Accounts receivable is an important asset of a company, and it is critical to monitor and control it. As a result, accounts receivable management is a critical component of every company's financial management.
A set of controls are needed for accounts receivable management to be successful. These controls include the approval of customers' credit history, reviewing the age of past due accounts, and rewarding speedy collections. These controls are essential for the following reasons: Approving customer's credit history: Before agreeing to extend credit to a customer, it is critical to examine their credit history. If a customer has a poor credit history, extending credit to them may result in losses for the company.Reviewing the age of past due accounts: It is critical to review the age of past due accounts regularly to ensure that the company is not losing money due to unpaid debts. Accounts that are overdue for a prolonged period should be dealt with swiftly.Rewarding speedy collections: Offering incentives to customers who pay their accounts promptly can encourage them to pay their accounts quickly. Early payment benefits can include discounts, free shipping, and other benefits. The sooner accounts receivable are paid, the healthier a company's cash flow will be.Accounts receivable is an important component of a company's financial management. To keep it under control, a set of controls are required. These controls include the approval of customer's credit history, reviewing the age of past due accounts, and rewarding speedy collections.
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A company reports pretax accounting income of $10 million, but because of a single temporary difference, taxable income is $12 million. No temporary differences existed at the beginning of the year, and the tax rate is 25%. Prepare the appropriate journal entry to record income taxes.
There are two possible temporary differences that cause accounting income to differ from taxable income: deferred tax liability (DTL) and deferred tax assets (DTA).
Because the taxable income is higher than the accounting income, a DTL is produced. DTL is a tax expense that will be paid in the future.
Journal entry to record income taxes:
Account title Debit Credit Income tax expense (12,000,000 - 10,000,000) × 0.25 500,000 Deferred tax liability of 500,000Accounting income is equal to pretax accounting income of $10 million, while taxable income is $12 million due to a single temporary difference. A deferred tax liability (DTL) is generated because taxable income is greater than accounting income. To record income taxes, a journal entry is made.
The formula for calculating income tax expenses is:
Income tax expense = (taxable income - accounting income) × tax rate= ($12 million - $10 million) × 25% = $500,000In conclusion, the appropriate journal entry to record income taxes is: "Debit income tax expense for $500,000 and credit deferred tax liability for $500,000."
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six years ago, mr. ahmed loaned $10,000 to a neighbor in exchange for an interest-bearing debt obligation. this year, the neighbor informed mr. ahmed that he was defaulting on the debt. what are the tax consequences to mr. ahmed of this bad debt?
The tax consequences of this bad debt to Mr. Ahmed are that he is eligible to claim a non-business bad debt deduction on his tax return.
It is given that six years ago, Mr. Ahmed loaned $10,000 to a neighbor in exchange for an interest-bearing debt obligation and the neighbor informed Mr. Ahmed that he was defaulting on the debt. The tax consequences to Mr. Ahmed of this bad debt are that Mr. Ahmed has an option to claim a non-business bad debt deduction on his tax return.
If Mr. Ahmed's loan to his neighbor satisfies the requirements of a non-business bad debt, he may claim a deduction on his tax return. The IRS defines a non-business bad debt as a debt which is created or acquired for investment, personal, or family purposes. It does not include bad debts which arise from operating a business. A non-business bad debt is a debt that is completely worthless and that has no value or prospects of repayment.
The non-business bad debt deduction allows taxpayers to claim a tax deduction for certain types of debt that are considered worthless or unrecoverable. A taxpayer can claim a non-business bad debt deduction when the debt they are owed is deemed to be worthless by the end of the year.
In order to prove that the debt is completely worthless, Mr. Ahmed must be able to show that he made every reasonable effort to collect the debt. He must also be able to show that he does not expect to collect the debt in the future. Once Mr. Ahmed is able to show that the debt is completely worthless, he can claim the deduction on his tax return. The amount of the deduction will depend on the amount of the debt and Mr. Ahmed's tax rate.
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in a family business, the business's goal is to a. emphasize competition, flexibility, and unity. b. emphasize stability, diversity, and flexibility. c. create value for customers. d. create value for family members.
In a family business, stability, diversity, and adaptability are valued highly. (Choice b)
How would you define "family business"?A business empire is a commercial enterprise where decision-making is impacted by several members of a family, who are linked by blood, marriage, or adoption and who have the capacity to shape the direction of the enterprise and the motivation to do so in order to accomplish particular objectives.
