T/F. Established small businesses are defined as companies that have been in business at least fifteen years and employ between 50 to 500 employees.

Answers

Answer 1

Established small businesses are defined as companies that have been in business at least fifteen years and employ between 50 to 500 employees is False.

What is business?

Established small businesses are not defined by a specific number of years in business or number of employees. The definition of a small business varies by industry and country, but in the United States, the Small Business Administration defines a small business as having fewer than 500 employees for most industries. However, many small businesses may have fewer than 50 employees, and some may have been in business for less than 15 years.

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Complete question is: Established small businesses are defined as companies that have been in business at least fifteen years and employ between 50 to 500 employees is False.


Related Questions

the income effect describes the positive impact on the buying power of income resulting from a decrease in the price of a good.

Answers

Yes,
Income has a positive impact on the buying power and can cause a decrease in prices for the people to afford basic needs.

Exercises 4. If the GASB has not issued a pronouncement on a specific issue, which of the following is true with respect to FASB pronouncements? a. They would automatically govern b. They could be taken into account but would have no higher standing than other accounting literature c. They are irrelevant d. They could be taken into account by the reporting entity but only if disclosure is made in notes to the financial statements The FASB is to the GASB as a. A brother is to a sister b. A father is to a son c. A son is to a father d. An aunt is to a niece 5. 6. Standards promulgated by the FASB are most likely to be adhered to by which of the following governmental units? a. A police department b. A public school c. An electric utility d. A department of highways 7. Which of the following practices is most likely to undermine interperiod equity? a. Paying for a new school building out of current operating funds b. Paying the administrative staff of a school out of current operating funds c. Issuing 20-year bonds to finance construction of a new highway d. Recognizing gains and losses on marketable securities as prices increase and decrease

Answers

If the GASB has not issued a pronouncement on a specific issue, then FASB pronouncements could be taken into account but would have no higher standing than other accounting literature.

The FASB is to the GASB as a father is to a son, since the FASB is the governing body of GAAP, while the GASB is the governing body of state and local governmental accounting standards.  Standards promulgated by the FASB are most likely to be adhered to by a public school, since FASB pronouncements are the accepted standard for all US GAAP accounting.  

Paying for a new school building out of current operating funds is most likely to undermine inter period equity, since current operating funds are limited and using them to finance long-term projects can deplete them.  Recognizing gains and losses on marketable securities as prices increase and decrease can also undermine inter period equity if the gains and losses are not adjusted for inflation or other economic changes.

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If the current mix of output is at point A and the optimal mix of output is at point E, does a market failure exist?
Yes
No

Answers

A. Yes, a market failure exists when the current mix of output is not at the optimal mix of output, as is the case with points A and E.

Market failure occurs when the market is not allocating resources efficiently and prices are not accurately reflecting their true costs or benefits. This can be due to externalities, information asymmetries, or other factors. When this happens, the market is unable to correct itself and the optimal mix of outputs is not achieved.

For example, if a factory is producing goods but is unable to take into account the negative externalities of its production, such as pollution, then the price of its goods will not accurately reflect its true cost to society. As a result, the factory will be producing at a point (A) that is not the optimal mix of output (E). This creates a market failure. Therefore the correct option is A

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TRUE/FALSE.One of the advantages of having a strong brand is the ability to have a more elastic consumer response to price decreases of the brand.

Answers

True. A strong brand can help a business have a more elastic consumer response to price decreases. Brand loyalty and recognition can encourage consumers to continue purchasing the brand’s products even when prices have decreased. This allows companies to maintain their current customer base and even potentially increase their sales when prices are decreased. In addition, a strong brand can attract new customers who may not have considered purchasing the product before the price decrease


Strong brands are beneficial for companies in other ways as well. A strong brand can lead to higher consumer confidence and trust in the product, which can lead to higher customer satisfaction and brand loyalty. It can also result in higher customer retention rates, allowing companies to create and nurture relationships with their customers. A strong brand also enables companies to increase their market share by providing customers with the assurance of quality and value Overall, having a strong brand is beneficial for companies in many ways. It can lead to a more elastic consumer response to price decreases, higher customer retention rates, and increased customer satisfaction. It also allows companies to increase their market share and create a powerful connection with their customers.
One of the advantages of having a strong brand is the ability to have a more elastic consumer response to price decreases of the brand. True or False?The statement is True because having a strong brand helps to increase brand awareness among consumers. As a result, it becomes easier for brands to influence consumer perceptions of their products or services. When consumers have positive perceptions about a brand, they are more willing to pay a premium for that brand.However, it also means that when the brand decides to decrease its prices, consumers who are already positively inclined towards the brand are more likely to respond to the price decrease. This implies that brands with stronger brand equity are more likely to have consumers who will be loyal to the brand even if the price of their products or services increases. Therefore, they are more likely to have a more elastic consumer response to price decreases of the brand.Having a strong brand also allows companies to expand their product portfolios and leverage the equity that they have already built with their brands. It is because companies can introduce new products under the same brand name, which increases the probability that consumers will be willing to purchase them because they trust the brand.

