The example of cutting customer complaints in half is a description of an unclear or overambitious goal, which is one of the reasons why interventions fail.
What is the reason?This is because the goal of reducing customer complaints is not specific enough and does not provide clear guidance on how to achieve it.
Moreover, it is an overambitious goal that may not be realistically achievable within the given time frame or with the available resources.
Consequently, the intervention may fail to meet the goal, leading to frustration and disappointment among stakeholders.
To avoid this, interventions should have clear, measurable, and realistic goals that align with the needs and resources of the organization.
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The buyer decision process consists of five stages. Which of the following is NOT one of these stages?A) need recognitionB) information searchC) conspicuous consumptionD) purchase decisionE) postpurchase behavior
The correcti answrr is Option C - conspicuous consumption - is not one of the stages in the buyer decision process.
The five stages of the buyer decision process are:
A) need recognition
B) information search
C) evaluation of alternatives
D) purchase decision
E) post-purchase behavior
Conspicuous consumption, on the other hand, is a term used to describe the behavior of individuals who buy luxury goods and services with the primary purpose of displaying their wealth and status, rather than satisfying a specific need or desire. It is not a stage in the buyer decision process.
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which of the following types of stock funds invests in stock issued by companies throughout the world?
Investing in common stocks issued by firms is what equity funds, also known as stock funds, do.
Which of the following funds focuses its investment on the stock market?Regardless of size or industry, Multi Cap Equity Funds or Diversified Equity Funds invest in the stocks of businesses all throughout the stock market. By investing in businesses with a variety of market capitalizations and industries, these funds offer the benefit of diversity.
Which mutual fund from the list below has the highest likelihood of investing in both stocks and bonds?Stocks, bonds, money market instruments, or alternative assets are all included in the mix of asset classes that balanced funds invest in. This fund, also referred to as an asset allocation fund, seeks to lower the risk of exposure to various asset classes.
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You are considering buying a share of stock in a firm that has the following two possible payoffs with the corresponding probability of occurring. The stock has a purchase price of $15.00. You forecast that there is a 40% chance that the stock will sell for $30.00 at the end of one year. The alternative expectation is that there is a 60% chance that the stock will sell for $10.00 at the end of one year. What is the expected percentage one−year return on this stock, and what is the return standard deviation?
Answer and Explanation:
The computation is shown below;
Purchase price = $15.00
Forecasted price of $30.00 with probability of 40%:
Now
Rate of Return = (Selling Price - Purchase Price) ÷ Purchase Price
= ($30.00 - $15.00) ÷ $15.00
= 100.00%
And,
Forecasted price of $10.00 with probability of 60%:
Now
Rate of Return = (Selling Price - Purchase Price) ÷ Purchase Price
= ($10.00 - $15.00) ÷ $15.00
= -33.33%
Now
Expected Return = 0.40 × 1.0000 + 0.60 × (-0.3333)
= 0.20 or 20.00%
and,
Variance = 0.40 ×(1.00 - 0.200)^2 + 0.60 × (-0.3333 - 0.200)^2
= 0.426645
Finally
Standard Deviation = (0.426645)^(1 ÷ 2)
= 0.6532 or 65.32%
what effect did the collection of payroll taxes to support the new social security system have on the economy? luoa
The effects of the collection of payroll taxes for Social Security have been complex and multifaceted, with both positive and negative consequences for the economy.
The collection of payroll taxes to support the Social Security system has had various effects on the economy since its inception in the 1930s. Some of the effects are:
1. Increased government revenue
2. Increased consumer savings
3. Reduced disposable income
4. Reduced employer payroll costs
5. Increased trust in government
Payroll refers to the process of calculating and distributing employee salaries, wages, and benefits within an organization. It is a crucial aspect of human resources management as it ensures that employees are paid accurately and on time. The payroll process includes tasks such as tracking employee work hours, calculating gross pay, deducting taxes and other withholdings, and distributing net pay to employees.
Payroll may also involve managing employee benefits, such as health insurance, retirement plans, and paid time off. Payroll is an important function within organizations, as it ensures that employees are fairly compensated for their work, and that the organization remains in compliance with applicable labor laws and regulations.
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list five of the important accounting assumptions that have had an impact on the development of generally accepted accounting principles.
Five important accounting assumptions that impact GAAP are: Going Concern, Accrual Basis, Monetary Unit, Time Period, and Historical Cost, guiding financial reporting for consistency and accuracy.
