Answer: c. Flexible resource
Explanation:
In order to create an environment where employees can achieve their potential as they move the organization towards its goals, the manager role needs to be that of a flexible resource.
A flexible manager helps the employees achieve their potential as he or she tailors them in the right direction. They also help the workers to work productively which will be vital in the accomplishment of the goals of the organization.
Answer:
c. a flexible resource
Explanation:
A flexible resource use is the process by which businesses make changes to adapt to different circumstances in order to maintain competitive edge in the industry.
This method emphasises efficiency by use of available resources.
Resources employed include working tools and human resources.
This creates an environment where employees can achieve their potential as they move the organization towards its goals.
As new changes are made new roles are created that will lead to staff growth
Someone who takes charge and solves problems without being asked to is demonstrating.
a. loyalty
b. malleability
c. cooperativeness
d. initiative
.
Answer:
D.
Explanation:
Pina Colada Co. had the following transactions during the current period.
Mar. 2 Issued 5,000 shares of $5 par value common stock to attorneys in payment of a bill for $29,400 for services performed in helping the company to incorporate.
June 12 Issued 58,300 shares of $5 par value common stock for cash of $362,400.
July 11 Issued 1,025 shares of $100 par value preferred stock for cash at $130 per share.
Nov. 28 Purchased 2,520 shares of treasury stock for $78,000.
Requried:
Journalize the transactions.
Pina Colada Co. will record the following journal entries for the transactions.
Mar. 2 Debit Attorney's Fees $29,400
Credit Common Stock $25,000
Credit Additional Paid-in Capital - Common $4,400
To record the issuance of 5,000 shares at $5 par value for attorney's bill.June 12 Debit Cash $362,400
Credit Common Stock $291,500
Credit Additional Paid-in Capital - Common $70,900
To record the issuance of 58,300 shares at $5 par value for $362,400.July 11 Debit Cash $133,250
Credit Preferred Stock $102,500
Credit Additional Paid-in Capital -Preferred $30,750
To record the issuance of 1,025 shares of $100 par value at $130 per share.Nov. 28 Debit Treasury Stock $12,600
Debit Additional Paid-in Capital - Common $65,400
Credit Cash $78,000
To record the purchase of 2,520 shares at $5 par for $78,000.Data and Calculations:
Mar. 2 Attorney's Fees $29,400 Common Stock $25,000 Additional Paid-in Capital - Common $4,400
issuance of 5,000 shares at $5 par value.
June 12 Cash $362,400 Common Stock $291,500 Additional Paid-in Capital - Common $70,900
58,300 shares at $5 par value.
July 11 Cash $133,250 Preferred Stock $102,500 Additional Paid-in Capital -Preferred $30,750
1,025 shares of$100 par value at $130 per share
Nov. 28 Treasury Stock $12,600 Additional Paid-in Capital - Common $65,400 Cash $78,000
2,520 shares at $5 par for $78,000.
Learn more: https://brainly.com/question/24148265
With all other economic forces held constant, an increase in labor productivity throughout the country implies
(1 point)
an increase in GDP due to an increase in labor hours
a decrease in GDP with labor hours held constant
an increase in GDP with labor hours held constant
a decrease in GDP due to an increase in labor hours
When there is an increase in labor productivity, we observe that there is an increase in GDP with labor hours held constant.
Labor productivity:
Is goods produced by labor within a certain period of time Increases when more goods are produced in that periodLabor productivity therefore relates to goods being produced when the labor hours are kept constant. An increase in labor productivity is good for GDP because it means that more goods are being produced.
In conclusion, increased labor productivity means increased GDP at constant labor hours.
Find out more at https://brainly.com/question/6430277.
Here y'all!
1. an increase in GDP with labor hours held constant
2. A graphic designer attends a week-long seminar and learns advanced skills she can apply to her work.
3. the discovery of a way to improve software speed that increases employee productivity
4. discovering an inexpensive way to make steel
5. false since technological improvements can lead to certain jobs becoming obsolete
Your welcome ;)
NPV and maximum return A firm can purchase new equipment for a $ 17,000 initial investment. The equipment generates an annual after-tax cash inflow of $ 4,000 for 7 years. a. Determine the net present value (NPV) of the asset, assuming that the firm has a cost of capital of 13%. Is the project acceptable? b. Determine the maximum required rate of return that the firm can have and still accept the asset. a. The net present value (NPV) of the new equipment is $ 690.44. (Round to the nearest cent.) Part 2 Based on its NPV, is the new equipment acceptable? (Select the best answer below.) Yes Your answer is correct. No Part 3 b. The maximum required rate of return the firm can have and still accept the new equipment is enter your response here%. (Round to two decimal places.)
