The correct answer is false. This single documentation is called business resumption plan.
What is business resumption plan?The recovery of your company following an emergency is covered by the business resumption strategy.
The BRP focuses on preventative measures and what happens after an emergency, unlike the disaster recovery plan and business contingency plan, which both feature continuity protocols used during an emergency.
The BRP assists you in getting your company back up and operating smoothly.
BRP preparations included insurance plans, evacuation plans for buildings, and agreements with data centres for mutual aid.
Your BRP must now include commercial data backup and restoration strategies due to the development of computer-based systems.
By the late 1980s, auditors were requiring backup plans for manual procedures and human users from any company using key information systems applications.
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HELLLPPPP
The Kids have been asked to decide whether India has more wealth than Peru. Mary says they should use the GDP while jann says they should use the GDPP. Who is right?
1. Mary
2. Jann
Neither, they should use the exports and imports
Answer: Mary
Explanation:
GDP simply means the gross domestic product and it is the value in terms of money based on the goods and services that a country produces.
With regards to the question, Mary is right as the GDP can be used to denote economic growth and also know how a particular economy is doing. Wealthy nations usually have a huge GDP.
Who is responsible for reporting all taxable income even if it does not appear on a W-2 form?
Answer:
IRS
Explanation:
A whole supermarket shelf of snack food bags is marked, "Frito-Lay." This is an example of a(n)
brand.
a. co brand
b. individual
c private
d. wholesale
e. family
One way to demonstrate a potential robber that dollar general employees care about their store is to
One way to demonstrate to a potential robber that Dollar General employees care about their store is to Option C. keep a clean, in-stock, and recovered store.
By keeping the store clean and organized, the employees are indicating that they care about the appearance and reputation of the store and are committed to keeping it looking its best for customers and the community. A clean and organized store can also indicate that employees are attentive and focused on their work, which can deter potential robbers who may be looking for an easy target.
In addition, a well-stocked and recovered store can indicate that the employees are efficient and skilled at their job, which can also deter potential robbers who may be looking for a vulnerable or disorganized store. Wearing a proper uniform can also demonstrate that employees care about their store, as it shows that they are representing the company and taking pride in their appearance.
Arriving for work on time and being punctual can indicate that employees are committed and dependable, which can also contribute to a positive impression of the store and its employees. Taking breaks on time can also indicate that employees are following company policies and procedures, which can help to maintain a professional and well-managed store.
Overall, demonstrating care and commitment to the store can help to create a positive and professional image of Dollar General, which can deter potential robbers and create a safer and more welcoming environment for customers and employees alike. Therefore, the correct option is C.
The question was incomplete, Find the full content below:
One way to demonstrate to a potential robber that Dollar General employees care about their store is to:
A. Take a break on time
B. Wear a proper uniform
C. Keep a clean, in-stock, and recovered store
D. Arrive for work 10 minutes early
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ECONOMICS CHAPTER 2 SECTION 3
explain the relationship between the terms in each of these pairs
A. Private property rights and market
B. laissez-faire and capitalism
C. Specialization and profit
D. Factor market and product market
ECONOMICS CHAPTER 2 SECTION 3
Private property rights and market is in which people buy and sell resources or goods and services.
Private property rights are the rights of individuals and groups to own property and the market is any place or situation in which people buy and sell resources and goods and services.
Laissez-faire and capitalism-The relation-ship between laissez-faire and capitalism is laissez-faire is an economic philosophy of free-market capitalism that opposes government intervention.
Specialization and profit- The relation-ship between specialization and profit is the companies specialize in making one product or one component of a product, if this product will make at large scale, companies reduces it's cost to earn profit.
Factor market and product market- The relation-ship between Factor market and product market is the factor market is running by the demand of product market. The product market is sold their goods and services with the demand of factor market to production these goods and services.
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9. An amount spent for an item that a person could do without is a(n)
A. variable expense
B. pay yourself first
C. discretionary expense
D. emergency expense
Who watches Riverdale ? if you do can we be friends(pLEASE DON'T DELETE) and also who is your fav character from Riverdale
Answer:veronica
Explanation:
sure
Answer:
yes i love riverdale my fav character is cheryl or betty
Explanation:
how data mining helps in decision making
Data mining helps business decision makers by providing an in-depth and comprehensive view of customer behavior and preferences. It can be used to identify patterns in customer behavior, find correlations, and uncover hidden insights.