Five important accounting assumptions that have had an impact on the development of generally accepted accounting principles (GAAP) are:
1. Going Concern Assumption: This assumption assumes that the entity will continue its operations in the foreseeable future. It allows accountants to prepare financial statements under the assumption that the company will not liquidate or go bankrupt.
2. Accrual Basis Assumption: The accrual basis assumption requires that transactions and events are recorded in the financial statements when they occur, regardless of when the cash is received or paid. It helps provide a more accurate representation of a company's financial performance and position.
3. Monetary Unit Assumption: The monetary unit assumption assumes that the financial transactions and events recorded in the financial statements are expressed in a stable currency, such as the U.S. dollar. It allows for the measurement and comparison of financial information over time and between different entities.
4. Time Period Assumption: The time period assumption assumes that the economic activity of an entity can be divided into specific time periods for financial reporting purposes. It allows for the preparation of financial statements on a regular basis, such as monthly, quarterly, or annually.
5. Historical Cost Assumption: The historical cost assumption requires that assets and liabilities are recorded at their original acquisition or production cost. This assumption provides reliability and verifiability to the financial statements, but it may not always reflect the current market value of assets and liabilities.
These accounting assumptions form the foundation of GAAP and help guide the recognition, measurement, and disclosure of financial information to ensure consistency, comparability, and relevance in financial reporting.
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Louvers, Incorporated, accepted a $15,000, 180-day, 10 percent note from a customer on May 31. On June 30, Louvers prepared a period-end adjusting entry to accrue the $125 of interest owed on the note. The note is honored on November 27.
Prepare the necessary November 27 entry for Louvers by selecting the account names from the drop-down menus and entering the dollar amounts in the debit or credit columns. If there are multiple debits or multiple credits, please enter the account titles in alphabetical order. View transaction list Journal entry worksheet < 1 Louvers, Inc., accepted a $15,000, 180-day, 10 percent note from a customer on May 31. On June 30, Louvers prepared a period-end adjusting entry to accrue the $125 of interest owed on the note. The note is honored on November 27. Note: Enter debits before credits. Debit Credit Date Nov. 27 General Journal Cash Interest revenue Interest receivable Notes receivable Record entry Clear entry View general journal
Answer:
November 27 Debit Credit
Bank $15,750
(15,000+15,000*10%*180/360)
Accrued interest income $125
Interest income $625
Note receivable from customer $15,000
how large must each payment be if the loan is for $70,000, the interest rate is 9%, and the loan is paid off in equal installments at the end of each of the next 10 years? this loan is for the same amount as the loan in part b, but the payments are spread out over twice as many periods. round your answer to the nearest cent.
In order to calculate the size of each payment if the loan is for $70,000, the interest rate is 9%, and the loan is paid off in equal installments at the end of each of the next 10 years, we can use the formula for annuity payments.
The formula is: PMT = PVA * (r / (1 - (1 + r)^-n))where PMT is the payment, PVA is the present value of the annuity (the amount of the loan), r is the interest rate per period, and n is the number of periods. Using this formula, we can plug in the values given in the problem: PMT = 70,000 * (0.09 / (1 - (1 + 0.09)^-10))PMT = 70,000 * (0.09 / 0.38877092)PMT = 70,000 * 0.23132812PMT = 16,192.97
Therefore, each payment must be $16,192.97 if the loan is for $70,000, the interest rate is 9%, and the loan is paid off in equal installments at the end of each of the next 10 years. For the second part of the question, we are told that the loan is for the same amount as the loan in part b, but the payments are spread out over twice as many periods.
To calculate the size of each payment, we can use the same formula as before:PMT = PVA * (r / (1 - (1 + r)^-n))where PMT is the payment, PVA is the present value of the annuity (the amount of the loan), r is the interest rate per period, and n is the number of periods. However, in this case, we need to double the number of periods from 10 to 20:PMT = 70,000 * (0.09 / (1 - (1 + 0.09)^-20))PMT = 70,000 * (0.09 / 0.56935199)PMT = 70,000 * 0.15785721PMT = 11,050.01Rounding this to the nearest cent, we get $11,050.01.
Therefore, each payment must be $11,050.01 if the loan is for the same amount as the loan in part b, but the payments are spread out over twice as many periods.
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The HR manager is considering giving more full-time contracts. Would you recommend Top Hotels offer more employees full-time contracts? Justify
your answer.