Any company where at least two family members have a stake and where the family has the majority of the ownership or control is said to be family-owned.
Family-owned businesses are more nimble, able to make decisions more quickly, and can respond by entering markets more swiftly because they are in charge of their own operations.
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Which of the following is a characteristic of the center-for-global strategy? a.The innovation activities are conducted across different divisions. b.Duplication of activities occurs in multiple divisions. c.Greater specialization and economies of scale in R&D activities are achieved. d.Proprietary technologies are shared with all units.
The characteristic of the center-for-global strategy is that "greater specialization and economies of scale in R&D activities are achieved". Option C is the correct answer.
The center-for-global strategy is a system that allows for greater specialization and economies of scale in R&D activities. When companies have a central location for these activities, it saves time and money. In comparison to numerous divisions attempting to create and develop innovation on their own, a center-for-global strategy is more efficient.This centralized approach to innovation has a number of advantages, including:
Cost reductions occur as a result of economies of scale. Specialization enables deeper expertise in a specific field. Best practices are shared and can be applied throughout the company. Proprietary technologies are protected and shared with all units. The potential for the commercialization of new technologies is increased.
Thus, option C is the correct answer.
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an automobile windshield manufacturer wants to verify that their process is producing windshields of an appropriate thickness. the best tool to determine this information is
The best tool for the automobile windshield manufacturer to verify their process is producing windshields of the appropriate thickness is a micrometer.
A micrometer is a precision measuring instrument that can measure the thickness of materials with great accuracy. It is often used to measure the diameter of small objects, as well as the thickness of sheets, wires, and other flat objects.
The micrometer consists of two curved jaws, connected by a spindle. When a sample is placed between the jaws, the spindle is used to rotate the jaws and measure the thickness of the material. This allows for accurate measurements, down to the smallest of increments.
With the use of a micrometer, the windshield manufacturer can easily measure the thickness of their windshields to ensure that their process is producing windshields of the appropriate thickness.
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select all that apply when professionals with hub mvss listen to business presentations, they respond best to which of the following? (choose every correct answer.) multiple select question. language that presents several options brash, confident language bottom-line performance measures presentations that hold clear business logic
Professionals with Hub MVSS respond best to language that is clear, confident, and direct. Presentations should focus on business logic, performance measures, and bottom-line results. It is also beneficial to present several options in a clear and concise manner.
To ensure that your presentation is well-received, it is important to provide relevant data and use precise language. When presenting the data, ensure that it is organized, easily understandable, and avoids jargon. Additionally, use relevant visuals such as graphs or charts to help explain your point. Additionally, it is important to be confident in your presentation and be prepared to answer any questions that may arise. Finally, it is important to be concise and to the point in order to keep your audience engaged.
In conclusion, professionals with Hub MVSS respond best to language that is clear, confident, and direct. Presentations should focus on business logic, performance measures, and bottom-line results. Presenting several options in a clear and concise manner is also beneficial. Additionally, be sure to provide relevant data, use precise language, and incorporate relevant visuals. Lastly, be confident in your presentation and be prepared to answer any questions that may arise.
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an economist has predicted 9.5% inflation during the next 15 years. how much will an item that presently sells for $21 bring 15 years later? enter your answer as follow: 123.45. provide 2 decimal places.
The price of an item that presently sells for $21 bring 15 years later at a 9.5% inflation is $81.93.
According to the given information, an economist has predicted 9.5% inflation during the next 15 years. Hence, the present value of an item which is $21 will increase by 9.5% per year for 15 years.
To find the future value of the item, we can use the formula:
FV = PV × (1 + r)^n
Where FV = Future Value, PV = Present Value or Initial Investment, r = Interest rate per year, and n = number of years.
Substitute the given values in the formula:
FV = $21 × (1 + 0.095)^15
FV = $21 × 3.90132
FV = $81.9277
The future value of the item which presently sells for $21 will be $81.93 after 15 years (rounded to 2 decimal places).
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Within the communication process, decoding can best be described as ______. A. conversion. B. interpretation. C. transmission. D. conversation.
The correct option is B, Within the communication process, decoding can best be described as interpretation.