The net present value (NPV) of the new equipment is $ 690.44. .
Based on the NPV, the project is acceptable.
The maximum required rate of return the firm can have is 14.29%.
What is the NPV?Net present value is the present value of after-tax cash flows from an investment less the amount invested. Only projects with a positive NPV should be accepted. A project with a negative NPV should not be chosen because it isn't profitable
Net present value = -17,000 + 4000 / 1.13 + 4000 / 1.13² + 4000 / 1.13³ + 4000 / 1.13^4 + 4000 / 1.13^5 + 4000 / 1.13^6 + 4000 / 1.13^7 = $690.44
The maximum required rate of return is the internal rate of return. Internal rate of return is the discount rate that equates the after-tax cash flows from an investment to the amount invested
IRR can be calculated with a financial calculator
IRR = 14.29%
To learn more about net present value, please check: https://brainly.com/question/25748668
#SPJ1
Consider the P/E ratios of the following companies: Company A: 7.4 Company B: 11.3 Company C: 14.8 Company D: 9.1 Among these four companies, Company C has the __________. highest relative value highest dollar price lowest relative value lowest net income
Answer:
highest relative value highest dollar
Explanation:
The price to earning ratio is a financial metric used to value a company. it compares the price of a stock to the earnings of the stock. the higher the metric is, the higher the valuation of the firm
price to earning ratio (P / E) = market value per share / earnings
The higher the P/E, the higher the relative value of the firm relative to other firms. This is because investors are confident about the prospects of growth of the firm and are willing to pay a higher price for the stock of the company
Types of P/E ratio
1. trailing p/e - it is calculated by dividing current share price by the earnings per share for the past 12 months
2. forward p/e - it is calculated by dividing current share price by the estimated per share earnings for the next 12 months
At the end of 2011, the XYZ city deferred Br. 40,000 in property taxes, and that
amount is reflected in the beginning balance sheet is recognized as revenue for
2012.
At the end of 2011, the XYZ city deferred Br. 40,000 in property taxes, which means that the city did not recognize this amount as revenue in the 2011 financial statements. Instead, it carried it forward as a liability on the beginning balance sheet for 2012.
In 2012, the Br. 40,000 deferred property taxes are recognized as revenue, reflecting an increase in the city's financial resources. This recognition follows the accrual accounting principle, where revenue is recognized when it is earned, regardless of when the cash is received. By recognizing the deferred property taxes as revenue in 2012, the city accurately reflects its financial position and performance for that year.
The recognition of the deferred property taxes as revenue in 2012 will impact the city's income statement, increasing its revenue figure, and potentially affecting its net income or surplus. It also signifies the city's ability to generate resources from property taxes, which can contribute to funding public services and projects within the XYZ city.
For more such questions on taxes
https://brainly.com/question/28798067
#SPJ11
You are at the checkout counter at the local supermarket, use your debit card to pay for your groceries, and select "debit" when the cashier asks "Debit or credit?" Where does the money for this purchase come from?
Answer:
the Money comes from my savings account (Bank account)
Explanation:
the debit means that the money that we use is ours.
the credit means that the money is lent to us by the bank which we have gotten the card from. Choosing debit means that the money being spent comes from our own bank account.
(Just need some ideas and inspiration) What do you consider the most important challenge that will face people in the United States in the years ahead?
Food security, hunger, poverty, population growth, pollution, heatwaves, droughts, and climate change are all interconnected.
What is Food security?Food security refers to the availability of food in a nation and the capacity of its citizens to obtain, afford, and procure enough food.
The United Nations Committee on World Food Security defines food security as everyone having constant physical, social, and economic access to enough, safe, and nourishing food that satisfies their dietary needs and food preferences for an active and healthy life.
Another aspect of food security is the accessibility of food regardless of class, gender, or area.
