)
1. I would like Joe Biden to win the 2020 Presidential Election. The reason why is because Joe Biden supports rights for black lives, people in the lgtbq+ community, women's rights, and lots of other things.
2. I personally believe the election is close to call, so I can not give one definite answer. But currently Joe Biden is taking the lead.
MAKARO SUPERSTORE TRIAL BALANCE 31 December, 2022 Capital 30000$ Plant and Machinery 50,000$ Debtors 200,000$ Creditors 100,000$ Loan 95,000$ Interest on Loan 3,000$ Cash 20,000$ Provision for Doubtful Debts 7,000$ Stock on 1st April, 2017 68,000$ Motor Vehicles 100,000$ Bank 35,000$ Land and Building 120,000$ Bad Debts 5,000$ Purchases 660,000$ Sales 1,100,000$ Purchases Return 15,000$ Sales Return 80,000$ Transportation Out Carriage Outwards 25,000$ Transportation In Carriage Inwards 30,000$ Salaries 90,000$ Rent and Insurance 30,000$ Advertising 35,000$ Discount Received 5,000$ General Expenses 34,000$ Bills Receivable 60,000$ Bills Payable 20,000$ Rent Received 3,000$
To prepare the Makara store balance sheet, we will categorize the items into their respective asset, liability, and equity categories.
MAKARO SUPERSTORE Balance Sheet As of 31 December, 2022Assets:
Plant and Machinery: $50,000
Debtors: $200,000
Cash: $20,000
Stock: $68,000
Motor Vehicles: $100,000
Bank: $35,000
Land and Building: $120,000
Bills Receivable: $60,000
Total Assets: $653,000
Liabilities:
Creditors: $100,000
Loan: $95,000
Interest on Loan: $3,000
Provision for Doubtful Debts: $7,000
Bills Payable: $20,000
Total Liabilities: $225,000
Equity:
Capital: $30,000
Total Equity: $30,000
Total Liabilities and Equity: $653,000
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Miller Park Stadium Project Case Study
Answer:
what about it lol there's no question
What is the first thing people should do when creating a budget?
A. Record everything that they spend and what they spend it on
B. Cut spending in every category of expenditures drastically
OC. Put every extra dollar towards paying off their debts
D. Hire an accountant or financial planner to take care of it
it’s A
When creating a budget people should Record everything that they spend and what they spend it on. The appropriate response is option A.
What is a budget ?A budget is an estimate of income and expenditures for a given future period of time, and it is often created and updated on a regular basis. A individual, a group of people, a corporation, a government, or pretty much anything else that makes and spends money can all have budgets.
Budgeting is essential if you want to control your monthly spending, be ready for life's unforeseen events, not falling into debt. Monitoring your income and expenses is a crucial component of budgeting.
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As a brand manager for Honey Bunches of Oats cereal, you propose lowering the price by 4 percent. What will you tell your supervisor about what you expect will be the impact on sales in the short run and in the long run
If the price of Honey Bunches of Oats cereal are reduced by 4%, then the short term effects would be:
It would bring more customers.The long term effects would be:
It would force us to upscale our comparative advantage because our competition would likely reduce their prices too.What are Short Term Effects?This refers to the effects which can be seen in a short time period as a result of a particular action.
With this in mind, if the price of a good is reduced by 4%, then on the short term, it would bring more customers but in the longer term, there would be a need to further upscale comparative advantage to keep the customer base.
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What is the function of the evaporator?
Answer:
The evaporation of water is a physical process by which water changes from a liquid state to a gaseous state or water vapor. This process takes place on the surface of the water from a certain temperature and until the space is saturated with steam.
If production is increased to 700 boxes per day after the change in work rules, what is the new productivity?
Answer:
The new productivity is "29.17 boxes per hour". A further solution is provided below.
Explanation:
The given number of boxes,
= 700 boxes
After the change in the work rule,
The productivity will be:
= \(\frac{700 \ boxes}{3\times 8 \ hours}\)
= \(\frac{700 \ boxes}{24 \ hours}\)
= \(29.17 \ boxes \ per \ hr\)
The work done by people to produce goods and services is called
On June 1, Murphy Company paid $5,400 for one year of advertising in advance. Murphy debited Prepaid Advertising. The advertising expense will be used evenly throughout the year. If the appropriate adjusting entry is not made at the end of the year, what will be the effect on:
Answer:
Expenses = Understated by $3,150
Assets = Overstated by $3,150
Explanation:
When Murphy Company paid for advertising in advance on June 1, the entries will be :
Prepaid Advertising $5,400 (debit)
Cash $5,400 (credit)
By the year end, December 31, 7 months advertising expense would have been expired the entries must be :
Advertising Expense $3,150 (debit)
Prepaid Advertising $3,150 (credit)
Advertising Expense Calculation = $5,400 × 7/12 = $3,150
Thus, if not adjusted the following are the effects :
Expenses = Understated
Assets = Overstated
What types of decisions occur in situations in which a few established processes help to evaluate potential solutions, but not enough to lead to a definite recommended decision?