Communication is the process of exchanging information, ideas, or feelings between two or more individuals. It involves the transmission and reception of messages through various channels, such as speech, writing, or non-verbal cues. Effective communication is essential for building relationships, conveying knowledge, and achieving goals in personal and professional contexts.
It can take many forms, including verbal, nonverbal, written, and visual communication, and can be influenced by factors such as cultural differences, language barriers, and technology. Good communication requires active listening, clear expression, and the ability to adapt to different situations and audiences. In today's interconnected world, communication plays a vital role in everyday life, facilitating collaboration, negotiation, and understanding between people from diverse backgrounds and cultures.
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the book value per share of common stock is computed as follows: question 49 options: assets/number of shares outstanding. liabilities/number of shares outstanding. total common stockholders' equity/number of shares outstanding. value of the company's assets/price of the book it's listed in.
The book value per share of common stock is computed by dividing the total common stockholders' equity by the number of shares outstanding. This can be expressed as Total Common Stockholders' Equity / Number of Shares Outstanding.
What is Stock?
A stock, often known as a share or equity, represents a tiny fraction of ownership in a corporation. Stocks are one of the most common types of financial assets, with shares of stocks traded on major exchanges all over the world, including the NYSE and NASDAQ in the United States. Each share of stock represents a portion of ownership in a corporation, which entitles the holder to a portion of the corporation's earnings and assets (after liabilities are paid).
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Burt has contracted with Mel to put a concrete driveway on Mel's property. If Burt delegates the duty of laying the driveway to Chuck, and Chuck does an unacceptable job, Mel may sue Burt for damages.A. True
B. False
The statement is true, "Burt has contracted with Mel to put a concrete driveway on Mel's property. If Burt delegates the duty of laying the driveway to Chuck, and Chuck does an unacceptable job, Mel may sue Burt for damages."
A delegate is someone who is given responsibility or authority to perform a specific task, which is an agreement in which one party grants a power to another party to perform an act on behalf of the grantor.
As a result, if the delegate is unable to complete the task, the grantor may sue the grantee for damages.
Therefore, if Burt delegates Chuck to lay the driveway and Chuck does an unsatisfactory job, Mel may sue Burt for damages. Mel has a valid legal claim against Burt in this situation.
As a result, it is true that if Burt delegates the obligation of laying the driveway to Chuck and Chuck does an unsatisfactory job, Mel may sue Burt for damages.
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suppose there are 81.0 million people not in the labor force, 154.0 million in the civilian labor force, and 140.9 million employed. based on these numbers, what is the unemployment rate?
The unemployment rate is approximately 8.49%.
The unemployment rate can be calculated using the formula:
Unemployment rate = (number of unemployed individuals / labor force) × 100%
Here, the number of unemployed individuals can be calculated as follows:
Number of unemployed individuals = Labor force − Number of employed individuals
In the given problem,
Labor force = Number of individuals in the civilian labor force = 154 million
Number of employed individuals = 140.9 million
Therefore, the number of unemployed individuals = 154 million − 140.9 million = 13.1 million
Substituting the values in the formula, we get:
Unemployment rate = (13.1 million / 154 million) × 100% ≈ 8.49%
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The _____ model involves connections across domains over time that influences developmental pathways and outcomes.
a) internal working
b) external working
c) Strange Situation
d) developmental cascade
The developmental cascade model involves connections across domains over time that influences developmental pathways and outcomes. This model suggests that individual characteristics, such as personality, have an effect on multiple domains, such as physical and cognitive, which can in turn influence other domains and lead to subsequent developmental outcomes.
The developmental cascade model is composed of three stages. First, the domain-specific characteristics of the individual, such as physical, cognitive, and social characteristics, form the foundation of the model. These characteristics influence the environment, which leads to the second stage. In the second stage, environmental factors, such as parenting style, influence the development of certain behaviors or abilities. Finally, the outcomes from the behaviors or abilities can then lead to additional changes in the individual’s environment and characteristics, resulting in a “cascade” of outcomes.
For example, an individual’s personality can affect their interactions with other people and the environment. If the individual is outgoing, for example, they might be more likely to join clubs or activities that can lead to the development of new skills. These new skills can then lead to further interactions with the environment that could then lead to further changes in the individual’s characteristics, leading to a developmental cascade.