Answer:
Yes
Explanation:
Yes, I would recommend offering more employees full-time contracts. This is because having employees that know the ins-and-outs of a company is extremely valuable. These employees are able to function with less supervision and think ahead in order to prevent problems before they occur, as well as solve current situations quickly and efficiently. By working full-time they ultimately grow with the company and are able to progress faster. This is incredibly valuable for a company and can greatly increase profits in both the short-term and long-term
A leadership perspective that attempts to determine the personal characteristics of effective leaders is called the ______ approach.
The leadership perspective that focuses on determining the personal characteristics of effective leaders is called the trait approach.
The trait approach to leadership examines the personal qualities and characteristics that are believed to contribute to effective leadership. It suggests that certain innate traits and qualities make individuals more likely to be successful leaders. This approach seeks to identify specific traits such as intelligence, confidence, determination, charisma, and integrity that are commonly associated with effective leaders. The underlying assumption is that individuals possessing these traits are more likely to excel in leadership roles.
The trait approach originated from early studies that aimed to identify the inherent qualities of great leaders. Researchers conducted extensive investigations to identify a set of traits that distinguished successful leaders from non-leaders. However, it is important to note that the trait approach has been subject to criticism for oversimplifying the complex nature of leadership. Critics argue that leadership effectiveness is influenced by various situational factors and context-specific demands, and that the trait approach fails to account for these dynamics. Nonetheless, the trait approach has contributed to our understanding of leadership by highlighting the importance of personal characteristics in shaping leadership potential and effectiveness.
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In a perfectly competitive market, each firm produces at a quantity where price is set
Group of answer choices
a. equal to average cost, both in the short run and in the long run.
b. equal to marginal cost, in the short run.
c. equal to average cost, in the long run.
d. equal to marginal cost, both in the short run and in the long run.
Option d. In a perfectly competitive market, each firm produces at a quantity where price is set equal to marginal cost, both in the short run and in the long run.
In a perfectly competitive market, firms are price takers, meaning they have no control over the market price. Instead, they adjust their quantity of production to maximize their profits. In the short run, firms aim to maximize their profits by producing at a level where marginal cost (the additional cost of producing one more unit) is equal to the market price. This is because if the marginal cost is lower than the market price, the firm can increase its profits by producing more, and if the marginal cost is higher, the firm should reduce its production to avoid losses.
In the long run, firms have the flexibility to adjust their production levels and make changes to their inputs. They aim to maximize their profits by producing at a quantity where average cost (the total cost divided by the quantity produced) is equal to the market price. This is because in the long run, all inputs are variable, and firms can adjust their production processes and inputs to achieve efficiency and minimize costs. Therefore, they produce at a level where average cost equals the market price to ensure profitability.
Thus, in both the short run and the long run, firms in a perfectly competitive market produce at a quantity where the price is set equal to **marginal cost**.
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a contract for a sale of land from bayside properties, inc., to city development corporation contains an erroneous legal description. the most appropriate remedy for these parties is
The most appropriate remedy for the parties is to correct the erroneous legal description in the contract for the sale of land. This can be done through an amendment or addendum to the contract. Alternatively, if the error cannot be corrected, the parties may need to rescind the contract and negotiate a new one.
1. When a contract contains an erroneous legal description, the parties involved have several options to remedy the situation. The first step would be to identify the error and determine if it can be corrected.
2. If the error can be corrected, the parties can amend or add an addendum to the contract. This would involve revising the legal description to accurately reflect the intended property being sold.
3. If the error cannot be corrected or if the parties agree to rescind the contract, they would need to negotiate a new contract with the correct legal description. This would involve cancelling the original contract and creating a new one that accurately describes the land being sold.
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a method for managing pollution in which a limit is placed on emissions and businesses or countries can by and sell emissions allowances
A method for managing pollution in which a limit is placed on emissions and businesses or countries can by and sell emissions allowances is Cap and trade .
What does the term "cap and trade" mean?
A "cap" on maximum emissions is imposed under the cap-and-trade system, which reduces the total emissions from a number of emitters.
It is said to as a market-based approach that aims to lower total pollutant emissions and promote corporate investment in fossil fuel substitutes and energy efficiency.
What does "cap and trade system" mean?
A government regulation scheme known as "cap and trade" aims to reduce or "cap" the overall level of certain chemical pollutants, primarily carbon dioxide emissions, that arise from industrial activity.
The argument put up by cap and trade proponents is that it is a preferable option to a carbon tax.
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Which of the following accurately explain why there is no direct tie between the Fed’s monetary policy tools and its goals? Check all that apply.
