The correct entry when a company discards machinery that is fully depreciated is d) debit Accumulated Depreciation; credit Machinery.
When an asset has been fully depreciated, the carrying value of the asset is reduced to zero on the company's balance sheet. At this point, the asset has no residual value and is considered to have reached the end of its useful life. If the company disposes of the asset, the entry will reflect the removal of the asset's carrying value from the balance sheet.
The credit entry to the Machinery account will remove the asset from the balance sheet, and the debit entry to Accumulated Depreciation will reduce the balance in the contra-asset account to zero, reflecting that all depreciation expense related to the asset has been recognized.
Learn more about account: https://brainly.com/question/29437263
#SPJ4
Which of the following is a false statement regarding the effect of changes in sales price and costs?
An increase in total fixed costs decreases the contribution margin per unit and increases the break-even point.
The false statement about the effect of changes in sales price and cost is an increase in total fixed costs decreases the contribution margin per unit and increases the break-even point.
Decreasing costs while holding sales price constant will also increase the profit margin and operating income. On the other hand, decreasing sales price or increasing costs will decrease the profit margin and operating income, leading to lower profits.
Companies must carefully analyze the impact of changes in sales price and costs and find a balance between the two to optimize their profitability. This analysis is an essential aspect of the company's financial planning and decision-making process.
The complete question is:
Which of the following is a false statement regarding the effect of changes in sales price and costs?
An increase in total fixed costs decreases the contribution margin per unit and increases the break-even point.
Changes in sales price and costs can have a significant impact on a company's profitability.
Increasing sales price while holding costs constant will increase the company's profit margin and operating income.
Learn more about sales prices: https://brainly.com/question/29199569
#SPJ4
hich of the following groups is most likely to be considered a firm's internal stakeholder?
A) Alliance partners
B) Customers
C) Creditors
D) Board members
The right answer is D. Board members are more likely to be seen as internal stakeholders of a company because they are a part of it and have the authority to make decisions about how it works.
Partners in an alliance are what?An ally is a relationship between two businesses where each firm expects to make money or get advantages from the arrangement. A much more official type of contract is a partnership, in which the partners combine to establish a single, shared financial interests.
What distinguishes a strategic alliance from a strategic partner?Except when they are limited partners, all partners in a partnership are accountable for the financial responsibilities of the company.
To know more about Alliance partners visit :
https://brainly.com/question/29434759
#SPJ1
The Complete Question :
Which of the following groups is most likely to be considered a firm's internal stakeholder?
A) Alliance partners
B) Customers
C) Creditors
D) Board members
A case that has been used in accordance with stare decisis as a binding precedent is _____, which abolished discriminatory policies for individuals of different racial backgrounds.
The decision in Brown v. Board of Education, which forbade the use of discriminatory tactics against individuals from different racial origins, has been used as a binding precedent in accordance with the principle of stare decisis.
What is Brown v. Board of Education?The U.S. Supreme Court made a significant ruling in Brown v. Board of Education of Topeka, 347 U.S. 483, declaring that state laws mandating racial segregation in public schools are unconstitutional, even if the segregated schools are otherwise equal in quality.
The ruling substantially overturned the Court's Plessy v. Ferguson judgment from 1896, which had declared that racial segregation statutes did not violate the U.S.
Constitution as long as the facilities for each race were of similar quality, giving rise to the phrase "separate but equal."
In accordance with stare decisis, the case of Brown v. Board of Education, which prohibited the employment of discriminatory practices against people of different racial backgrounds, has been utilized as a binding precedent.
Therefore, the decision in Brown v. Board of Education, which forbade the use of discriminatory tactics against individuals from different racial origins, has been used as a binding precedent in accordance with the principle of stare decisis.
Know more about Brown v. Board of Education here:
https://brainly.com/question/1043066
#SPJ4
fantastique inc. is a firm that produces ibooks and would like to increase the capacity of an existing product line. which of the following real optio
Flexibility exchange option, a company consents to shell out more money up front for the development of the facility in order to have the flexibility to change the inputs and/or outputs of the facility later.
What is flexible exchange option?By using Flexible Exchange (FLEX) options, which are specialised equity or index contracts, investors can alter the contract's specifications and gain access to increased position limits for exchange-listed equities and index options. Just like over-the-counter options, FLEX option strategies can be modified to meet specific trading goals.
Flexible exchange options, also referred to as FLEX options, are unique options that allow the writer and the buyer to negotiate over a variety of circumstances. There are a number of terms that can be negotiated, including the method of exercise, the price at which the option will be exercisable, the date the option will expire, and other items.