Overall, the developmental cascade model is a useful tool for understanding the relationship between individual characteristics and environmental influences. It can help explain how individual characteristics influence development and how environmental factors can lead to subsequent developmental changes.
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explain why an increase in price level results in an increase in the quantity supplied of goods and services in the short-run. 2. if the size of the labor force is constant, what will likely happen to unemployment as price level increases in the short-run? explain. 3. explain why wages are more rigid (or sticky) when price level falls rather than when price level increases.
As the price level increases, sellers have an incentive to increase their production and thus the quantity of goods and services supplied will increase in the short-run.
1. An increase in the price level results in an increase in the quantity supplied of goods and services in the short-run due to the law of supply. As the price level increases, sellers have an incentive to increase their production and thus the quantity of goods and services supplied will increase in the short-run.
2. If the size of the labor force is constant, unemployment will likely increase as the price level increases in the short-run. This is because as the price level rises, it reduces the real wages of workers, making it less profitable for employers to hire and increasing unemployment.
3. Wages are more rigid (or sticky) when price level falls rather than when price level increases because workers are less likely to accept pay cuts due to their expectations of higher wages in the future. When the price level increases, however, workers are more likely to accept a pay increase to adjust for inflation.
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which type of loan typically has a lower interest rate?
3. assume the initial rate on a 1/1 arm is 11.50%. the loan has a margin of 265 basis points above libor. in one year after the loan is originated, the libor is 9.5%. what is the fully indexed rate on the loan in one year?
The fully indexed rate on the loan in one year, assuming the initial rate on a 1/1 ARM is 11.50% and the loan has a margin of 265 basis points above LIBOR and after the loan is originated, the LIBOR is 9.5% would be 12.15%.
Given information:Initial rate on a 1/1 ARM = 11.50%
Loan margin above LIBOR = 265 basis points.
LIBOR after 1 year = 9.5%
Therefore, the fully indexed rate on the loan after one year can be calculated as:
Fully Indexed Rate = (Initial Rate) + (Loan Margin) + (LIBOR)
After 1 year, LIBOR is 9.5% and the loan has a margin of 265 basis points above LIBOR.
Therefore, the fully indexed rate on the loan after one year would be:Fully Indexed Rate = 11.50% + 2.65% + 9.5% = 12.15%
Therefore, the fully indexed rate on the loan in one year would be 12.15%.
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julianna rollins was judged at fault in an automobile accident. three others were awarded damages of $158,000, $70,000, and $72,000. julianna has 100/300 bodily injury liability coverage. what amount, if any, would not be covered by her insurance?
The amount that is not covered by her insurance is the excess amount beyond her policy limit, which is $0 ($300,000 - $300,000). The insurance policy will cover all the damages awarded, up to the policy limit of $300,000, and there will be no amount that is not covered by her insurance.
How do we determine the amount covered by her policy?Julianna has 100/300 bodily injury liability coverage, which means her insurance policy will pay up to a maximum of $100,000 per person and $300,000 in total for all injuries resulting from the accident.
In this case, there were three people awarded damages:
First person was awarded $158,000Second person was awarded $70,000Third person was awarded $72,000The total damages awarded are:
= $158,000 + $70,000 + $72,000
= $300,000
Since the total damages awarded exceed Julianna's bodily injury liability coverage limit of $300,000, hence, her insurance policy will only cover up to the policy limit of $300,000.
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An advertisement for marketing timeshares, which includes a free gift or prize, must clearly disclose all of the following except:
• retail value of gift
• expiration of offer
• odds of winning a prize
• date and where the gift or prize can be claimed
Marketing timeshares create an advertisement, which includes a free gift or prize, must clearly disclose all of the following except the odds of winning a prize.
Marketing Timeshare is the act of using marketing strategies and promotional techniques to promote timeshare products. Timeshare promotion is essential in developing an appealing and persuasive presentation to potential clients An advertisement is a communication method that is meant to convey a message to an audience in order to encourage or persuade them to take a particular action. Advertising is a means of informing and educating the general public about a product or service. The advertisement must be presented in a way that the audience is not misled, and all relevant information must be disclosed.
Thus, an advertisement for marketing timeshares, which includes a free gift or prize, must clearly disclose the retail value of the gift, the expiration of the offer, and the date and where the gift or prize can be claimed. It is not necessary to disclose the odds of winning a prize.