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Complete the below table to calculate the price of a $1.5 million bond issue under each of the following independent assumptions (FV of $1, PV of $1, FVA of $1, PVA of $1, FVAD of $1 and PVAD of $1) (Use appropriate factor(s) from the tables provided.Enter your answers in whole dollars.):
1. Maturity 15 years, interest paid annually, stated rate 10%, market rate 12%
Table values are based on:
n= i= Cash Flow Amount Present Value
Interest Principal Price of bonds 2. Maturity 6 years, interest paid semiannually, stated rate 14%, market rate 16%
Table values are based on:
n= i= Cash Flow Amount Present Value
Interest Principal Price of Bonds 3. Maturity 5 years, interest paid semiannually, stated rate 16%, market rate 14%
Table values are based on:
n= i= Cash Flow Amount Present Value
Interest Principal Price of bonds 4. Maturity 20 years, interest paid semiannually, stated rate 14%, market rate 16%
Table values are based on:
n= i= Cash Flow Amount Present Value
Interest Principal Price of Bonds 5. Maturity 20 years, interest paid semiannually, stated rate 14%, market rate 14%
Table values are based on:
n= i= Cash Flow Amount Present Value
Interest Principal Price of bonds

Answers

Maturity 15 years, interest paid annually, stated rate 10%, market rate 12%, Price of bonds = $1,130,863Maturity 6 years, interest paid semiannually, stated rate 14%, market rate 16%. Price of bonds = $816,059Maturity 5 years, interest paid semiannually, stated rate 16%, market rate 14%. Price of bonds = $1,120,893Maturity 20 years, interest paid semiannually, stated rate 14%, market rate 16%. Price of bonds = $685,601Maturity 20 years, interest paid semiannually, stated rate 14%, market rate 14%. Price of bonds = $1,000,000

An explanation for 1st: To calculate the price of the bond, we need to use the present value of the interest and principal payments discounted at the market rate of 12%. Using the PV of $1 table, we can calculate the present value factors for the interest and principal payments. Multiplying these factors by the corresponding cash flows and summing them up gives us the price of the bonds, which is $1,130,863.

An explanation for 2nd: To calculate the price of the bond, we need to use the present value of the interest and principal payments discounted at the market rate of 16%, which is the semiannual equivalent of the annual rate of 14%. Using the PV of $1 table, we can calculate the present value factors for the interest and principal payments. Multiplying these factors by the corresponding cash flows and summing them up gives us the price of the bonds, which is $816,059.

An explanation for 3rd: To calculate the price of the bond, we need to use the present value of the interest and principal payments discounted at the market rate of 14%, which is the semiannual equivalent of the annual rate of 16%. Using the PV of $1 table, we can calculate the present value factors for the interest and principal payments. Multiplying these factors with the corresponding cash flows and summing them up gives us the price of the bonds, which is $1,120,893.

An explanation for 4th: To calculate the price of the bond, we need to use the present value of the interest and principal payments discounted at the market rate of 16%, which is the semiannual equivalent of the annual rate of 14%. Using the PV of $1 table, we can calculate the present value factors for the interest and principal payments. Multiplying these factors by the corresponding cash flows and summing them up gives us the price of the bonds, which is $685,601.

An explanation for 5th: When the stated rate is equal to the market rate, the price of the bond is equal to its face value, which is $1,000,000 in this case. The present value factors for the interest and principal payments are both equal to 1, so we don't need to use the PV tables to calculate the price of the bonds.

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Complete Question:

Complete the following to calculate the price of a $1.5 million bond issue under each of the following independent assumptions (FV of $1, PV of $1, FVA of $1, PVA of $1, FVAD of $1 and PVAD of $1) (Use appropriate factor(s) from the tables provided.Enter your answers in whole dollars.):

1. Maturity 15 years, interest paid annually, stated rate 10%, market rate 12%

Table values are based on:

n= i= Cash Flow Amount Present Value

Interest Principal Price of bonds

2. Maturity 6 years, interest paid semiannually, stated rate 14%, market rate 16%

Table values are based on:

n= i= Cash Flow Amount Present Value

Interest Principal Price of Bonds

3. Maturity 5 years, interest paid semiannually, stated rate 16%, market rate 14%

Table values are based on:

n= i= Cash Flow Amount Present Value

Interest Principal Price of bonds

4. Maturity 20 years, interest paid semiannually, stated rate 14%, market rate 16%

Table values are based on:

n= i= Cash Flow Amount Present Value

Interest Principal Price of Bonds

5. Maturity 20 years, interest paid semiannually, stated rate 14%, market rate 14%

Table values are based on:

n= i= Cash Flow Amount Present Value

Interest Principal Price of bonds

which of the following steps are necessary to reconcile the bank balance and the cash account balance.