This data can be used to create more effective marketing campaigns, improve customer service, and develop customer engagement strategies.
Data mining can provide valuable insights to business decision makers that can be used to make informed decisions. It helps identify potential customer trends, identify customer preferences, uncover customer segmentation, and determine customer lifetime value.
It can also be used to analyze customer data and create predictive models to anticipate future customer needs and behaviors.
Data mining can help improve customer relationships, increase customer loyalty, and increase customer satisfaction.
By using data mining to identify customer needs and develop strategies to meet them, businesses can create products and services that will be more successful and profitable.
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Why is it called Chick-Fil-A when a Fil-A (filet) is normally cooked with beef???
7) Patrick owns a small but successful business selling and fitting bathrooms. He operates from a showroom
that costs him £36 000 a year. Last year he fitted 40 bathrooms with an average price of £4 000. His
variable costs are 50% of his selling price.
Calculate:
a.
Patrick's sales revenue
/1 mark
b. Patrick's total variable costs
/1 mark
c. Patrick's total costs
71 mark
d. Patrick's profit
/1 mark
10. What is Patrick's new profit as a percentage of sales revenue?
/3 marks
a. Patrick's sales revenue is £160,000
b. Patrick's total variable costs is £80,000
c. Patrick's total costs is £116,000
d. Patrick's profit is £44,000
10. Patrick's new profit as a percentage of his new sales revenue is 34.09%.
a. Patrick's sales revenue can be calculated by multiplying the number of bathrooms fitted with their average price. Therefore, Patrick's sales revenue for the last year can be calculated as:
Sales Revenue = Number of Bathrooms * Average Price per Bathroom
Sales Revenue = 40 * £4,000
Sales Revenue = £160,000
b. Patrick's variable costs are 50% of his selling price. Variable costs are those costs that vary with the level of output. In this case, Patrick's variable costs include the cost of materials, labor, and any other expenses directly related to fitting the bathroom. Therefore, Patrick's total variable costs can be calculated as:
Total Variable Costs = Variable Cost Percentage * Sales Revenue
Total Variable Costs = 0.5 * £160,000
Total Variable Costs = £80,000
c. Patrick's total costs include both fixed and variable costs. Fixed costs are those costs that remain constant irrespective of the level of output. In this case, Patrick's fixed costs include the cost of the showroom, which is £36,000 per year. Therefore, Patrick's total costs can be calculated as:
Total Costs = Fixed Costs + Total Variable Costs
Total Costs = £36,000 + £80,000
Total Costs = £116,000
d. Finally, we can calculate Patrick's profit using the formula mentioned above. Therefore, Patrick's profit can be calculated as:
Profit = Total Revenue - Total Costs
Profit = £160,000 - £116,000
Profit = £44,000
Now, let's answer the final question:
Suppose Patrick increases his sales revenue by 10%. In that case, we need to calculate his new profit as a percentage of his new sales revenue. Let's calculate it step-by-step.
New Sales Revenue = 1.1 * Sales Revenue
New Sales Revenue = 1.1 * £160,000
New Sales Revenue = £176,000
New Profit = New Sales Revenue - Total Costs
New Profit = £176,000 - £116,000
New Profit = £60,000
Profit Margin = (New Profit / New Sales Revenue) * 100
Profit Margin = (£60,000 / £176,000) * 100
Profit Margin = 34.09%
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A two-family residential property is now located in a central business district. The decision to convert this two-family residential house to a commercial office, housing a real estate firm and an insurance company, is an example of what appraisal principle?
Answer: highest and best use
Explanation:
The highest and best use of when a property is being valued based on profitability ans what it could achieve. To do this, having the knowledge regarding the market and zoning are vital.
Therefore, The decision to convert this two-family residential house to a commercial office, housing a real estate firm and an insurance company, is an example of highest and best use.
outline 2 advantages to H&H of using secondary market research
Explain the role of public relations in developing and maintaining a corporate image.