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your company found a cheaper way to manufacture and package the little alcohol swabs used to sterilize the skin before vaccination shots are given. which approval process will you most likely be required to follow to bring your swabs to market?
The approval process that you would most likely need to follow to get your swabs on the market would be to follow the regulatory approval process set by the US Food and Drug Administration (FDA).
What the FDA?It corresponds to an American government agency that establishes safety and efficacy standards for products such as medical devices, which must be approved by the regulatory agency before being placed on the market.
Therefore, to market such a product, the company must initiate the approval process regulated by the FDA agency.
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4) The Dallas, Phoenix, and Tulsa reported income of $140,000 from their partnership for the year ended December 31, 2019. Profits and losses are to be distributed as follows:Dallas Phoenix Tulsa Salaries $35,000 $25,000 $20,000 Bonus 15% -- -- Profit and Loss sharing 60% 30% 10%How should partnership net income for 2019 be allocated to Dallas, Phoenix, and Tulsa?Dallas, Phoenix, Tulsa A) $79,000 $36,700 $24,300 B) $79,400 $36,700 $23,900 C) $55,200 $57,000 $27,800 D) $45,200 $40,000 $44,800
The correct answer is A) $79,000 $36,700 $24,300. Net income for 2019 should be allocated to Dallas, Phoenix, and Tulsa based on the specified percentages in the question.
Dallas should receive 60% of the profits and losses, Phoenix should receive 30%, and Tulsa should receive 10%.
To calculate the total amount to be allocated, multiply the net income of $140,000 by the specified percentages: 60% for Dallas is $84,000, 30% for Phoenix is $42,000, and 10% for Tulsa is $14,000.
To account for the salaries and bonuses, subtract the salary amount from the total allocated:
$35,000 from Dallas leaves $49,000, $25,000 from Phoenix leaves $17,000, and $20,000 from Tulsa leaves $0.
To calculate the bonus, multiply the percentage by the salary amount and subtract it from the total allocated:
15% of the Dallas salary is $5,250, so the total allocated is $79,000 ($84,000 - $5,250).
No bonus is given for Phoenix or Tulsa, so the total allocated for Phoenix is $36,700 ($42,000 - $5,250), and for Tulsa is $24,300 ($14,000 - $0).
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an organization provides in service treatment for alcoholic clients and receives virutally all of these referrals from the family service agencies this is an example of what kind of relationship?
This kind of relationship between an organization that provides in-service treatment for alcoholic clients and receives virtually all of these referrals from the family service agencies is an example of a referral relationship.
What is an organization?An organization is a social entity created to achieve a shared objective. It can range from a single person to tens of thousands of people in many locations, working to achieve a common goal. Organizations are typically made up of a group of people working together to accomplish a common goal. These groups may have a formal structure, with a set of regulations and procedures to follow. The majority of firms aim to make a profit or serve their clients in the best possible way.
A referral relationship, on the other hand, is a sort of relationship between two or more organizations where one refers clients or customers to the other. The referral relationship will work in a way that the first organization referred clients or customers to the second, with the objective of receiving something in return, such as commission or incentives.
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Independence Corporation needs to replace some of the assets used in its trade or business and is contemplating the following exchanges: Determine whether each exchange qualfies as a like-kind exchange. Lu-Kind Exchange a Asset Olven Up by Independence Office building in Chicago, IL Large warehouse on 2 acres Office building in Green Bay, WI used in the business b Ansat Rocolved by Independence Piece of land in Toronto, Canada Small warehouse on 22 acres Apartment complex in Newport Beach, CA, that will be held as an investment Qualios Qualifies
The following exchanges qualify as like-kind exchanges:
a) Asset Given Up: Office building in Chicago, IL
Asset Received: Office building in Green Bay, WI used in the business
b) Asset Given Up: Large warehouse on 2 acres
Asset Received: Small warehouse on 22 acres
The exchange involving the office buildings and the exchange involving the warehouses meet the criteria for like-kind exchanges.
Like-kind exchanges refer to transactions in which assets of similar nature or character are exchanged for one another without triggering immediate tax consequences. In such exchanges, the property being given up (relinquished property) and the property received (replacement property) must qualify as like-kind, meaning they are of the same nature or class.
The purpose of like-kind exchanges is to allow taxpayers to defer the recognition of capital gains or losses that would otherwise be triggered by the sale or disposition of the property. These exchanges are governed by specific rules and regulations outlined by the tax authorities.