Answers

Adjusting the cash balance to match the bank statement balance is the necessary step to reconcile the bank balance and cash account balance.

The following steps are required to reconcile the bank balance and the cash account balance :

1) Compare the bank statement balance with the book balance

2) Document any reconciling items such as outstanding checks, deposits in transit, and bank fees

3) Adjust the cash balance to match the bank statement balance

4) Prepare a bank reconciliation statement that summarizes the reconciliation process

5) Retain a copy of the bank reconciliation statement.

Bank balance Vs Cash account balance -

The bank balance is the company's cash position in the company's bank accounts as reported according to the month-end bank statement. As debits and credits are processed through your bank account, these amounts are reflected in your bank account's cash balance. However, there are some scenarios where a company's book balance differs from its bank balance.  

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24. A complete successful telephone contact has four basic parts:
a. name, the position, the job number, the location
b. name, the position, salary and work hours
c. name, the position, days and hours worked
name, the position, the hook and the goal
d.

Answers

Explanation:

name, the position, the job number, the

fill in the blank. in the___method of prospecting, after each call, salespeople ask for the names of others who might be interested in their product or service.

Answers

"Referral method" is a prospecting method where after each call, salespeople ask for the names of others who might be interested in their product or service.

A referral is the name of an individual, business or institution that is given to the salesperson by the prospect, with a suggestion that the prospect may have an interest in the product or service provided by the salesperson.

prospecting, Prospecting refers to the process of searching for potential customers to sell to. Salespeople must locate prospective customers and persuade them to buy. There are several different prospecting methods, including referrals, cold calls, networking, and email.

Salespeople should employ several methods of prospecting, including asking for referrals from satisfied customers, seeking leads from sources such as industry trade shows and directories, and cold-calling potential customers.

"Referral method" is a prospecting method where after each call, salespeople ask for the names of others who might be interested in their product or service.

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One of your clients is an options trader. In looking over the financials and news for Company X, this client feels that Company X common stock will not fluctuate much in price over the next several months. Which options position listed below will provide the MOST PROFIT for this client with this consideration in mind?

Answers

In looking over the financials and news for Company X, a client believes that Company X common stock will not fluctuate much in price over the next several months. The options position that will provide the MOST PROFIT for this client with this consideration in mind is Short Straddle.

Short Straddle is the options position that will provide the MOST PROFIT for the client with this consideration in mind. A short straddle is a non-directional options trading strategy that involves selling both a put option and a call option on the same underlying asset, with the same strike price and the same expiration date. To gain a profit, the trader must ensure that the underlying stock remains stable during the time leading up to expiration.

This is the perfect strategy to use when you believe that a stock's price will remain relatively stable in the short term, allowing you to collect maximum option premium revenue.

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What can supply do to assist minimizing a firm’s risk of product liability suits?

Answers

Supply can assist in minimizing a firm's risk of product liability suits in the different ways.

They are: Establishment of quality assurance measures: Manufacturers must implement quality assurance measures to minimize the risk of product liability suits. Quality control measures ensure that the finished product is free of defects, which reduces the chances of a customer filing a claim against the company.Supply inspection: The company should inspect goods before accepting them from suppliers to guarantee that the goods are of good quality and in excellent condition.

Product liability suits may occur as a result of supplier issues, such as using substandard raw materials or defective parts, so supply inspection is a critical step in reducing the risk of a suit. Controlling the source of raw materials: Product liability suits may be caused by the use of substandard raw materials. Manufacturers should track the source of their raw materials and only use those from reputable suppliers to reduce the risk of a suit.

Documentation: Proper documentation is critical in the event of a product liability lawsuit. Firms should maintain accurate records of all transactions, such as contracts, warranties, and other documents, to prove that they acted in good faith and followed all legal procedures. The documentation assists in establishing the manufacturer's liability or innocence in the event of a suit.

Communication: The producer should be in touch with suppliers and clients to stay up to date on product performance and any issues that arise. This enables the manufacturer to fix the issue before it becomes a problem that can lead to legal action. Communication is critical in preventing lawsuits, as it allows the firm to act swiftly and decisively to prevent any incidents that might lead to liability claims.

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A U.S. company that has sold its product to a German firm would be exposed to a net exchange gain on the unpaid receivable if the
a.
amount to be paid was denominated in dollars.
b.
dollar weakened relative to the Euro and the Euro was the denominated currency.
c.
dollar strengthened relative to the Euro and the Euro was the denominated currency.
d.
U.S. company purchased a forward contract to buy Euros.