By overseeing communication and relationships between an organisation and its stakeholders, public relations plays a critical part in creating and sustaining a company image.
To influence the perception, reputation, and overall image of the business, strategic communication is used. To improve the public's view of the company, public relations experts take part in activities like media relations, crisis management, community involvement, and employee communications. Public relations contributes to the development of trust, credibility, and goodwill among stakeholders by clearly articulating the company's ideals, accomplishments, and social responsibility efforts. It helps build the company's brand, draw in clients, investors, and talent while minimising reputational hazards.
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The weekly revenue from the production and sale of x units of coal is given by R(x) = 241x - 2x2 thousand dollars. The cost function is given by C(x) = x² + 169x + 1 thousand dollars. Find the number of units of coal that are to be produced to maximize the profit if 0 ≤ x ≤ 19. Answer 5 Points Tables. Keypad Keyboard Shortcuts X = units
To maximize profit, we need to determine the number of units of coal that should be produced within the given range of 0 to 19 units.
The profit function is given by P(x) = R(x) - C(x), where R(x) represents the revenue function and C(x) represents the cost function. In this case, R(x) = 241x - 2x^2 and C(x) = x^2 + 169x + 1.
To maximize profit, we differentiate the profit function with respect to x and set it to zero:
P'(x) = R'(x) - C'(x) = 241 - 4x - (2x + 169) = -6x + 72
Setting P'(x) = 0, we solve for x:
-6x + 72 = 0
6x = 72
x = 12
Therefore, to maximize profit within the given range, 12 units of coal should be produced. It's important to note that this solution is valid only within the specified range of 0 ≤ x ≤ 19.
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Suppose you take out a loan at your local bank. The bank expects to earn an annual real interest rate equal to %. Assuming that the annualized expected rate of inflation over the life of the loan is %, determine the nominal interest rate that the bank will charge you. Part 2 The bank will charge you a nominal interest rate of enter your response here%.
The nominal interest rate charged by the bank can be determined using the Fisher equation, which states that the nominal interest rate is equal to the sum of the real interest rate and the expected inflation rate.
Let's assume the bank expects to earn a real interest rate of 5% annually and the annualized expected rate of inflation over the loan's life is 2%. To calculate the nominal interest rate, we can simply add the real interest rate and the inflation rate: 5% + 2% = 7%.
Therefore, the bank will charge you a nominal interest rate of 7% on your loan.
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An organization type that is unlikely to be found in a traditional organization is: Hierarchical Networked Flat Traditional
An organizational structure is a system that defines modalities for certain activities to be directed in order to achieve the goals of an organization. Hence, the one not found is networked.
Defining an Organizational StructureCompanies of of different mangnitudes use organizational structures verily. They define a specific hierarchy within an organization.
A successful organizational structure defines each employee's job and how it fits within the overall system. Summarily, the organizational structure lays out who does what so the company can meet its objectives. it is found in traditional structure.
Network StructureThis type of organizational structure is also known as matrix structure. It is also the most confusing and the least used. This structure networked staff across different superiors, divisions, or departments.
Therefore, the answer is network.
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Budgeting for Needs Select your needs from your cash expenses. CASH Last Month Gas for car$120 Fast food$20 Movie tickets$30 Amusement park$115
The necessities would be last month's gasoline for the car, while the expenses would be fast food, movie and amusement park tickets.
What are needs and expenses?Needs are a term that refers to the goods and services that a person needs in a fixed way for their daily life, some examples are:
TransportationFeedingEducationOutfitLiving placeAmong othersAccording to the above, it can be inferred that car gasoline is a necessity because it is a means of transportation that we can use to go to our work or place of study.
On the other hand, expenses are the goods and services that are not necessary for our daily lives but that we acquire for leisure and entertainment purposes. For example:
Video gameCinemaTheaterMake-upToysSweetStreet foodAmong othersBased on the above, it can be inferred that movie tickets, fast food, and amusement park tickets are expenses.