To know more about Flexible Exchange visit: brainly.com/question/24280716
#SPJ4
An important rule is that you should never show a nominal rate on a time line or use it in calculations unless what condition holds? (Hint: Think of annual compounding, when INOM = EFF% = IPER.) What would be wrong with your answers to parts (1) and (2) if you used the nominal rate of 10% rather than the periodic rate, INOM /2 = 10%/2 = 5%?
If the compounding period is not the same as the payment period and the interest rate is annualized, then you should never display a nominal rate on a timeline or use it in calculations.
How the value would be considered wrong?By presuming that interest is generated only on the original principal and not on interest that has already been earned and reinvested if we use the nominal rate of 10% instead of the periodic rate, we would exaggerate the interest earned.
Describe nominal interest.The term "nominal interest rate" in finance and economics refers to the interest rate before taking inflation into account. It is the rate "as stated," "as marketed," and so forth, which excludes the effects of inflation, interest compounding, tax, and other expenses on the account. It is often referred to as the annual percentage rate.
To know more about nominal interest visit:
https://brainly.com/question/13324776
#SPJ4
Cash conversion cycle and efficiency LO A4 (1) Use the information below to compute the number of days in the cash conversion cycle for each company. (2) Which company is more effective at managing cash? Spartan Co. Chen Co. 65 Dayssales in accounts receivable Days' sales Inventory Days' sales in accounts payable Complete this question by entering your answers in the tabs below. Required 1 Required 2 Use the information below to compute the number of days in the cash conversion cycle for each company. Spartan Co. Chen Co. Cash to cash conversion cycle Retet Required
Spartan Co. has a cash conversion cycle of 53 days, while Chen Co. has a cycle of 65 days.
Stakeholders utilize the cash conversion cycle to assess a company's operational efficiency. It takes into account how long it takes the company to sell its items, collect receivables, and pay its debts.
The cash conversion cycle is calculated by summing the day's inventory and sales outstanding and subtracting the day's payables from the resultant summed amount.
Spartan Co. Chen Co.
Days' sales in accounts receivables (a) 60 days 73 days
Days' sales inventory (b) 34 days 38 days
Days' sales in accounts payable (c) 41 days 46 days
Cash Conversion cycle (a+b-c) 53 days 65 days
Thus, Spartan Co.'s cash conversion cycle lasts 53 days, while Chen Co.'s lasts 65 days.
The cash conversion cycle demonstrates a business's ability to turn short-term assets into cash. Spartan is considerably more competent of transforming its short-term assets into cash after deducting accounts payable days in this case. Spartan Co. is more efficient in managing cash on Thursday.
To know more about cash conversion cycle:
https://brainly.com/question/29857000
#SPJ4
Correct question:
1. Use the information below to compute the number of days in the cash conversion cycle for each company.
2. Which company is more effective at managing cash?
Spartan Co. Chen Co.
Days' sales in accounts receivables 60 73
Days' sales inventory 34 38
Days' sales in accounts payable 41 46
which of the following items is not a permanent book-tax difference? a) tax-exempt interest income b) tax exempt interest proceeds
Option b) tax exempt interest proceeds is not a permanent book tax difference.
The discrepancy between book tax expense and the actual tax due, which is brought on by a factor that does not change over time, is referred to as a permanent difference. In other words, it is the distinction that never disappears or is reversed between tax accounting and financial accounting. A corporation receiving a fine is an illustration of a long-lasting change. Although fines are frequently subtracted from income in book accounting, tax regulations rarely permit a tax deduction in the case of a fine. The statutory tax rate and the effective tax rate will diverge due to a persistent discrepancy. Additionally, unlike transitory discrepancies, which create deferred taxes, the permanent difference does not because it will never be removed.
learn more about permanent difference here:
https://brainly.com/question/15681266
#SPJ4
your client asks about exchange-traded notes (etns) for her portfolio, and during the course of the conversation, she makes several statements. which of the following is true?]
ETNs are debt securities backed by the issuer is true. As client asks about exchange-traded notes for her portfolio, and during the course of the conversation. Hence, option B is correct.
What is ETNs are debt securities?An ETN is an unsecured debt product issued by a bank, as opposed to an ETF, which contains assets such as stocks, commodities, or currencies that serve as the foundation for the ETF's price. A market index or other benchmark has a positive correlation with an ETN's return.
ETNs are neither mutual funds, equity securities, or indicators of equity ownership in any underlying assets. They also do not represent a holding in a specific investment portfolio.
Thus, option B is correct.
For more information about ETNs are debt securities, click here:
https://brainly.com/question/28318972
#SPJ1
The options were missing-
A) ETNs are debt securities backed by the exchange they trade on.
B) ETNs are debt securities backed by the issuer.