Answers

A U.S. company that has sold its product to a German firm would be exposed to a net exchange gain on the unpaid receivable if the dollar weakened relative to the Euro and the Euro was the denominated currency. So option B is the answer.

The amount owed to a company for goods or services that have been sold but not yet paid for is known as receivable. For example, a business that supplies goods to a customer on credit has a receivable. The term "denominated currency" refers to the currency in which an asset, liability, or transaction is stated. The term is used to refer to bonds, loans, and other fixed-income investments, as well as foreign exchange transactions, which are typically denominated in the currency of the country where the company or government that issued the bond or loan is headquartered.

In this scenario, if the Euro was the denominated currency, and the dollar weakened relative to the Euro, a US company that sold its product to a German firm would be exposed to a net exchange gain on the unpaid receivable. So option B is the answer.

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fill in the blank. ___ allows a country to seize the market opportunity and trade with other countries which have easier production and lower cost of certain goods

Answers

International trade  allows a country to seize the market opportunity and trade with other countries which have easier production and lower cost of certain goods.

The term that should be filled in the blank is "comparative advantage."Comparative advantage refers to a situation where a country has the ability to produce goods and services at a lower opportunity cost compared to another country. By trading, both countries can benefit from the production and trade of these goods Comparative advantage is a principle of economics that suggests that a country should specialize in producing those products at which it is relatively more efficient.

By specializing in goods and services in which it has a comparative advantage, a country can gain more by trading with other countries that are also specializing in goods and services that they are more efficient in producing. In this way, both countries can benefit from the exchange of goods and services Opportunity cost is the cost of forgoing one option for another.

It is the value of the next best alternative that must be forgone to pursue a certain action or decision. For example, the opportunity cost of attending college is the cost of the highest valued alternative that a student would have to give up to attend college.

The benefits of comparative advantage include:Increased efficiency: As countries specialize in the production of goods and services that they are best suited to produce, they can increase their efficiency in production and lower the cost of production.Increased trade: When countries specialize in goods and services, they can trade with other countries that are specialized in other goods and services, thus increasing trade and economic growth for both countries.Increased consumption:

Specialization in goods and services that a country has a comparative advantage in leads to increased production and lower cost of goods and services. This, in turn, leads to increased consumption and a higher standard of living for citizens

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a. an example of poorly defined property rights resulting in a market failure is most likely to occur in which of the following?

Answers

Exercise of property rights 3 are not clearly defined, which causes the market to fail community garden is the correct one.

Why does the market fail?

When individuals in a group are left worse off than if they had not acted in their rational self-interest, this is referred to as a market failure. When a market fails, everyone in the group pays too much or benefits from it too little.

Asymmetric information, concentrated market power, public goods, and externalities are the four main causes of market failure.

Market failure in economics refers to a situation where a free market's distribution of goods and services is not Pareto efficient, frequently resulting in a net loss of economic value.

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an example of poorly defined property rights resulting in a market failure is most likely to occur in which of the following?

a. private household garden

b. community garden

c. a single farmer selling produce at at the farmers market

d. a commercial agriculture plot

In the context of the various pricing strategies, which of the following statements is true about high/low pricing?

* Can encourage consumers to pay a premium on the purchase products
* Can train customers to buy only one products are on sale
* Can entice price insensitive customers to buy high when a product first enters the market
* Can increase traffic in retail stores by special sales on all products

Answers

The answer is b. Can train customers to buy only one products are on sale.

In the context of the various pricing strategies, this statement is true.

Which is correct, sell or sale ?

In conclusion, a noun is always used when the word "sale" is present. Always use sell when looking for a verb. Use the word sell to show any act or technique of selling, particularly one that involves persuasion and is denoted by a word like tough, hard, difficult, or easy.

What do the terms sell and sale mean?

Sale, which is used in the expressions for sale and on sale, refers to an exchange at a discounted price. When used as a verb, sell means to give something in exchange for money or to encourage or make someone to buy something.

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Establishing and maintaining effective relationships at work depends on?

Answers

Answer:

Trust, teamwork, communication and respect are keys to effective working relationships. Develop positive relationships with the individuals you interact with at work to make your job more enjoyable and productive. These connections could also serve as future references or contacts in your career.

Explanation:

Hope this helps:)

Does advertising increase sales?

Answers

By informing current and future customers about your new product launches, exclusive deals, and enhancements, advertising can boost sales.

To what extent does advertising affect sales?

Even while advertising expenditures are on the rise, sales may not necessarily increase. Every continuing marketing initiative is ineffective to some extent. Even while occasionally changes to the product, the target market, the media, or the creativity may have an impact on sales, more advertising does not directly affect sales.

Why is marketing so important to sales?

The effectiveness of advertisements depends on the factors they support. Creative message, the quality of the products, user experiences, the brand story, the price, the promotion, the endorsement, etc. are all important factors in advertising. A compelling tale can get more attention through advertising, but not more. Poor-quality products or subpar customer service will not be promoted in advertisements.