Answer: Semi structured decisions
Explanation:
Semi structured decisions are the decisions that occur in situations in which a few established processes help to evaluate potential solutions, but not enough to lead to a definite recommended decision.
Semi structured decisions are also referred to as the decisions which are basically in the middle of the structured decisions and the unstructured decisions, which has to do with the use of human judgment and agreement based on solution method.
You need to choose between making a public offering and arranging a private placement. In each case, the issue involves $10.5 million face value of 10-year debt. You have the following data for each: A public issue: The interest rate on the debt would be 8.75%, and the debt would be issued at face value. The underwriting spread would be 1.55%, and other expenses would be $85,000. A private placement: The interest rate on the private placement would be 9.5%, but the total issuing expenses would be only $35,000.
Required:
a. Calculate the net proceeds from public issue.
b. Calculate the net proceeds from private placement.
c. Calculate the PV of the extra interest on the private placement.
d. Other things being equal, which is the better deal?
a. The calculation of the net proceeds from the public issue is $10,252,250.
b. The calculation of the net proceeds from the private placement is $10,465,000.
c. c. The present value (PV) of the extra interest of $787,500 on the private placement is $755,966.89, calculated as follows using an online finance calculator:
N (# of periods) = 10 years
I/Y (Interest per year) = 0.75% (9.5% - 8.75%)
PMT (Periodic Payment) = $78,750 ($10.5 million x 0.75%)
FV (Future Value) = $0
Results:
PV = $755,966.89
Sum of all periodic payments = $787,500.00
d. All things being equal, the better deal appears to be the public issue of the debt.
How is a public issue different from a private placement?A public issuance of shares involves an initial public offering by placing the shares in the stock market so that investors can purchase shares. A private placement pre-selects the investors who will purchase the shares as the offering is not made public.
Data and Calculations:Public Issuance:
Face value of debt = $10.5 million
Maturity period = 10 years
Interest rate - 8.75%
Underwriting cost = $162,750 ($10.5 million x 1.55%)
Other expenses = $85,000
Total costs = $247,750
Net proceeds = $10,252,250 ($10.5 million - $247,750)
Private placement:
Face value = $10.5 million
Maturity period = 10 years
Interest rate = 9.5%
Total issuing expenses = $35,000
Net proceeds = $10,465,000 ($10.5 million - $35,000)
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Sheridan Company has $21000 of ending finished goods inventory as of December 31, 2019. If beginning finished goods inventory was $15000 and cost of goods sold was $50000, how much would Sheridan report for cost of goods manufactured
Answer:
$56,000
Explanation:
The computation of the cost of goods manufactured is shown below:
As we know that
Cost of goods sold = Opening finished goods inventory + cost of goods manufactured - ending finished goods inventory
$50,000 = $15,000 + cost of goods manufactured - $21,000
So, the cost of goods manufactured is
= $50000 + $6,000
= $56,000
Select the correct answer how many justices must agree to an opinion for the Supreme Court to issue a decision
A majority of the justices, or five out of the nine on a full Court, must agree. The opinion has been written at this point. This is the court's judgment in writing.
What is the significance of the Supreme Court?In our system of government based on the Constitution, the Supreme Court is incredibly significant.
First and foremost, it acts as the final resort for anyone looking for justice because it is the nation's highest court. Second, it is crucial for ensuring that each arm of government understands the boundaries of its own authority because of its ability to conduct judicial reviews.
Third, it defends civil liberties and rights by overturning unconstitutional legislation. Finally, it establishes reasonable boundaries for democratic government by preventing popular majorities from passing legislation that discriminates against or unfairly benefits unpopular minorities.
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If $3,000 is invested at 7% for 6 months, how much simple interest is earned? a. $105.00, b. &150.50, c. $180.00, d. $210.00
The answer is d. $210 is wrong
Answer: A = $3,105.00 I = A - P = $105.00, hence the simple interest is $105.00.
Simple interest calculationGiven DataPrincipal = $3,000
Rate = 7%
Time = 6 months
Equation:
A = P(1 + rt)
Calculation:
First, converting R percent to r a decimal
r = R/100 = 7%/100 = 0.07 per year.