Food security was a problem many thousands of years ago, as shown by the fact that central governments in ancient China and ancient Egypt were known to release food from storage during famines.
Learn more about Food security, here
https://brainly.com/question/12425982
#SPJ1
Explain the role of corporate in economic development of country.
Answer:
Economic Development
Explanation:
Small business as well as big companies are important drivers of economic growth and prosperity because they provide vital services, goods, and tax revenues that directly benefit the health of the community. Companies also provide opportunities and jobs, boosting the socioeconomic health of the communities where they are located.
Universal Claims Processors processes insurance claims for large national
insurance companies. Most claim processing is done by a large pool of
computer operators, some of whom are permanent and some of whom are
temporary. A permanent operator can process 16 claims per day, whereas a
temporary operator can process 12 per day, and on average the company
processes at least 450 claims each day. The company has 40 computer
workstations. A permanent operator generates about 0.5 claim with errors each
day, whereas a temporary operator average about 1.4 defective claims per day.
The company wants to limit claims with errors to 25 per day. A permanent
operator is paid $64 per day, and a temporary operator is paid $42 per day.
The company wants to determine the number of permanent and temporary
operators to hire to minimise costs.
a) Formulate a linear programming model for this problem.
b) Solve this model by using graphical analysis.
The optimal solution is to hire 22 permanent operators and 19 temporary operators, with a total cost of $2272.50.
a) Formulating the linear programming model:
Let x represent the number of full-time employees and y represent the number of temporary employees to be hired.
The objective function is to minimize the cost of hiring operators, which is given by:
Cost = 64x + 42y
The constraints are:
The total number of claims processed per day cannot be less than 450:
16x + 12y ≥ 450
The total number of defective claims per day cannot be more than 25:
0.5x + 1.4y ≤ 25
The number of workstations available is limited to 40:
x + y ≤ 40
The number of operators cannot be negative:
x ≥ 0, y ≥ 0
Following are some ways to express the linear programming model:
Minimize Cost = 64x + 42y
Subject to:
16x + 12y ≥ 450
0.5x + 1.4y ≤ 25
x + y ≤ 40
x ≥ 0, y ≥ 0
b) Solving the model using graphical analysis:
We can graph the constraints to find the feasible region and then use the corner-point method to find the optimal solution.
First, we graph the constraint 16x + 12y ≥ 450:
12y ≥ -16x + 450
y ≥ (-4/3)x + 37.5
Next, we graph the constraint 0.5x + 1.4y ≤ 25:
1.4y ≤ -0.5x + 25
y ≤ (-5/14)x + 25/1.4
y ≤ (-5/14)x + 17.86
Finally, we graph the constraint x + y ≤ 40:
y ≤ -x + 40
Combining these three constraints, we get the following feasible region:
16x + 12y = 450
y ≤ (-4/3)x + 37.5
y ≤ (-5/14)x + 17.86
y ≤ -x + 40
We now evaluate the objective function at the corner points of the feasible region to find the optimal solution.
The corner points are:
(0, 25/1.4) = (0, 17.86)
(0, 37.5)
(21.875, 18.75)
(27.27, 12.73)
(28.125, 11.25)
When we assess the objective function at these intervals, we obtain:
(0, 17.86): Cost = 42y = 42(17.86) = 750.12
(0, 37.5): Cost = 42y = 42(37.5) = 1575
(21.875, 18.75): Cost = 64x + 42y = 64(21.875) + 42(18.75) = 2272.5
(27.27, 12.73): Cost = 64x + 42y = 64(27.27) + 42(12.73) = 2536.08
(28.125, 11.25): Cost = 64x + 42y = 64(28.125) + 42(11.25) = 2587.5
To know more about Insurance visit :
brainly.com/question/989103
#SPJ1
social entrepreneurship how is social entrepreneurship can be benefical to someone thats fresh out of school
Social entrepreneurship is a form of entrepreneurship that involves the use of innovative solutions to solve social problems and create positive social change. It can be beneficial to someone fresh out of school in several ways
How is social entrepreneurship can be benefical to someone that is fresh out of school?Personal Growth: Social entrepreneurship can provide an opportunity for personal growth and development. Starting a social enterprise can help someone gain valuable skills, such as leadership, problem-solving, and communication, which can benefit them in their personal and professional life.