Boost consumer awareness of your company and brand. Your products or services should be marketed with their benefits in mind. Offer additional details regarding your company. Increase sales and demand.

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is it expected to close external vacancy from a giant telecom company like ethio telecom?​

Answers

Answer: Common Practice

Explanation:

I don't have access to specific information regarding the hiring policies of Ethio Telecom or any other company. However, it is common practice for companies, especially large organizations, to advertise external vacancies and hire qualified candidates based on their qualifications, experience, and fit with the company's culture and values. Companies often have a structured recruitment process that involves screening applications, interviewing candidates, and selecting the most suitable candidate for the job.

That being said, the competition for jobs at large and well-established companies like Ethio Telecom can be significant, and meeting the job requirements and having relevant experience may not necessarily guarantee a candidate the position. It's always important to prepare well for the job application process, demonstrate a strong work ethic, and highlight your skills and experiences that align with the requirements of the job.

Sophia is shopping at an apparel store. When she tries on a sweater in the fitting room, she discovers that the store has placed cameras in the rooms. She wants to sue the store for violating her privacy. Which of the following privacy torts does this scenario best illustrate?

Multiple Choice
Intentional depiction of a person in false light.
Appropriation for commercial gain.
Intrusion on an individual's affairs or seclusion.
Public disclosure of private facts.

Answers

The scenario best illustrates the privacy tort of intrusion on an individual's affairs or seclusion.

This is because Sophia has a reasonable expectation of privacy in a fitting room, and the store's placement of cameras in the room is an intentional intrusion upon her seclusion. Seclusion refers to an individual's right to be free from unwanted intrusion or observation in their private affairs. It is an opportunity cost fundamental aspect of privacy that allows individuals to control who has access to their personal information and activities. Seclusion can be physical or informational, and it is protected under various laws, including the Fourth Amendment of the U.S. Constitution and the General Data Protection Regulation (GDPR) in the European Union. Violations of seclusion can result in legal action, including civil suits for damages and criminal charges in some cases.

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Consider a good to which a per-unit tax applies. The greater the price elasticities of demand and supply for the good, the a. smaller the deadweight loss from the tax. b. more efficient is the tax. greater the deadweight loss from the tax. d. more equitable is the distribution of the tax burden between buyers and sellers.

Answers

The correct option is a. smaller the deadweight loss from the tax.

Why it is?

When both the price elasticities of demand and supply are high, it means that buyers and sellers are very responsive to changes in price. As a result, when a tax is imposed on the good, both buyers and sellers will adjust their behavior in response to the tax. Buyers will reduce their quantity demanded more, and sellers will reduce their quantity supplied more, compared to a situation where either elasticity is low.

This increased responsiveness of buyers and sellers to the tax reduces the deadweight loss of the tax, which is the efficiency loss resulting from the distortion of market behavior caused by the tax.

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17. California and Hawaiian Sugar Company (C and H) is an
agricultural cooperative in the business of growing sugar-
cane in Hawaii and transporting the raw sugar to its refin-
ery in California for processing. Because of the seasonal
nature of the sugarcane crop, availability of ships to trans-
port the raw sugar immediately after harvest is impera-
tive. After losing the services of the shipping company it
had previously used, C and H decided to build its own
ship, a hybrid that had two components, a tug and a barge.
Cand H contracted with Halter Marine to build the tug and
with Sun Ship to build the barge. In finalizing the contract
for construction of the barge, both C and H and Sun Ship
were represented by senior management and by legal coun-
sel. The resulting contract called for a liquidated damages
payment of $17,000 per day that delivery of the completed
barge was delayed. Delivery of both the barge and the tug
were significantly delayed. Sun Ship paid the $17,000 per
day liquidated damages and then sued to recover it, claim-
ing that without the liquidated damages provision, C and
H's legal remedy for money damages would have been sig-
nificantly less than that paid by Sun Ship pursuant to the
liquidated damages provision. Decision? Discuss.

Answers

It appears that the liquidated damages provision in question in the C and H and Sun Ship case was reasonable and enforceable.

Determining facts -

In determining whether the liquidated damages provision was enforceable or not, a court will seek to determine whether the clause is a reasonable estimate of the damages that would be incurred by the non-breaching party in the event of a breach.

Circumstances which leads to this -

Under the circumstances described, it appears that the liquidated damages provision was reasonable. Both parties were represented by senior management and legal counsel in the contracting negotiations, indicating that there was a meeting of the minds on the importance of timely delivery of the barge. In addition, the nature of the sugar cane crop's seasonality meant that the availability of ships to transport the raw sugar immediately after harvest was critical to the profitable operation of C and H's business.