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A variable costing income statement Blank______.Multiple select question.
is constructed exactly like an absorption costing income statement
does not include fixed manufacturing overhead, which is included on anabsorption costing income statement
Reason:
Fixed manufacturing overhead is a period cost under variable costing and aproduct cost under absorption costing.
focuses on fixed and variable expenses, while an absorption costing incomestatement focuses on period and product costs
calculates contribution margin while the absorption costing incomestatement calculates gross margin
The correct answer is "does not include fixed manufacturing overhead, which is included on an absorption cost income statement."
A variable costing income statement doesn't include fixed manufacturing overhead, which is included on an absorption costing income statement. Fixed manufacturing overhead is a period cost under variable costing and a product cost under absorption costing.'In variable costing, only variable production costs (direct materials, direct labor, and variable manufacturing overhead) are treated as the cost of a product, while fixed costs are considered period costs and, as a result, are charged directly to the income statement as incurred. In contrast, under absorption costing, all production costs, whether variable or fixed, are included in the cost of a product, with fixed production costs being included in the inventory and carried forward to the income statement when the product is sold.
The contribution margin is calculated by subtracting variable costs from sales, and the absorption cost income statement calculates the gross margin by subtracting the cost of goods sold (including both variable and fixed costs) from sales.
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which of the following are reasons a company might choose a direct channel to distribute its products? (Check all that apply.)- because it believes it can better serve the customer that way- When a customer wants to recycle an old computer- When a customer's coffee maker is under warranty and needs to be repaired- because it believers it can offer a cheaper price that way- When a customer's car has a safety recall on its brake pads- because it wants to directly manage the entire marketing mix- When a customer wants to return a jacket
A company might choose a direct channel to distribute its products for the following reasons:
It believes it can better serve the customer that way.Because it believes it can offer a cheaper price that wayBecause it wants to directly manage the entire marketing mixDirect distribution refers to a company's use of its internal sales force to promote and sell its products directly to customers. It can be achieved in a variety of ways, including telemarketing, direct mail, and e-commerce platforms, among others.
A company may choose to distribute its products directly to customers for a variety of reasons. They may believe that they can provide better service to their customers if they interact with them directly. Alternatively, they may believe that by passing intermediaries, they can offer their products at a lower price, which may be more appealing to price-sensitive consumers. Finally, a company may choose to directly distribute its products so that it can better control the entire marketing mix.
So direct channel of distribution provide customers with above mentioned benefits.
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when determining how large to make a visual, your main consideration is question 32 options: how many pages you need your report to be. how important and complex the information in the visual is. whether the visual's content is negative or positive. how much room you will need for borders. whether the visual will be in color or black and white.
When determining how large to make a visual, the main consideration is "how important and complex the information in the visual is." Thus, Option B is correct.
Additionally, factors such as how much room you will need for borders, whether the visual will be in color or black and white, and how many pages you need your report to be can also be taken into account.
Visual communication is defined as the process of exchanging information and ideas through visual aids. It involves combining text, images, and other graphics to communicate effectively. Visual communication is a crucial aspect of communication because it allows the receiver to get a better understanding of the message being conveyed.
Determine the size of your visual by considering how important and complex the information in the visual is. If the information is complex, the visual should be larger to allow for more details to be included. If the information is less complex, the visual can be smaller.
The size of a visual is not determined by the number of pages you need your report to be, how much room you will need for borders, whether the visual's content is negative or positive, or whether the visual will be in color or black and white.
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which of the following theories predicts that individual performance will be maximized when the pay differentials between job levels are large? group of answer choices tournament theory equity theory reinforcement theory marginal productivity theory
The Tournament Theory predicts that individual performance will be maximized when the pay differentials between job levels are large.
This theory suggests that higher pay rewards lead to increased motivation and therefore better performance. For example, when employees know they will receive a bonus for a job well done, they may be more likely to put forth the effort to exceed expectations.
Additionally, when pay differentials are large, employees may be more willing to compete for higher-level positions in order to gain access to greater pay rewards.
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the slope of the total cost curve is the slope of the total cost curve is total variable cost. total fixed cost. marginal cost. average fixed cost. average variable cost.
The slope of the total cost curve is the (D) marginal cost.