Career Opportunities: Social entrepreneurship can provide career opportunities for individuals who are passionate about making a positive impact on society. Starting a social enterprise can help someone build a network of contacts and gain experience in areas such as marketing, finance, and project management.
Job creation: Social entrepreneurship can create jobs and contribute to economic development. By starting a business that addresses a social problem, you can create jobs for people in your community and help to improve the local economy.
Access to funding: Social entrepreneurship has become increasingly popular in recent years, and there are many funding opportunities available for social entrepreneurs. Many investors are interested in supporting businesses that have a positive impact on society, and there are also grants and other funding sources available for social entrepreneurs.
Flexibility: Social entrepreneurship offers flexibility in terms of the type of work you do, the hours you work, and the location of your business. This flexibility can be beneficial for someone who is fresh out of school and looking to explore different career paths.
Overall, social entrepreneurship can be a great option for someone who is fresh out of school and interested in making a positive impact on society while pursuing their entrepreneurial dreams.
Learn more about entrepreneurship from
https://brainly.com/question/24264146
#SPJ1
2.1 Based on the information given, prepare the Trade payables general ledger account of Sweets Traders (Pty) Ltd in the books of Lolly-Pop Traders (Pty) Ltd showing all the adjustments and additional transactions necessary to correctly account for the January 2022 transactions. You are NOT required to process any of the transactions already processed in the account given above, you only need to show the adjustments required and any additional transactions that were not already included in the trade payables account given above. Close off the account at the end of 31 January 2022. Start your answer by using the format listed below and using the current closing balances documented in the general ledger account given above: Trade payable: SWEETS TRADERS (PTY) LTD DATE Description Totals brought forward / Opening Amount DATE 14 822 Description Totals brought forward / Opening Amount 15 934 (20 marks)
The Closing Balance (Debit - Credit): 24,322 - 20,934 = 3,388 (Debit)
How to solveTrade payables general ledger account:
Trade payable: SWEETS TRADERS (PTY) LTD
DATE Description Debit Credit
Totals brought forward / Opening Amount 14,822 15,934
January 5 Purchased goods on credit 5,000
January 10 Returned damaged goods 1,000
January 15 Payment to Sweets Traders 8,000
January 20 Received credit note for overpayment 500
To close off the account at the end of 31 January 2022, let's calculate the new balances:
Total Debits: 14,822 (Opening Amount) + 1,000 (Returned goods) + 8,000 (Payment) + 500 (Credit Note) = 24,322
Total Credits: 15,934 (Opening Amount) + 5,000 (Purchased goods) = 20,934
Closing Balance (Debit - Credit): 24,322 - 20,934 = 3,388 (Debit)
Read more about accounting here:
https://brainly.com/question/1033546
#SPJ1
The list of transactions for January 2022:
January 5: Lolly-Pop Traders purchased $5,000 worth of goods from Sweets Traders on credit.
January 10: Lolly-Pop Traders returned damaged goods worth $1,000 to Sweets Traders.
January 15: Lolly-Pop Traders paid $8,000 to Sweets Traders.
January 20: Lolly-Pop Traders received a $500 credit note from Sweets Traders for an overpayment.
How does the HR department handle sourcing of staff and the hiring process?
One of the key forms that a new employee has to fill in upon joining a a company is form______
A. W-2
B. W-4
C. Workplace compensation form
You can directly source young temporary resources in large numbers with less cost time from ______
A.employee agencies
B.trade fairs
C. Universities
Answer:
C
Explanation:
new employee before joining a company has to to fill in or sign a contract and workplace compensation form
Answer:
C. Workplace compensation form
A.employee agencies
Explanation:
Based on your learning of value chain, business strategy and product / market combinations do you share Dawar’s arguments that marketing is indeed becoming strategy? Why?
Answer: Marketing is becoming more strategic, firms are in a fierce competition to prove themselves to their clients and customers that they are the best at what they do.
Explanation:
I share in Dawar's argument that marketing is becoming more strategic, firms are in a fierce competition to prove themselves to their clients and customers that they are the best at what they do. business strategies are now increasingly inclined towards customer centric activities. Businesses are now focused not only on increasing market share but also on retaining customers as the competition in the market are increasing day by day.