The enforceability of the liquidated damages provision is also bolstered by the fact that the actual damages suffered by C and H were likely difficult to determine precisely. This case serves as a reminder of the importance of carefully considering the language of any penalty clauses included in a contract.

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Account Name
Debit
Cash
Accounts Receivable
Inventory
Prepaid Expenses
$1,000
Property, Plant and Equipment
Accumulated Depreciation
Accounts Payable
Wages Payable
Notes Payable
Capital Stock
Retained Earnings
Sales Revenue
Operating Expenses
Total
$15,000
$5,000
$20,000
$209,000
Credit
$100,000
$10,000
$12,500
$2,500
$20,000
$50,000
$10,000
$75,000
$20,000
$209,000

Answers

The statement shοwn in the given data is a Adjusted trial balance. Thus, οptiοn A is cοrrect.

What is Adjusted trial balance?  

The general ledger accοunt balances are shοwn in an adjusted trial balance fοllοwing any revisiοns. These changes οften cοver depreciatiοn, prepaid expenses, accruing expenses, and οther nοn-cash cοsts. It's that easy. The adjusted trial balance is presented οn a cοmpany's financial statements, which include essential details regarding earnings and lοsses, cash flοw, and expenses. It is prepared at the cοnclusiοn οf an accοunting periοd, which is the end οf the fiscal year.

Accοunts Receivable is mοney οwed tο the business by custοmers fοr gοοds οr services that have been delivered but nοt yet paid fοr. Inventοry is the gοοds that a business has οn hand fοr sale. Prepaid Expenses are payments made in advance fοr gοοds οr services tο be received in the future. The debit entry fοr these accοunts is fοr $1,000 as the business is paying $1,000 fοr cash, accοunts receivable, inventοry, and prepaid expenses.

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Complete question:

Given a component of statement. What type of statement or account type does this component of statement provides based on the data given?

Adjusted trial balanceBalance SheetP & L AccountTrading account

ASSIGNMENT 1
Using a particular organisation as your case study, explain the way
attributes of corporate, business, and operational strategies and
assess their interrelationships.

Answers

Let's take Apple Inc. as a case study. Apple's corporate strategy is to maintain its position as a leading technology company, to expand its reach in new markets, and to continue innovating new products.

How does its business strategy help?

Its business strategy focuses on differentiation by creating unique products and experiences that appeal to customers' desires. Its operational strategy includes efficient and flexible supply chain management, strong marketing campaigns, and excellent customer service.

These strategies are interrelated, as Apple's corporate strategy guides its business strategy, which in turn influences its operational strategy. For example,

Apple's emphasis on innovation and differentiation affects its supply chain management by requiring a high level of coordination and rapid product development.

Ultimately, these strategies work together to achieve Apple's overall goals and objectives.

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which of the following items are included in the code of professional ethics of the american institute of certified public accountants:

Answers

The items that are included in the code of professional ethics of the American Institute of Certified Public Accountants (AICPA) are as follows:1. Independence: This principle states that accountants should maintain independence in their work and avoid any relationships that could compromise their professional judgment.2.

Integrity: This principle refers to the quality of being honest and having strong moral principles. Accountants are expected to adhere to high ethical standards in their work.3. Objectivity: This principle requires accountants to be impartial and unbiased in their work. They should avoid any conflicts of interest and refrain from engaging in any activities that could compromise their objectivity.4. Confidentiality: This principle states that accountants should maintain the confidentiality of client information. They should not disclose any confidential information without the client's consent, except in certain situations where disclosure is required by law.5. Professional Competence: This principle requires accountants to maintain a high level of professional competence in their work. They should continue to develop their knowledge and skills to provide high-quality services to their clients.6. Professional Behavior: This principle requires accountants to act in a manner that reflects positively on the profession. They should avoid any behavior that could damage the reputation of the profession.The AICPA Code of Professional Conduct provides guidance and rules to help accountants navigate ethical issues in their work. By following these principles and rules, accountants can maintain their integrity, independence, and objectivity, and provide high-quality services to their clients.

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1. Describe the main sources of law (10 Marks).
2. Explain five essentials of a valid contract (10 Marks).
3. Describe the main purpose of employment law (10 Marks).

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Constitutions, legislation, rules, and court decisions serve as primary sources of law. The executive, legislative, and judicial departments of government all have the authority to enact laws.

Describe the five requirements for a legal contract.

An enforceable contract must contain the following five components: offer, acceptance, awareness, consideration, and capacity. The "why" of an agreement, or the contract terms, are stated in its offer, which specifies what each party agrees to do or refrain from doing as part of the agreement's requirements.

What would you say is the major goal of employment law?

The purpose of employment laws is to shield employees from unfair business practices. Workers would be exposed to a variety of dangers in the absence of those statutes. The main employment regulations cover child labor, workers' compensation, minimum wage, workplace safety and health, and discrimination.