The slope of the total cost curve represents the change in total cost that results from a one-unit increase in output. This is equivalent to the definition of marginal cost, which is the additional cost incurred from producing one more unit of output. In other words, the slope of the total cost curve is the rate at which total cost is changing with respect to changes in output.
Therefore, the correct answer is D: marginal cost, and it is a crucial concept for determining the optimal level of production that maximizes profits in a firm.
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Two years ago, when the market rate was 5%, your company purchased a fixed asset for $50,000. Starting a year after the purchase, fixed asset started to bring in $20,000 annual revenue with annual costs of $8,000. The expected lifetime of the asset is 8 years. You obtained your second cash flow today and due to the changes in the market, you will need to update your revenue, costs, as well as the interest rate.
Going forward, annual revenue will drop by 40% and annual costs will go up by 20%.
a) Assuming that the market rate is still 5% for now and the coming 6 years, if you could sell the asset today at $13,000, should you?
b) Assuming that market rate is now 1% and is expected to stay at 1% for the coming 6 years, then, would you sell the fixed asset at $13,000 today?
The present value of the cash flows is $25,192.87.A net present value (NPV) of -$24,807.13. This indicates that the investment is still unprofitable, and if we have the chance, we should sell the asset for $13,000.
What is Present Value?The financial concept of Present Value (PV) is used to determine the current value of a future sum of money based on a particular interest rate or discount rate, which may be received or paid out over time.
We can use the formula to calculate the present value of the future cash flows with a discount rate of one percent if the market rate is currently 1% and is anticipated to remain at 1% for the next six years.
In year 1, the cash flow is still $12,800. In year 2, the cash flow is $7,680 * 0.6 = $4,608. In year 3, the cash flow is $4,608 * 0.6 = $2,764.80, and so on. The cash flow in year 6 is $831.56.
The present value of these cash flows at a discount rate of 1% is:
[tex]PV = \$12,800 / (1 + 0.01)^1 + \$4,608 / (1 + 0.01)^2 + \$2,764.80 / (1 + 0.01)^3 + \\\\$1,658.88 / (1 + 0.01)^4 + \$995.33 / (1 + 0.01)^5 + \$831.56 / (1 + 0.01)^6[/tex]
PV = $25,192.87
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in developing countries, death early in life from noncommunicable diseases group of answer choices limits economic growth. is less likely than noncommunicable disease mortality later in life. all of these is becoming increasingly common.
The correct answer is: (B) "Noncommunicable disease mortality later in life is becoming increasingly common."
Noncommunicable diseases (NCDs) such as heart disease, cancer, diabetes, and chronic respiratory diseases are a major cause of death and disability worldwide, including in developing countries. Early mortality from NCDs can certainly limit economic growth, as it can result in a loss of productivity and an increased burden on healthcare systems. However, it is more likely that NCD mortality later in life is becoming increasingly common, as populations in developing countries are aging and facing greater exposure to risk factors such as unhealthy diets, physical inactivity, tobacco use, and air pollution.
This trend can also have significant economic implications, as it can result in increased healthcare costs and reduced productivity among older workers.
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why is it important to learn the skill of monthly budgeting or projecting financials for a potential career?
Answer:
it is important
Explanation:
if u budget monthly by the end of the year you can identify the profit or loss (yes l am 12)
the four basic financial statements are the income statement, statement of retained earnings, balance sheet, and statement of cash flows. group of answer choices true false
True, the four basic financial statements are the income statement, statement of retained earnings, balance sheet, and statement of cash flows. These documents provide a comprehensive picture of a company's financial position, activities, and profitability.
What are financial statements?Financial statements are critical files that offer perception right into a company's economic performance. It includes four key types of financial statements: income statement, statement of retained earnings, balance sheet, and statement of cash flows.
An income statement reports a company's revenue and expenses over a particular period of time. The income statement reveals how much money the company generated and how much it spent on a specific activity.
The income statement helps stakeholders assess a company's profitability and ability to pay dividends.
A balance sheet provides a company's financial position at a particular point in time. The balance sheet provides information about a company's assets, liabilities, and equity.
The statement of cash flows reports a company's cash flow over a particular period. It provides information about the cash generated and spent by the company during a specific period. The statement of cash flows helps stakeholders assess a company's liquidity and ability to generate cash flow.
Hence the statement is true.
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