C) ETNs are equity securities backed by the issuer.
D) ETNs are equity securities backed by the exchange they trade on.
a successful sushi chain in hong kong spent $500,000 to conduct a study on whether to open a location in the united states. the study showed that the
The firm should dismiss the study's expense in this circumstance. Total termination cash flow = 480000+600000 = $1,080,000
Concept or Definition Term
The specific cash flows that …………………………… Relevant cash flows
The cost of not choosing another mutually……… Opportunity cost
A cost that has been incurred……………………….. Sunk cost
The effect on other parts of the firm...…................ Externalities
The cash flows that the asset…………………………… Incremental cash flows
The company should ignore the cost of the study. (It is a sunk cost)
A negative within-firm externality.
The total cost of Marston's new equipment is $4,200,000 and consists of the price of the new equipment plus the shipping and installation costs.
In contrast, Marston's initial net investment outlay is $4,680,000 (4000000+200000+800000-320000)
Terminal cash flow:
Salvage value net of tax = 1000000*0.6 = 600000
Release of NWC = 480000
Total termination cash flow = 480000+600000 = $1,080,000
The capital budgeting analysis approach of company finance is used to assess the viability of a project or endeavour. Capital budgeting analysis methodologies make use of expected future revenues and costs in order to determine a project's viability.
The cost of the study shouldn't be included because it won't affect the amount of funding received for initiatives that come after it. The capital planning formula takes into account estimated future inflows and outflows, but it does not account for earlier costs. The cost of the study is an overhead charge, not an outlay for a particular project.
To know more about budgeting analysis visit: brainly.com/question/30681235
#SPJ4
Completed question:
A successful sushi chain in Hong Kong spent $500,000 to conduct a study on whether to open a location in the United States. The study showed that the best place for the company to open its first location would be in Chicago. When conducting its capital budgeting analysis, how should the company account for the cost of the study when estimating the amount in the initial investment that the new store will require?
a. The company should include half of the cost of the study in the initial investment.
b. The company should include the cost of the study in the amount of the initial investment.
c. The company should ignore the cost of the study.
In 1904, the first Putting Green Championship was held. The winner's prize money was $190. In 2016, the winner's check was $1,171,000. (Do not round intermediate calculations.) a. What was the percentage increase per year in the winner's check over this period? b. If the winner's prize increases at the same rate, what will it be in 2049?
a. Calculation of the percentage rise in the winner's cheque every year:
$190 is the present value (PV).
$1,171,000 Future Value (FV)
Period (n) = 112 (2016 - 1904)
Rate (r) =?
F V = P V ( 1 + r ) n
$1, 171 000 = $ 190 ( 1 + r ) ¹¹² ( $ 1, 171 000/ $ 190 ) ¹/¹¹² = 1 + r
r = 6.98%
b. In 2041, the Winners Prize will grow at a 6.98% yearly rate.
$1,171,000 is the present value (PV).
FV (Future Value) =?
$Period (n) = 2049 - 2016
Rate (r) = 6.98%
F V = P V ( 1 + r ) n
= $1,171, 000 ( 1 + 0.0698 ) ³³
= $ 1 , 171 , 000 × 9.915
= $ 116,104,65
With an example, what is the difference between current and future value?Assume you invest Rs 100 today at 10% interest for a year. After one year, the sum becomes Rs110. This Rs 100 that you are investing today is referred to as the current value of Rs 110. Future value is the value that will exist in the future. The present value of a future cash flow is defined as its current worth, whereas the future value is the value of the future cash flow after a specified time period in the future.
Learn more about cash flow from here;
https://brainly.com/question/29768594
#SPJ1
You deposit $200 each year in an account for 15 years and then $400 each year in the same account for the 15 years after that. If you are earning 8% annual compound interest in the account the entire time how much do you have in 30 years? Please enter your answer in whole dollars without a $ sign.
Answer:
64
Explanation:
In a call center, which of the following situations can be considered as a variable input in the short run? A) the level of computer software being utilized B) the number of call center representatives on duty at the center C) the number of call center managers or supervisors D) the size (e.g.. square footage) of the call center
B) the number of representatives working in a call center at the center. can, in the short term, be considered a variable input.
What is an example of a variable input?Labor is the most typical instance of a variable input. A variable input gives a business the additional inputs it needs to increase short-run production. In contrast, the capacity constraint in production is provided by a fixed input, such as capital. Input that changes in proportion to output volume is referred to as variable input. It is a production factor that a company can change in the short term to change the amount of output it produces. Variable inputs and variable costs are both terms for inputs that can be changed. In contrast, fixed costs are the result of inputs that cannot be altered and are referred to as fixed inputs. All inputs can be altered over time; In summary, all costs and inputs are subject to change over time.