Putting time into years for simplicity,
6 months / 12 months/year = 0.5 years.
Solving our equation:
A = 3000(1 + (0.07 × 0.5)) = 3105
A = $3,105.00
The total amount accrued, principal plus interest, from simple interest on a principal of $3,000.00 at a rate of 7% per year for 0.5 years (6 months) is $3,105.00.
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A free enterprise system provides individuals the opportunity to make their own economic decisions, without restrictions from the government. It allows the supply and demand of consumers to determine the success or failure of an economic endeavor. As a result, some business owners have become successful, while others have not.
In an essay, you will choose an entrepreneur and argue whether the free enterprise system was necessary for that individual to make an impact on the business world.
The entrepreneur that is chosen for this argument is Steve Jobs. Steve Jobs was one of the co-founders of Apple, which is now a trillion-dollar company.
The free enterprise system was necessary for Steve Jobs to make an impact on the business world. Steve Jobs did not come from a wealthy background, but he had a passion for technology. The free enterprise system allowed him to start a business without any restrictions from the government.
He was able to create innovative products, such as the iPhone and iPad, and sell them to consumers. The supply and demand of consumers determined the success or failure of his business endeavors. Steve Jobs was able to create a successful company and become a billionaire because of the free enterprise system.
Without the free enterprise system, Steve Jobs may not have been able to start a successful business and make an impact on the business world.
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True or False: Logistics management is the primary process of supply chain management.
True or False: The Economic Production Quantity depends in part on the maximum inventory and setup costs.
Answer:
1 .)True
2.)True
Explanation:
thanks for the points
1. Find the derivative y' = dy/dx:
(a) y = 5x2 + 2x-1/2 + 3
(b) y = (3x2 - 1)(5x2 + 2x)
What is the y prime?
Answer:
you did the questions right . very good
What are luxury home bar manufacturers?
Answer:
Some luxury home bar manufacturers include:
1. Kalamazoo Outdoor Gourmet
2. Sub-Zero and Wolf
3. True Residential
4. Perlick
5. U-Line
6. Marvel Refrigeration
7. Scotsman
8. Hestan
9. Lynx Grills
10. Viking Range.
Calculating Cost of Debt For the firm in the previous problem, suppose the book value of the debt issue is $35 million. In addition, the company has a second debt issue on the market, a zero coupon bond with 12 years left to maturity; the book value of this issue is $80 million and the bonds sell for 61 percent of par. What is the company’s total book value of debt? The total market value? What is your best estimate of the aftertax cost of debt now?
The best estimate of the aftertax cost of debt for the firm is 3.47% in the given case.
To calculate the total book value of debt, we sum the book values of both debt issues:
Total book value of debt = Book value of debt issue 1 + Book value of debt issue 2
Total book value of debt = $35 million + $80 million
Total book value of debt = $115 million
To calculate the market value of the zero coupon bond, we need to find 61% of the face value:
Market value of zero coupon bond = 0.61 x Face value of zero coupon bond
Market value of zero coupon bond = 0.61 x $80 million
Market value of zero coupon bond = $48.8 million
The total market value of debt is the sum of the market values of both debt issues:
Total market value of debt = Market value of debt issue 1 + Market value of debt issue 2
Total market value of debt = $35 million + $48.8 million
Total market value of debt = $83.8 million
To find the aftertax cost of debt, we need to first calculate the yield to maturity on the zero coupon bond. We know that the bond has 12 years left to maturity and sells for 61% of par, so we can use the following formula to find the yield to maturity:
61% of face value = $48.8 million
Par value = $100 million
Years to maturity = 12
Yield to maturity = ?
Solving for the yield to maturity using a financial calculator or spreadsheet, we get:
Yield to maturity = 4.83%
Next, we need to find the aftertax cost of debt for both debt issues separately and then weight them by their respective market values. We are given that the company's tax rate is 40%.