Animal and Plant Cells Review
Answer:
i got my answer
Explanation:
So now that i got explanation cell C and B wall menas cytoplasm also which which animal does. u hope this helpd.
We discussed the debt situation in the US and referred to the 'US mysteries' . Write an essay explaining these mysteries and why, the US is in a unique position relative to the rest of world. Make sure your answer includes a discussion of exorbitant privilege and 'dark matter.' Complete your essay with a discussion of why some are worried about the sustainability of this unique position and what the consequences would be on the US economy if we lost this 'unique position.'
Answer:
The Debit situation in the US is a very unique one unlike other debit situations around the world, and this is because the US is unique it its ways of handling Debit situations and also not forgetting the fact that the US enjoys certain privileges' in its Financial dealings with others.
These privileges is evident in the Ability of US corporations/companies to have a debit of over $1.9 trillion and still able to be in business, despite this high indebtedness the US economy have witnessed a growth stability at 3% and inflation rate below2% and its unemployment rate is close to 4% making US economy the Number 1 in the world. But the consequences this might have in future for The US is that most US companies would go Bankrupt when the Government is unable to churn out good financial policies to sustain this high level of indebtedness
Explanation:
The Debit situation in the US is a very unique one unlike other debit situations around the world, and this is because the US is unique it its ways of handling Debit situations and also not forgetting the fact that the US enjoys certain privileges' in its Financial dealings with others.
These privileges is evident in the Ability of US corporations/companies to have a debit of over $1.9 trillion and still able to be in business, despite this high indebtedness the US economy have witnessed a growth stability at 3% and inflation rate below2% and its unemployment rate is close to 4% making US economy the Number 1 in the world. But the consequences this might have in future for The US is that most US companies would go Bankrupt when the Government is unable to churn out good financial policies to sustain this high level of indebtedness
Insurance is only used by businesses True or False
Answer:
false
Explanation:
everyone uses insurance
Sam was employed by AYOO Limited on December 8, 2019. He was born on December 8, 1964 and will retire from the services of the company on December 8, 2024. This was carefully planned to give Sam a befitting birthday present. His basic monthly salaries are: • 2019: GH¢3,522.86; . 2020:GH¢4,200.02 ° 2021:GH¢4,600.15 °2022:GH¢5,000.64 °2023:GH¢5,344.56 °2024:GH¢6,122.52 Assumed that the discount rate applicable to koo in the company is 13%. using lev and schwartz economic model. what is the value of Sam
Using lev and schwartz economic model the value of Sam is 2,07,743
Year Salary Discount Rate Factor c= a*b
Present Value
2019-20 50000 0.885 44250
2020-21 55035 0.783 43092
2021-22 59854 0.693 41479
2022-23 64038 0.613 39255
2023-24 73052 0.543 39667
Total Value 207743
Working note:
Salary of 2019-20= 3522.86 ×24 days
30 days
4200.02×11 months
50000
Salary of 2020-21= 4200.02 × 24 days
30 days
= 55035
Salary of 2021-22= 4605.15/ 30days × 24 days
= 59854
For more information on economic model visit:
https://brainly.com/question/15212618
#SPJ9
Assume a par value of $1,000. Caspian Sea plans to issue a 11.00 year, semi-annual pay bond that has a coupon rate of 8.13%. If the yield to maturity for the bond is 7.53%, what will the price of the bond be
Based on the information given the price of the bond is $956.91.
Price of bondTo determine the of the bond we would be using financial calculator by inputting the data below.
N=Number of years=2×11=22
PMT=Payment per period=7.53%×1000/2=37.65
FV=Face value=1000
Interest rate=8.13%/2=4.065
Present Value=?
Hence:
PV=$956.91
Inconclusion the price of the bond is $956.91.
Learn more about price of bond here:https://brainly.com/question/13990294
A requested tasA requested task is subject to be reported when:
Requesting for a screenshot
When it is asking for 3 proofs
When it requests for email address to be submitted
When it requires payment from the Workers in order to proceed with the taskk is subject to be reported when:
A requested task is subject to be reported when it requires payment from the Workers in order to proceed with the task. The appropriate response is option D.
What is a task?A task is an action that must be finished by a specific date or time in order to advance professional objectives. It is a minor but crucial task that helps to distinguish between different project components.