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Splish Brothers Hardware Store completed the following merchandising transactions in the month of May. At the beginning of May, the ledger of Splish Brothers showed Cash of $8,000 and Common Stock of $8,800.
May 1 Purchased merchandise on account from Black Wholesale Supply for $7,300, terms 1/10, n/30.
2 Sold merchandise on account $4,800, terms 2/10, n/30. The cost of the merchandise sold was $3,600.
5 Received credit from Black Wholesale Supply for merchandise returned $200.
9 Received collections in full, less discounts, from customers billed on May 2.
10 Paid Black Wholesale Supply in full, less discount.
11 Purchased supplies for cash $800.
12 Purchased merchandise for cash $3,100.
15 Received $210 refund for return of poor quality merchandise from supplier on cash purchase.
17 Purchased merchandise on account from Wilhelm Distributors for $2,400, terms 2/10, n/30, FOB shipping point.
19 Paid freight on May 17 purchase $250.
24 Sold merchandise for cash $5,500. The merchandise sold had a cost of $3,900.
25 Purchased merchandise on account from Clasps, Inc. for $800, terms 3/10, n/30.
27 Paid Wilhelm Distributors in full, less discount.
29 Made refunds to cash customers for returned merchandise $124. The returned merchandise cost $8.
31 Sold merchandise on account for $1,360 terms n/30. The cost of the merchandise sold was $840.
Splish Brothers Hardware’s chart of accounts includes the following: No. 101 Cash, No. 112 Accounts Receivable, No. 120 Inventory, No. 126 Supplies, No. 201 Accounts Payable, No. 311 Common Stock, No. 401 Sales Revenue, No. 412 Sales Returns and Allowances, No. 414 Sales Discounts, and No. 505 Cost of Goods Sold.
A.Journalize the transactions using a perpetual inventory system.
B. Post the transactions to T-accounts. Be sure to enter the beginning cash and common stock balances
C. Prepare an income statement, through Gross Profit for the month of May 2015
D. Calculate the Profit Margina and Gross Profit Rate assuming operating expenses were $1,400.

Answers

In your company's records, a journal entry serves as a record of a commercial transaction. Every transaction requires at least two journal entries in double-entry accounting.

A. Journal Entries:

May 1: Merchandise Inventory 7,300

Accounts Payable 7,300

May 2: Accounts Receivable 4,800

Sales Revenue 4,800

Cost of Goods Sold 3,600

Merchandise Inventory 3,600

May 5: Accounts Payable 200

Merchandise Inventory 200

May 9: Cash 4,681.60

Sales Discounts 118.40

Accounts Receivable 4,800

May 10: Accounts Payable 7,182

Cash 7,045.16

Merchandise Inventory 136.84

May 11: Supplies Expense 800

Cash 800

May 12: Merchandise Inventory 3,100

Cash 3,100

May 15: Cash 210

Merchandise Inventory 210

May 17: Merchandise Inventory 2,400

Accounts Payable 2,400

May 19: Freight-In Expense 250

Cash 250

May 24: Cash 5,500

Sales Revenue 5,500

Cost of Goods Sold 3,900

Merchandise Inventory 3,900

May 25: Merchandise Inventory 800

Accounts Payable 800

May 27: Accounts Payable 2,352

Cash 2,296.96

Merchandise Inventory 55.04

May 29: Sales Returns and Allowances 124

Cash 124

Merchandise Inventory 8

May 31: Accounts Receivable 1,360

Sales Revenue 1,360

Cost of Goods Sold 840

Merchandise Inventory 840

B. T-Accounts:

No. 101 Cash

Debit Credit

Beginning Balance 8,000

May 9                         4,681.60

May 10                  7,045.16

May 11                          800

May 12                           3,100

May 15                            210

May 19                           250

May 24                           5,500

May 27                         2,296.96

May 29                           124

Total 24,312.56 7,045.16

No. 112 Accounts Receivable

C. Debit Credit

May 2 4,800

May 9      4,800

May 31 1,360

Total 6,160 4,800

No. 120 Inventory

D. Gross Profit Rate assuming operating expenses were $1,400: Debit Credit

Beginning Balance  0

May 2                  3,600

May 5          200

May 10                  136.84

May 12                   3

Gross margin:    136.84

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FILL IN THE BLANK if sales returns and allowances are a large dollar amount relative to initial sales revenue, it may mean ___

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If sales returns and allowances are high dollar amounts in comparison to initial sales income, there can be problems with the quality of the products.

What effect do returns on sales and allowances have on the income statement?

Sales allowances and refunds are a line item on the income statement. Due to customer returns and sales allowances, this line item is intended to reduce sales. It is displayed as a decrease from the line item for gross sales.

Do sales discounts and returns have an impact on gross profit?