For the first debt issue, we are given that the coupon rate is 8% and that the bonds are currently selling at par, so the beforetax cost of debt is 8%. The aftertax cost of debt is:
Aftertax cost of debt issue 1 = Beforetax cost of debt issue 1 x (1 - Tax rate)
Aftertax cost of debt issue 1 = 8% x (1 - 40%)
Aftertax cost of debt issue 1 = 4.8%
For the zero coupon bond, we already calculated the yield to maturity, which is the beforetax cost of debt. The aftertax cost of debt is:
Aftertax cost of debt issue 2 = Beforetax cost of debt issue 2 x (1 - Tax rate)
Aftertax cost of debt issue 2 = 4.83% x (1 - 40%)
Aftertax cost of debt issue 2 = 2.90%
Finally, we can weight the aftertax costs of debt by their respective market values to get the overall aftertax cost of debt:
Overall aftertax cost of debt = (Market value of debt issue 1 / Total market value of debt) x Aftertax cost of debt issue 1 + (Market value of debt issue 2 / Total market value of debt) x Aftertax cost of debt issue 2
Plugging in the numbers, we get:
Overall aftertax cost of debt = ($35 million / $83.8 million) x 4.8% + ($48.8 million / $83.8 million) x 2.90%
Overall aftertax cost of debt = 3.47%
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Companies go through different phases to reach product/market fit. These phases are the:
A) idea stage, the prototype stage, the launch stage, the traction stage, and the growth stage
B) idea stage, the prototype stage, the launch stage, the traction stage, the monetization stage, and the growth stage
C) the prototype stage, the launch stage, the traction stage, the monetization stage, and the growth stage
D) idea stage, the traction stage, the monetization stage, and the growth stage
Companies go through different phases to reach product/market fit. These phases are the: idea stage, the prototype stage, the launch stage, the traction stage, the monetization stage, and the growth stage
Option B
How well does the product meet the market?In its most basic form, a product's "market fit" refers to the extent to which it fits the demands of a significant target audience. It has been known for a long time that this is the first phase in the process of developing a successful business in which the firm meets early adopters, receives feedback, and determines interest in its product.
In other words, the product-market fit also describes a scenario in which a firm's target customers are buying, using, and telling others about the company's product in numbers large enough to sustain that product's growth and profitability. This can be achieved when the product is tailored to meet the needs of the target customers.
In a nutshell, product-market fit is defined by Marc Andreesen, the man who is credited with creating this idea, as the process of locating a suitable market together with a product that is able to fulfill the requirements of that market.
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Fill in the missing amounts.
Monty Corp.
Whispering Winds Corp.
Sales revenue
$90,000 $enter a dollar amount
Sales returns and allowances
enter a dollar amount 5,000
Net sales
84,000 106,000
Cost of goods sold
53,760 enter a dollar amount
Gross profit
enter a subtotal of the two previous amounts 40,280
Operating expenses
15,120 enter a dollar amount
Net income
enter a total net income
Let understand that the organized table are intended to calculate missing numbers on Income Statement for the two companies are drawn below.
Here, we are calculating missing columns for Monty Corp. and Whispering Winds Corp.Also understand that the bold numbers are the columns calculated according to the question.
Particulars Monty Corp. Whispering Winds Corp.
Sales revenue $90,000 $111,000
Sales return and allowance $6,000 $5,000
Net sales $84,000 $106,000
Cost of goods sold $53,760 $65,720
Gross profit $30,240 $40,280
Operating expenses $15,120 $19,080
Net income $15,120 $21,200
In conclusion, the formulae used to derived the bolded answers are:
Sales revenue - Net sales = Sales returns and allowanceNet sales - Cost of goods sold = Gross profit Gross profit - Operating expenses = Net incomeNet sales + Sales return and allowance = Sales revenueNet sales - Gross profit = Cost of goods soldGross profit - Net income = Operating expensesSee similar solution here
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"Gold is preferred to cigarettes when used as money.” Give TWO reasons to explain this
argument.
Explanation:
the answer is in the image above
a company has budgeted total overhead at actual units produced of $10,400. the company has actual total overhead of $12,000. the controllable variance is:
If a company has budgeted total overhead at actual units produced of $10,400. the company has actual total overhead of $12,000. the controllable variance is: $1600 U.
How to find the controllable variance?Using this formula to determine the controllable variance
Controllable variance = Actual total overhead - Budgeted (flexible)
Where:
Actual total overhead = $12,000
Budgeted (flexible) = $10,400
Let plug in the formula
Controllable variance = $12,000 - $10,400
Controllable variance = $1600 U
Therefore the controllable variance is $1600 U.
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as Vincent gets older, he tends to look for high-paying jobs, watch for sales, and search for items and opportunities that invite happiness and fulfillment. What does Vincent's behavior demonstrate?
Vincent's behavior demonstrates rational self-interest.
What does Vincent's behavior demonstrate?Vincent's behavior of seeking high-paying jobs, looking for sales, and searching for opportunities that bring happiness and fulfillment aligns with the concept of rational self-interest. Rational self-interest refers to individuals making choices and pursuing actions that they believe will maximize their own well-being or self-interest.
In this case, Vincent is actively seeking opportunities that offer financial benefits (high-paying jobs, sales) and personal satisfaction (happiness and fulfillment). His actions are driven by the desire to improve his own economic and personal circumstances which is indicative of rational self-interest.
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