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A new plant to produce tractor gears requires an initial investment of $10 million. It is expected that a supplemental investment of $4 million will be needed every 3 years to update the plant. The plant is expected to start producing gears 2 years after the initial investment is made (at the start of the third year). Revenues of $5 million per year are expected to begin to flow at the start of the fourth year. Annual operating and maintenance costs are expected to be $2 million per year. The plant has a 15-year life. List the annual cash flows.
Ans. CF-$10 000 000, CF₁-CF2=0, CF,-$6 000 000, CF-CFs = CF, CF₂ = CF10=CF11=
CF13CF14-$3000 000, CF CF, CF12=CF15=-$1 000 000
Year 0: -$10,000,000. Year 3, 6, 9, 13: -$4,000,000. Year 4, 7, 10, 14: $3,000,000. Year 5, 8, 11, 12: $3,000,000. Year 15: -$1,000,000.
Here is the list of annual cash flows for the given scenario:
Year 0: -$10,000,000 (initial investment)
Year 3: -$4,000,000 (supplemental investment)
Year 4: $5,000,000 (revenues) - $2,000,000 (operating and maintenance costs) = $3,000,000 (net cash flow)
Year 5: $3,000,000 (net cash flow)
Year 6: -$4,000,000 (supplemental investment)
Year 7: $5,000,000 (revenues) - $2,000,000 (operating and maintenance costs) = $3,000,000 (net cash flow)
Year 8: $3,000,000 (net cash flow)
Year 9: -$4,000,000 (supplemental investment)
Year 10: $5,000,000 (revenues) - $2,000,000 (operating and maintenance costs) = $3,000,000 (net cash flow)
Year 11: $3,000,000 (net cash flow)
Year 12: $3,000,000 (net cash flow)
Year 13: -$3,000,000 (supplemental investment)
Year 14: $5,000,000 (revenues) - $2,000,000 (operating and maintenance costs) = $3,000,000 (net cash flow)
Year 15: -$1,000,000 (operating and maintenance costs) = -$1,000,000 (net cash flow)
Note: CF represents the initial investment, CF₁ represents the supplemental investment, and CF2 represents the net cash flow.
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A national ice cream chain asked its 30 highest paid employees to take a 15% pay cut. Doing this, in response to the recent sales decline, meant no store closures and no downsizing. This could b
Based on the fact that there were no store closures or downsizing, but only a pay cut, this is a Utilitarian approach.
What is a utilitarian approach?When moral decisions are decided based on which option will benefit the greatest number of people, this is referred to as utilitarianism.
Cutting salaries to avoid layoffs as a result of closures and downsizing benefits a larger number of employees, as opposed to the smaller number of executives hence it is utilitarian.
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What is the new law the American government enacted for promoting small businesses in the country?
O The Small Businesses Act of 1954.
O The Small Businesses Act of 1953.
O The Small Businesses Act of 1955.
O The Small Businesses Act of 1958.
Answer:
The Small Businesses Act of 1953.
Explanation:
In the United States of America, majority of the competitive landscape or business environment is made up of small business enterprise.
The Small Business Administration (SBA) is an agency of the federal government that is saddled with the responsibility of providing both managerial and financial assistance to small businesses in the United States of America.
The Small Businesses Act of 1953 was enacted as an Act of Congress on the 30th of July, 1953 by the Congress of the United States of America to create the Small Business Administration (SBA).
Hence, SBA was established in 1953 as an autonomous (independent) agency of the government of the United States of America to aid, counsel, assist and protect American entrepreneurs and to preserve small business institutions.
Generally, it is saddled with the responsibility of providing both managerial and financial assistance and counseling to small businesses in order to bolster the American economy.
The small business administration (SBA) serves as an intermediary between entrepreneurs and investors or creditors, so as to provide them with the necessary funds required to plan, start and grow their business.
Basically, SBA provides services such as entrepreneurial development, access to funds, advocacy and contracting to small businesses (entrepreneurs) in the United States of America.
In conclusion, the Small Businesses Act of 1953 was the new law the American government enacted for promoting small businesses in the country.
what is the internal rate of return on an investment that has an initial cost of $38,400 and forecast cash flows in years 1-3 of $11,200, $19,600, and $18,100, respectively?