1. Effectiveness lags
2. Information lags
3. A broken relationship between monetary aggregates and the rate of inflation
4. Implicit targeting
There are several reasons why there is no direct tie between the Federal Reserve's monetary policy tools and its goals. First, effectiveness lags occur when changes in monetary policy take time to affect the economy.
Second, information lags occur because the Fed may not have complete or accurate information about the economy, making it difficult to make precise policy decisions. Third, there is a broken relationship between monetary aggregates, such as the money supply, and the rate of inflation, making it challenging for the Fed to control inflation through traditional means. Finally, the Fed may use implicit targeting, which involves focusing on a specific economic variable that is indirectly related to its goals, rather than directly targeting its goals. Overall, these factors create a complex relationship between the Fed's policy tools and its goals, requiring careful consideration and analysis when making policy decisions.
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if a more efficient technology was discovered by a firm, there would be
If a more efficient technology was discovered by a firm, there would be a decrease in the firm's costs of production. A firm is an organization that produces goods or services for sale. It can also be referred to as a company. The primary aim of a firm is to maximize profit, which is the difference between total revenue and total cost.
Technology refers to the application of scientific knowledge to create something useful. It encompasses all the tools, machinery, techniques, and methods used to produce goods and services. Technological advancements have led to increased productivity, efficiency, and innovation in various sectors, including agriculture, medicine, communication, and manufacturing.
If a firm discovers a more efficient technology, it can significantly reduce its production costs. This is because the new technology is likely to be faster, more reliable, and require fewer resources, such as labor, raw materials, and energy. The firm can then use these cost savings to lower the price of its products or increase its profit margins.
An example of how technology can reduce production costs is the use of robots in manufacturing. Robots can perform tasks that were previously done by humans, which saves time and money. They can also work continuously, which increases production output.
Therefore, if a firm adopts the use of robots, it can reduce its labor costs and increase its productivity.
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Which of the following is a core aspect of marketing?
Answer: product, price, place, and promotion
Explanation:
How can the various templates that are available for new Word documents be accessed?
opening up an instance of Word
pressing CTRL+N with Word open
clicking File to enter Backstage View
all of the above
Answer: All of the above
Explanation:
When you open up Word newly, the available templates will be listed for you to choose one of your preference and if those are not enough, one can still get more online.
Pressing CTRL+N with Word open will also enable you to have access to the various templates. Finally, clicking File will enable you to enter Backstage View where you can then click on New to see the various templates.
Answer:
the answer is d) all of the aboveExplanation:
What are the four activities for developing strategic thinking identified in the text?
The four activities for developing strategic thinking identified in the text are: broadening task and functional knowledge, understanding the business, setting aside time to reflect, and engaging in lateral thinking.
Why think strategically?
Finding and developing special chances to add value to your organization is the focus of strategic thinking. The phrase has historically been exploited and misused, and too frequently, strategic planning exercises are ineffective. Employees, who are crucial to the process and who boards and management require to be actively involved, may get disengaged as a result of this.
To organize your process of strategic thought, there are numerous models to pick from. Supporting the process is essential, as is making sure that the results and future steps are decided upon and then taken. Without implementation, you run the risk of getting stuck in a strategic thinking vortex with brilliant ideas.
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Na frase, "Você fez o que eu pedi pra você fazer, Zero?" Identifique um verbo no pretérito perfeito e faça sua conjugação abaixo colocando seu infinitivo. Me ajudem por favor preciso muito da resposta!
Annoying isn't it. When people purposely answer your question when they know it's completely useless. Kinda like how I specifically told people NOT to answer the questions I asked because I was doing an experiment, and every time I did that, two people purposely answered my question when they were told not to.
People are d. i. c. k. s.
Answer:
wow
Explanation:
I'm gonna type a random answer
A manager who involves members of the team in decisions is using which management style?
A.
Authoritarian
B.
Hands-off
C.
Participative
D.
Autocratic
Answer:
c.
Explanation:
Answer:
i think its c) to
Explanation:
if a manufacturer of fast-moving consumer goods (fmcg) is interested in measuring consumers’ movement through the adoption hierarchy, which ad effectiveness measure should it employ
If a manufacturer of fast-moving consumer goods (fmcg) wants to track consumers' progression through the adoption hierarchy, it should use ad tracking.
Fast-moving consumer goods, also known as consumer packaged goods, are items that are sold quickly and cheaply. Non-durable household goods like packaged foods, beverages, toiletries, candies, cosmetics, over-the-counter drugs, dry goods, and other consumables are examples.