Work that needs to be done is referred to as a task, duty, job, chore, stint, or assignment. Task connotes work that is required by an employer, a higher authority figure, or other external factors. assigned a variety of duties. Duty denotes responsibility for performance or an obligation to perform.
To learn more about task
https://brainly.com/question/16930671
#SPJ1
Compared to Country Y, Country X has a comparative advantage in producing computers. Country Y has a comparative advantage over Country X in producing automobiles. How can the two countries BEST take advantage of this situation?
Country X and Country Y can impose barriers to trade between themselves.
Country X and Country Y can specialize their production and trade with each other.
County Y can stop producing goods and import all of its products from Country X.
Country X can stop producing goods and import all of its products from Country Y.
Suppose the value of the Japanese yen appreciates relative to the US dollar. Who would this benefit? Select all that apply.
Japanese tourists visiting the United States
US tourists visiting Japan
Japanese exporters of goods to the United States
US importers of goods from Japan
Japanese importers of goods from the United States
Look at the exchange rate table. Then answer the question that follows.
Ethan is an American who buys and sells goods in the international market. He recently bought goods that cost 10,000 yen from a company in Japan. How much money did he spend in US dollars?$100
$1,000
$10,000
$100,000
When a country or organization is able to produce a certain good or service at a lower opportunity cost than competitors, such country organization is said to have a comparative advantage on such product.
1.)
Hence, the best way to both countries can take advantage of the situation is for countries X and Y to specialize in that good in which it has comparative advantage, then trade with one another.
2.)
Since the Japanese yen has appreciated over the dollar, then, the beneficiaries would be ;
Japanese importers of goods from the United StatesJapanese tourists visiting the United StatesThese is because they could get more with less.
3.)
Total cost of goods = 10,000 yen
100 yen = $1
10000 yen = x
Cross multiply
100x = 10000
x = 10000 ÷ 100
x = 100
Hence, Ethan has spent $100
Learn more :https://brainly.com/question/25553664
Patrick just got a new desk chair. What is important to adjust on the chair so that it is the best fit for him ergonomically
The thing on the chair that Patrick needs to adjust so that it is the best fit for him ergonomically is the Backrest angle.
What needs to be adjusted ?There are several key adjustments that can be made to a desk chair to ensure a good ergonomic fit. For instance, the angle of the backrest should be adjusted so that it supports the natural curvature of the spine and helps maintain good posture.
These adjustments can help ensure that a desk chair is ergonomically configured for the individual user, reducing the risk of discomfort, fatigue, and repetitive strain injuries associated with prolonged sitting for Patrick.
Find out more on ergonomically fit at https://brainly.com/question/14870262
#SPJ1
Answer:
D. Height and Angle.
Explanation:
Sitting incorrectly to accommodate for an incorrect desk height or a poor office chair causes you to subtly contort your body in uncomfortable ways, whether it's your arms, legs, back, or even your wrists. This is most likely to cause you frequent back and neck pain.
Volatile price changes, technological changes, and government intervention are what type of risks?
Volatile price changes, technological changes, and government intervention are external risks that can impact a company's operations and performance.
What are Volatile price changesVolatile price changes refer to fluctuations in input or product prices, which can affect profitability and cost structure. Technological changes can introduce advancements or disrupt an industry, requiring companies to adapt to avoid becoming obsolete.
Government intervention, through regulatory changes or policies, can create uncertainties and challenges for companies, affecting operations, costs, and market access.
To mitigate these risks, companies should implement risk management strategies such as diversification, contingency planning, staying informed about market trends, investing in R&D, and engaging with government stakeholders.
Read mroe on Volatile price changeshere https://brainly.com/question/30000522
#SPJ1
If the Real Output shifts to the right,
what has occurred?
A. The market will collapse.
B. Prices have gone down.
C. The factors of production have increased.
D. The factors of production have decreased.
If the Real Output shifts to the right, what has occurred is: C. The factors of production have increased.
If the Real Output shifts to the right, what has occurred?If the Real Output shifts to the right, it means that the economy is producing more goods and services than before, and this is typically associated with an increase in the level of economic activity. When the factors of production, such as labor, capital, and technology, increase, it allows an economy to produce more output than before, which can lead to economic growth and expansion.