Using equal-sized payment periods as an assumption, Excel's IRR function determines the internal rate of return for a set of cash flows. Utilizing the test data
What is the formula for internal rate of return?Similar to NPV, IRR is calculated by setting the net present value (NPV) to zero.
What is the initial return on investment?The investment's current value is subtracted from the initial investment value, and the result is divided by the initial investment value to determine a basic rate of return. The outcome is multiplied by 100 to be reported as a percentage.
What does an IRR of 10% mean?An investment is considered to have a 10% IRR if its IRR is 10%. In other words, an investment will generate an annual return.
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Jamie is employed as a commercial loan officer for a regional bank centered in the Midwestern section of the U.S. Her job falls into which one of the following areas of finance?
a. International finance
b. Financial institutions
c. Corporate finance
d. Capital management
e. Investments
Jamie's job as a commercial loan officer falls under the category of financial institutions.
Financial institutions are organizations that provide financial services to individuals and businesses, including the granting of loans. Commercial loan officers like Jamie work within banks and other financial institutions to evaluate loan applications and make credit decisions. They assess the creditworthiness of loan applicants and determine the risk involved in lending money to a particular individual or business. This is an important aspect of the banking industry as it ensures that the bank's funds are being loaned out in a responsible manner and with a good chance of repayment. Overall, Jamie's job as a commercial loan officer is an integral part of the financial institutions sector and plays a crucial role in the lending process.
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Which of the following is not a term used to describe the additional costs incurred as a result of selecting one decision alternative over another?
A) Sunk costs
B) Incremental costs
C) Relevant costs
D) Differential costs
The term that is not used to describe the additional costs incurred as a result of selecting one decision alternative over another is the sunk costs. Option A is the correct answer.
Sunk costs are expenses that have already been incurred and cannot be recovered, and they are not related to the decision to select one alternative over another. These expenses are sunk costs and have no bearing on future decision-making. Let us now look into each of the given options:
A) Sunk costs: These are expenses that have already been incurred and cannot be recovered. They are not related to the decision to select one alternative over another.
B) Incremental costs: These are the costs of producing one additional unit of a product, and they are often used to determine whether a company should produce more units of a product.
C) Relevant costs: These are the costs that will be affected by a particular decision. They are important because they help decision-makers make informed choices.
D) Differential costs: These are the costs that differ between two decision alternatives. They are used to help decision-makers choose between two options.
Therefore, the correct option is A) Sunk costs.
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assuming its sonite market share by segment remains the same for brand move, how many units of move should firm m product in period 8?
Assuming its Sonite market share by segment remains the same for Brand Move, Firm M should produce 800 units of Move in Period 8.
The Sonite market share of Brand Move can be calculated by multiplying the total number of units in the market by the corresponding percentage of share for Brand Move. For example, if the total number of units in the market is 1,000, and Brand Move has a 20% market share, then Brand Move would have a total of 200 units.
Therefore, assuming that the market share of Brand Move remains the same, Firm M should produce 800 units of Move in Period 8. This is calculated by multiplying the total market share of Brand Move (200 units) by the total production output of Firm M in Period 8 (4,000 units).
To ensure accuracy, the data should be verified to ensure that the market share of Brand Move is correct and that the total production output of Firm M in Period 8 is correct.
In conclusion, assuming its Sonite market share by segment remains the same for Brand Move, Firm M should produce 800 units of Move in Period 8.
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I NEED HELP PLEAASEEE
I think it is coupons. You are right
the government passed the cares act to address the economic fallout of the covid-19 pandemic. which of these provisions were included in the legislation?
Many of these projects were sustained by the Consolidated Appropriations Act by include new phases, funds, and instructions to address problems associated to the ongoing COVID-19 outbreak.
What is cares act?The Coronavirus Aid, Relief, and Economic Security Act, popularly known as the CARES Act, is a $2.2 trillion economic stimulus package passed by the 116th U.S. Congress and signed into law by President Donald Trump on March 27, 2020, in reaction to the economic impact of the COVID sickness.
The Coronavirus Aid, Relief, and Economic Security Act (CARES) allowed for longer unemployment benefits for laid-off workers as well as direct payments to individuals, significant monthly rebates to families with children, and direct payments to people. From March 13, 2020, to December 30, 2020, it was in force.