FMCG is an abbreviation for Fast-Moving Consumer Goods, also known as consumer packaged goods. Products that customers frequently use and replace are referred to as consumer packaged goods (CPG) in the industry. Consumer packaged goods include things like food, drinks, cosmetics, and cleaning supplies.
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The stage of the planning process where an organization's current location is specified, commitments are stated, the vision is set forth, and strengths and weaknesses identified is: goal setting stage awareness stage O premise stage determine course of action stage formulate support plans stage
The stage of the planning process where an organization's current location is specified, commitments are stated, the vision is set forth, and strengths and weaknesses identified is the Premise stage.
This is where organizations conduct a comprehensive analysis of their internal and external environments to identify their current position, define their mission, and establish their goals and objectives. During the Premise stage, organizations conduct a SWOT analysis to identify their strengths, weaknesses, opportunities, and threats.
They also establish their vision and mission, which serve as guiding principles for the organization's future direction. Commitments are stated, and strategies are developed to achieve the goals and objectives established in this stage. The Premise stage is a critical step in the planning process, as it establishes the foundation for the organization's future direction.
By analyzing their internal and external environments, organizations can identify their strengths, weaknesses, opportunities, and threats, which provides insight into the challenges and opportunities that lie ahead. The Premise stage sets the stage for the goal-setting stage, where specific objectives and strategies are established to achieve the organization's mission and vision.
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can you guys help me with this pleaseee is due for tomorrowww thank uuu
Nakumatt had 65 locations as of December 2015 throughout the African Great Lakes nations of Kenya, Uganda, Rwanda, and Tanzania.
What is the nation?Although the phrases nation, state, and country are sometimes used interchangeably, there is a distinction between them. A state is a self-governing political entity (notice the capital "S"). Country and State are both interchangeable terms. However, a nation is a closely-knit community of people who share a culture.
It had a gross yearly revenue of more than US$450 million and employed over 5,500 people. It planned to open more stores in the nations where it already had a presence and to expand into additional African nations at that time.
Therefore, the Great Lakes nations of Kenya, Uganda, Rwanda, and Tanzania.
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The tiny town of Nemo has three neighborhoods located on a straight line: Neighborhood 1, Neighborhood 2, and Neighborhood 3, with Neighborhood 2 located equidistant between Neighborhood 1 and Neighborhood 3. There is one daycare center, located on Neighborhood 1. There are 10 families residing in each neighborhood, and each family has one child. Each family is willing to pay $70/day for daycare, and prefers daycare closest to its own neighborhood (though at current distances, families will purchase daycare services even if it’s two neighborhoods away). Families are indifferent between any two daycares in the same neighborhood. Suppose that daycare costs $30/day per child to provide. A new daycare center is thinking of opening in Nemo. If both daycares will keep their price at $70/day, which neighborhood should the new daycare open in?
Answer:
Neighborhood 2
Explanation:
Based on the information given if NEIGHBORHOOD 2 is located between Neighborhood 1 and Neighborhood 3 which means that in a situation where both daycares decide to keep their price at the amount of $70/day, the neighborhood that the new day care should open in is NEIGHBORHOOD 2 reason been that with NEIGHBORHOOD 2 all the families living in both Neighborhoods 2 and Neighborhoods 3 will be attracted to Neighborhoods 2 and on the other hand won't not be attracted to Neighborhood 1, for the amount of $800/day which is calculated as:
(10 Families *2) * ($70 for day care - $30 per child)
20*40= $800/day
Therefore the neighborhood that the new daycare should open in is NEIGHBORHOOD 2
This week, you learned how to complete a bank reconciliation in Excel. You also learned how to import data into Excel and properly format a worksheet.
In your opinion:
What are some of the benefits of using Excel to complete a bank reconciliation?
How can using Excel to balance your personal bank account help you get a better handle on your finances? Justify your response.
Some of the benefits of using Excel to complete a bank reconciliation include: Accuracy: By using Excel formulas and functions to calculate balances, it is less likely that errors will be made in the bank reconciliation process.
Time-saving: Using Excel to complete a bank reconciliation can be faster than completing it by hand, especially if there are many transactions to reconcile. Organized data: Excel allows for easy organization and sorting of data, which can make the bank reconciliation process more efficient and less time-consuming. Importing data: Being able to import data into Excel can save time and reduce errors that can occur when entering data by hand.Proper formatting: Properly formatting a worksheet can make it easier to read and understand, which can be particularly helpful when reconciling bank statements. How using Excel to balance your personal bank account can help you get a better handle on your finances: Excel allows you to keep track of all of your transactions in one place, making it easier to monitor your spending and identify areas where you can cut back. By using Excel to balance your personal bank account, you can see exactly where your money is going and make informed decisions about your spending. Additionally, Excel allows you to set up formulas and functions to automatically calculate your balances and track your progress towards your financial goals. This can be a useful tool for staying on track with your budget and saving money.For more such questions on reconciliation
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Here is the complete question given below:
This week, you learned how to complete a bank reconciliation in Excel. You also learned how to import data into Excel and properly format a worksheet.