Options A and B are not correct because an increase in real output is usually associated with an expansion in the market and an increase in prices, respectively. Option D is also incorrect because a decrease in the factors of production would result in a decrease in real output, not an increase.
Learn more about real output here:https://brainly.com/question/27972321
#SPJ1
what are 2 different types of budgets and discuss how they complement each other?
There are two main types of budgets: operational budgets and financial budgets.
Operational budgets are used to plan and monitor the day-to-day operations of a business, and typically cover a period of one year. These budgets include items such as revenue projections, production costs, and operating expenses. Operational budgets are crucial for ensuring that a business stays on track and meets its operational goals. Financial budgets, on the other hand, are focused on the long-term financial health of a business. They include items such as capital expenditures, financing costs, and cash flow projections. Financial budgets are used to help businesses plan for the future and make strategic decisions about investments and growth. These two types of budgets complement each other by providing a comprehensive view of a business's operations and financial health. Operational budgets help to ensure that day-to-day activities are aligned with the overall goals of the business, while financial budgets provide a roadmap for achieving long-term success. By using both types of budgets, businesses can make informed decisions about resource allocation, identify potential risks, and maintain a strong financial position over the long term.
for more questions on budgets
https://brainly.com/question/1619150
#SPJ11
In which scenario is an individual's behavior least likely to change?
a. The city of Saskatoon chooses to give its residents a penny for each soda can they recycle in an effort to promote environmental awareness.
b. In an effort to make people eat healthier, the city of Bakersville tells its residents to eat wheat bread instead of white bread.
c. A basketball team manages to sign a trio of famous basketball stars who then clamor for other players to come join their team to win a guaranteed championship.
d. The country of Ravamolk enacts a policy to fine companies 20% of their earnings if the safety standards in their factories do not reach acceptable work conditions.
An individual's behavior is least likely to change when merely informed of a healthier option, like in Scenario B, as there is no incentive or consequential action attached.
Explanation:In the given scenarios, an individual's behavior is least likely to change in Scenario B where the city of Bakersville tells its residents to eat wheat bread instead of white bread. This scenario only involves information provision with no rewarding or punitive actions attached to induce behavior change, as compared to the rest of the scenarios. Behavioral change usually occurs when there are incentives or penalties associated with the action. For instance, in Scenarios A & D, Saskatoon and Ravamolk are using a reward technique and penalties respectively, as a trigger for behavioral change. Scenario C is using the appeal of fame and success to encourage change. But talking about bread choice without any consequential actions does not guarantee a behavior change.
Learn more about Behavioral Change here:https://brainly.com/question/36615842
#SPJ2
An
is an additional feature on a rental car that is available at an extra cost.
Answer:
Yes because it will always coast more
Explanation:
My Dad teach me about that hope this help.
COST OF PRODUCTION (5 pts each for a total of 25 pts) a. What is the relationship between the marginal cost of production and average total cost of production? b. What is efficient scale of production? c. Why is the average total cost curve (ATC) U-shaped in the short run? d. Why is the average total cost curve (ATC) U-shaped in the long run? e. What are the shapes of the average variable cost curve (AVC) and the average fixed cost curve (AFC)?
Answer:
a. When marginal cost is above average cost, average cost is rising; but when marginal cost is below average cost, average cost is falling.
b. The lowest point at which a plant or firm can produce such that the long-run average cost of the plant or firm is at the minimum.
c. The average total cost curve (ATC) U-shaped in the short run because of diminishing returns.
d. The average total cost curve (ATC) is U-shaped in the long run because economies of scale and diseconomies of scale.
e. The shape of the average variable cost curve (AVC) is usually U-shaped or upward-sloping; while the shape of the average fixed cost curve (AFC) is a Rectangular Hyperbola.
Explanation:
a. What is the relationship between the marginal cost of production and average total cost of production?
Marginal cost refers to the change in total cost when extra unit of output is produced, while average cost is the total cost divided by the number of units produced.
The relationship between the two is that when marginal cost is above average cost, average cost is rising; but when marginal cost is below average cost, average cost is falling.
b. What is efficient scale of production?