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You plan on making a $235. 15 monthly deposit into an account that pays 3. 2% interest, compounded monthly, for 20 years. At the end of this period, you plan on withdrawing regular monthly payments. Determine the amount that you can withdraw each month for 10 years, if you plan on not having anything in the account at the end of the 10 year period and no future deposits are made to the account. A. $769. 27 b. $767. 23 c. $78,910. 41 d. $79,120. 84.
Answer:
10
Explanation:
The amount of money that can be withdrawn each month for 10 years is equal to: A. $769. 27.
Given the following data:
Time = 20 yearsMonthly payment = $235.15Interest rate = 3.2%To determine the amount of money that can be withdrawn each month for 10 years:
First of all, we would convert the compounded interest rate into an effective monthly interest rate as follows:
\(r = \frac{0.032}{12} = 0.00267\)
Next, we would calculate the future value for these annuities by using this formula:
\(A = \frac{P[(1+r)^{12t} - 1]}{r}\)
Where:
A is the future value.P is the monthly payment or principal.r is the effective monthly interest rate.Substituting the given parameters into the formula, we have;
\(A = \frac{235.15[(1+0.00267)^{12 \times 20}\; - \;1]}{0.00267}\\\\A = \frac{235.15[(1.00267)^{240}\; - \;1]}{0.00267}\\\\A = \frac{235.15[1.8964\; - \;1]}{0.00267}\\\\A = \frac{235.15[0.8964]}{0.00267}\\\\A = \frac{210.789}{0.00267}\)
A = $78,947.19
Now, we can the amount of money that can be withdrawn each month for 10 years by using this formula:
\(A = \frac{P[(1+r)^{12t} - 1]}{r(1+r)^{12t}}\)
Making P the subject of formula, we have:
\(P = \frac{A[r(1+r)^{12t}]}{(1+r)^{12t} - 1}\)
Substituting the given parameters into the formula, we have;
\(P = \frac{78,947.19[0.00267(1+0.00267)^{12 \times 10}]}{(1+0.00267)^{12 \times 10} - 1}\\\\P = \frac{78,947.19[0.00267(1.3771)]}{1.3771 - 1}\\\\P = \frac{290.278}{0.3771 }\)
P = $769.27
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Complete the sentence.
A(n) ____ should always behave responsibly and appropriately online.
Answer:on edge its digital citizen
Explanation:i got 100%
Answer: Below
Explanation:
please solve mathematically showing steps,
thanks a lot.
because Which of the projects should it undertake if the required return is \( 4 \% ? \) Answer: Projects because
To determine which project to undertake if the required return is 4%, we have to use the Net Present Value (NPV) method. Net Present Value (NPV) is a technique used in capital budgeting to determine the present value of all future cash inflows from a project and subtracts the initial investment.
NPV can be calculated using the formula:
NPV = Σ (Cash inflow t / (1+r)t - Initial investment
where: r = Discount rate (required return)
Project A:
Initial Investment = $1,000,000
Cash Flows:
Year 1 = $500,000
Year 2 = $600,000
Year 3 = $700,000
Year 4 = $800,000
Year 5 = $900,000
Based on the calculations, Project A has the highest NPV of
$2,032,473.27, followed by Project B with an NPV of
$1,825,442.10 and Project C with an NPV of $578,480.06.
Therefore, if the required return is 4%, Project A is the best project to undertake because it has the highest NPV.
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venta al contado de mercancia por $2.300.000=; iva: 19%: cual de las siguientes cuentas no corresponde
a. de mercancia
b. comercio al por mayor y por menor
c. iva
d. caja
Answer:
La cuenta que no corresponde al registro contable planteado es la B, comercio al por mayor y por menor.
Esto es así porque, al realizarse una venta al contado de mercancía por $2.300.000, con un IVA adicional del 19%, se están entregando mercancías, con lo cual se registra dicha salida de productos en el debe (opción A), ingresa un dinero correspondiente a IVA (opción C), y a su vez ingresa un monto de dinero que engrosará la caja del comercio, registrándose en el haber (opción D).