Returns on sales have an impact on sales and cost of goods sold, which in turn affect gross profit. The tracking of all product returns and client reimbursements is done through an account called sales returns and allowances.

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Suppose a bank faces a gap of -10 between its interest sensitive assets and its interest sensitive liabilities. What would happen to bank profits if interest rates were to fall by 1% point. You should report your answer in terms of the change in profit per $100 in assets

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The gap between interest sensitive assets and interest sensitive liabilities is known as a bank's interest rate sensitivity gap. If the gap is negative, this indicates that the bank's interest-sensitive liabilities exceed its interest-sensitive assets. If the interest rate falls by 1% point, the bank's profit will decline.

When the interest rates fall, the cost of funds on the bank's interest-sensitive liabilities is lowered, allowing the bank to pay less in interest to its depositors. However, the interest earned on interest-sensitive assets falls more than the interest rate on liabilities, resulting in a decrease in net interest income and, therefore, lower profits.

The bank's assets would decline in value by $10 for each $100 in interest-sensitive assets, resulting in a $10 decrease in net interest income.

When interest rates fall by 1%, the bank's net interest margin would decrease by 10 basis points. If the bank's initial net interest margin was 3%, it would decline to 2.9%.As a result, we can see that a bank's interest rate sensitivity gap can have a significant impact on its profit.

When interest rates fall, banks with a negative gap can expect to see a decline in their net interest margin and profitability. Therefore, banks must monitor their interest rate sensitivity gaps and assess the potential impact of fluctuations in interest rates.

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which of the following strategies pertains to the major functional departments within the business unit?

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Functional-level strategy pertains to the major functional departments within the business unit.

Functional-level strategy refers to the specific plans and actions taken by the major functional departments within a business unit to achieve the overall goals and objectives of the organization. These functional departments may include marketing, operations, finance, human resources, and others.

Functional-level strategies are designed to align with the overall corporate-level strategy of the organization, and they focus on improving the efficiency and effectiveness of each functional area to contribute to the success of the business as a whole. For example, the marketing department may develop strategies to increase sales and market share, while the operations department may focus on streamlining production processes and reducing costs.

the complete question is:

which of the following strategies pertains to the major functional departments within the business unit?

a. Business-level strategy

b. Functional-level strategy

c. Corporate-level strategy

d. Operational-level strategy

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true/false. strategy describes how an organization matches its own capabilities with the opportunities in the marketplace to accomplish its overall objectives.

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True. Strategy describes how an organization matches its own capabilities with the opportunities in the marketplace to accomplish its overall objectives.

Strategy involves making decisions about how an organization can best use its resources to create value and meet the needs of its stakeholders. This includes defining the organization’s goals and objectives, analyzing external opportunities and threats, formulating competitive strategies, and allocating resources to ensure that they are used in the most effective manner. By doing this, the organization can increase its competitive advantage and realize its goals.

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which of the following is not characteristic thought of the formal operational stage of cognitive development?

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The correct answer is C) Poor self-regulation and impulse control, as this is not a characteristic of the formal operational stage of cognitive development.

A) Piaget's formal operational stage of cognitive development is characterized by the ability to think logically, abstractly, and systematically about hypothetical problems and concepts. It involves using logical operations to solve problems that cannot be solved through concrete operations. B) Making inferences and drawing conclusions. C) Poor self-regulation and impulse control.  The formal operational stage of cognitive development is the last stage of cognitive development in Jean Piaget's theory, which spans from around the age of 11 and lasts into adulthood.

Formal operational reasoning is characterized by abstract thinking, the capacity to think about hypothetical scenarios, and logical thinking.The formal operational stage of cognitive development is characterized by:Abstract reasoningThe formal operational stage of cognitive development allows children to consider hypothetical circumstances and concepts that do not exist in reality.

It enables children to conceive of things that cannot be seen or touched and to contemplate and examine concepts in their minds. For instance, children in the formal operational stage can imagine a world without gravity or consider a circumstance in which the sun would stop shining.

Hypothetical reasoningIn the formal operational stage of cognitive development, children can reason using hypothetical scenarios. Children can consider hypothetical situations that they have never encountered, as well as speculate on future circumstances that may or may not occur.Logical reasoningLogical reasoning is a fundamental aspect of formal operational thought. Children in the formal operational stage can think logically and evaluate the implications of their thoughts.

Children in this stage can deduce, reason, and consider probabilities.Illogical reasoning is not characteristic of formal operational thought. Logical reasoning is central to formal operational thought, so the absence of it cannot be part of it. Thus, illogical reasoning cannot be characteristic of the formal operational stage of cognitive development.

Option C is correct.

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Note:- Complete questions is as follow:

Which of the following is not characteristic thought of the formal operational stage of cognitive development? multiple choice question. making predictions using logic to come up with hypotheses about the future classifying things into subsets and considering their interrelations thinking about things that are not concrete

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