Efficient scale of production can be described as the lowest point at which a plant or firm can produce such that the long-run average cost of the plant or firm is at the minimum.
c. Why is the average total cost curve (ATC) U-shaped in the short run?
The average total cost curve (ATC) U-shaped in the short run because of diminishing returns.
Diminishing returns occur when the amount of a single factor of production is incrementally increased while holding all other factors of production constant, the marginal output of a production process decreases.
d. Why is the average total cost curve (ATC) U-shaped in the long run?
The average total cost curve (ATC) is U-shaped in the long run because economies of scale and diseconomies of scale.
Economies of scale can be described as a situation whereby increasing output leads to lower long-run average total costs.
But, after a given level of output, scale diseconomies may be encountered by a firm.
Diseconomies of scale can be described as a situation whereby increasing output leads to higher long-run average total costs.
e. What are the shapes of the average variable cost curve (AVC) and the average fixed cost curve (AFC)?
Note: See the attached photo for the curves of the AVC and AFC showing their shapes.
The shape of the average variable cost curve (AVC) is usually U-shaped or upward-sloping.
The shape of the average fixed cost curve (AFC) is a Rectangular Hyperbola. This occurs because the same amount of fixed cost is split by increasing output. Therefore, the AFC curve slopes downwards and is a rectangular hyperbola, meaning that the area under the curve is constant at all places.
What percent of each paycheck do financial experts recommend you save, at
the very least?
O 0-10%
O10-20%
20% -30%
30%-50%
Financial experts recommend that individuals save at least 20% of each paycheck. Saving money is crucial to achieving financial stability and independence. Financial stability is essential to achieving life goals such as buying a home, starting a business, or raising a family.
Therefore, it is important to establish a saving culture that can help individuals save for their future needs and desires. Saving 20% of your paycheck is a good starting point for establishing a savings plan. It is also important to note that individuals can save more than 20% if their financial situation allows for it.
A financial expert may recommend a higher percentage if the individual has high expenses, debt, or a low income. Therefore, individuals must evaluate their financial situation and create a budget that enables them to save and live comfortably.
In summary, financial experts recommend that individuals save at least 20% of their paycheck to establish financial stability and independence.
For more question on saving
https://brainly.com/question/30101466
#SPJ8
the oriole mills company has just disclosed the following financial information in its annual report sales of 1.47 million, cost of goods sold of $817,100, depreciation expenses of $179,600, and interest expenses of $ 94,000. Assume that the firm has an average tax rate of 29 percent. Compute the cash flows to investors from operating activity.
The cash flows to investors from operating activities for Oriole Mills Company is $543,973.
To compute the cash flows to investors from operating activities, we need to start with the net income and make adjustments for non-cash expenses and changes in working capital. The formula to calculate cash flows from operating activities is as follows:
Cash Flows from Operating Activities = Net Income + Depreciation Expenses + Non-Cash Interest Expenses - Increase in Current Assets + Increase in Current Liabilities + Decrease in Current Assets - Decrease in Current Liabilities
Given the financial information provided, we can calculate the cash flows to investors from operating activities as follows:
Net Income:
Net Income = Sales - Cost of Goods Sold - Depreciation Expenses - Interest Expenses - Taxes
Net Income = $1,470,000 - $817,100 - $179,600 - $94,000 - ($1,470,000 - $817,100 - $179,600 - $94,000) * 0.29
Net Income = $1,470,000 - $817,100 - $179,600 - $94,000 - ($379,300 * 0.29)
Net Income = $1,470,000 - $817,100 - $179,600 - $94,000 - $109,927
Net Income = $269,373
Depreciation Expenses = $179,600
Non-Cash Interest Expenses = $94,000
Changes in Working Capital:
Increase in Current Assets = 0 (no information provided)
Increase in Current Liabilities = 0 (no information provided)
Decrease in Current Assets = 0 (no information provided)
Decrease in Current Liabilities = 0 (no information provided)
Finally, we can calculate the cash flows to investors from operating activities:
Cash Flows from Operating Activities = $269,373 + $179,600 + $94,000 + 0 + 0 + 0 + 0
Cash Flows from Operating Activities = $543,973
Therefore, the cash flows to investors from operating activities for the Oriole Mills Company is $543,973.
For more question on investors visit:
https://brainly.com/question/31358905
#SPJ8