In your opinion:
What are some of the benefits of using Excel to complete a bank reconciliation?
How can using Excel to balance your personal bank account help you get a better handle on your finances? Justify your response.
Do you think large multinational corporations in general like Wal-Mart, Apple, McDonalds and Frito Lay are good or bad for the world? Is "globalization" another word for “Americanization”? Why or why not? (3 points) Explain using complete sentences.
Answer:
I think multinational corporations in like these are bad. Because even people on diets or trying to diet, and people buy it for them not knowing its hard for them to say no.
Explanation:
Some banks pay interest only on the minimum or smallest balance on deposit during an interest period. Helen Lamb had a balance of $783 in such an account on July 1. Annual interest is 2.7% compounded quarterly. She withdrew$170 on August 17 and deposited $200 on September 12. What was Helen’s minimum balance during the quarter?
Helen's minimum balance during the quarter was $613.
What is Minimum Balance in Account?According to the terms and conditions of the account agreement, a customer is required to keep the smallest amount of money in their account for a predetermined amount of time. This amount is known as the minimum balance in an account. Depending on the type of account and the bank's policies, the minimum balance can be set at a certain amount or it can change.
Plugging in the values, we get:
A = 783(1 + 0.027/4)^(4*(3/12))
A ≈ $791.13
So the balance at the end of the quarter, before the deposit, was about $791.13.
Next, we need to figure out the impact of the withdrawal and deposit:
August 17: Helen withdrew $170, leaving a balance of $783 - $170 = $613.
September 12: Helen deposited $200, bringing the balance to $613 + $200 = $813.
We can conclude that the minimum balance was $613 because the balance on July 1 was higher than the estimated balance at the end of the quarter, which was $791.13.
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The adjusting entry to record the amortization of a discount on bonds payable is?.
The adjusting entry to document the amortization of a Discount on Bonds Payable is credited in place of Interest Expense.
What is Amortization?The practize of paying off a debt over time with a series of instalments is called amortization. Both the principle and interest portions of each payment are applied to the loan balance. As the loan is repaid, a little amount is initially set aside each month for principal, and this amount grows significantly each month.
A business may spread out the expense of a patent throughout the course of its usefulness. Consider a scenario in which a corporation holds the sole rights to a patent for ten years with no option for renewal.
The principal balance of a loan is reduced over time as the total principal and interest payments rise, as shown by amortization schedules. As the loan is repaid, less interest is paid and more of each payment is allocated to the main debt outstanding.
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George and weezy received $30,200 of social security benefits this year($12,000 for george; $18,200 for weezy). they also received $5,000 of interest from jointly owned city of ranburne bonds and dividend income.what amount of the social security benefits must george and weezy include in their gross income under the follwoing independent situations?a. george and weezy file married joint and receive $8,000 of dividend income from stocks owned by george. amount to be included as taxable income?b. george and weezy file married separate and receive $8,000 of dividend income from stocks owned by george amount to be included george and weezy?c. george and weezy file married joint and receive $30,000 of dividend income from stocks owned by george. amount to be included as taxable income?d. george and weezy file married joint and receive $15,000 of dividend income from stocks owned by george. amount to be included as taxable income?
A. If George and Weezy are married jointly and receive $8,000 in dividend income from stocks owned by George, then the total amount of Social Security benefits that must be included as taxable income is $30,200.
B. If George and Weezy marry separately and receive $8,000 in dividend income from stocks owned by George, then the total amount of Social Security benefits that must be included as taxable income for George is $12,000 and for Weezy is $18,200 .
C. If George and Weezy are married jointly and receive $30,000 in dividend income from the stock owned by George, then the total amount of Social Security benefits that must be included as taxable income is still $30,200. This is because Social Security benefits are not affected by other sources of income.
D. If George and Weezy are married jointly and receive $15,000 in dividend income from stocks owned by George, then the total amount of Social Security benefits that must be included as taxable income is still $30,200.
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The six main characteristics of money are acceptability, portability, divisibility, uniformity,.
Answer:
acceptability portability divisiblity uniformity stability divisiblity