To learn more about labor visit :
https://brainly.com/question/24030479
#SPJ4
Which of the following would most likely benefit from being categorized as segmentation by product usage?
Protection services
Fast food restaurant
Silicon Valley
Dairy farmers
Dairy farmers would most likely benefit from being categorized as segmentation by product usage.
What is segmentation?According to the central tenet of product segmentation, a business can produce a single product with only minor variations, market it to various customer segments, sometimes under different brand names, and thereby increase market share while saving money by forgoing the development of vastly different products. Market analysis is used in segmentation to determine the features of products that appeal to specific markets.
The same basic model is then iterated upon by product development engineers to meet the desired characteristics for each market group. A business can spread the risk of selling an expensive product across various target markets by using product segmentation.
Know more about segmentation
brainly.com/question/26511540
#SPJ1
the strongest arguments in an advertising message when placed at the beginning or end of the message have greater impact on the audience than when they are placed in the middle of the message. T/F
True, the placement of strong arguments in an advertising message can have a significant impact on the audience.
Studies have shown that the beginning and end of a message are the most effective places to include strong arguments, while the middle of the message is the least effective. At the beginning of a message, strong arguments can capture the audience's attention and encourage them to continue reading or listening. This is because the beginning of a message is where the audience is most engaged and receptive. By starting with a strong argument, the advertiser can quickly establish the value of their product or service. At the end of a message, strong arguments can be used to reinforce the key benefits of the product or service and leave a lasting impression on the audience. This is because the end of a message is where the audience is most likely to remember the key points that were presented. In contrast, strong arguments placed in the middle of a message can be less effective. This is because the audience's attention may be waning by that point, and they may not be as receptive to new information. Additionally, if the middle of the message is too long or convoluted, the audience may lose interest and miss the key points altogether. In conclusion, the placement of strong arguments in an advertising message is crucial for capturing and maintaining the audience's attention. By placing strong arguments at the beginning and end of the message, advertisers can ensure that their message is effective and memorable.
Learn more about audience here:
https://brainly.com/question/1802560
#SPJ4
QS 13-3 Horizontal analysis LO P1 Compute the annual dollar changes and percent changes for each of the following accounts. (Decreases should be indicated with a minus sign. Round percent change to one decimal place.) Short-term investments Accounts receivable Notes payable Current Year $377,232 99,828 Prior Year $236,026 103,326 90,624 Percent Change = Horizontal Analysis - Calculation of Percent Change Choose Numerator: Choose Denominator: I Base Year Amount Current Year Prior Year Dollar Change $ 377,232 $ 236,026 99,828 103,326 90,624 Percent Change Short-term investments Accounts receivable Notes payable
QS 13-3 Horizontal analysis LO P1 Compute the annual dollar changes is 94,802.00 and percent changes is -100.00%.
Horizontal analysis, also known as trend analysis, is a financial technique used to compare the financial performance of a company over a specified period of time, usually multiple years. The analysis involves taking the financial data of a company and comparing it to previous years, allowing the analyst to see the changes and trends in the company's financial performance.
This analysis is performed by taking the financial statements from each year and computing the percentage change from one year to the next. The resulting data is then used to identify trends in the company's financial performance, such as increases or decreases in revenue, expenses, and profits. The information obtained from a horizontal analysis can provide insight into a company's financial health and help inform investment and business decisions.
To learn more about Horizontal analysis visit here:
brainly.com/question/29392869
#SPJ4
Which of the following is the maximum growth rate that can be achieved by financing asset growth with new debt and retained earnings?
Multiple Choice
a. sustainable growth rate
b. internal growth rate
c. retained earnings growth rate
d. weighted growth rate
A. The highest growth rate that may be attained by funding asset growth with new debt and retained earnings is known as the sustainable growth rate ,
How does asset growth occur?
Both the issuance of new shares of stock and an increase in retained earnings cause the book equity of a company to rise, which in turn raises total assets. The issuing of debt increases a company's liabilities, which in turn raises the firm's total assets.
What does "sustainable growth rate" (SGR) mean?The highest rate of growth that a business or social enterprise may sustain without using more equity or debt to fund expansion is known as the sustainable growth rate (SGR). In other terms, it refers to the speed at which the business can expand.
To know more about sustainable growth rate visit:
https://brainly.com/question/28207729
#SPJ4
Which of the following is NOT a proper journal entry (A, B, C, D) A.) DR: Cash $7,500 CR: Revenue $7,500 B.) DR: Cash $7,500 CR: Notes Payable $5,600 C.) DR: Accounts Receivables $5,000 DR: Cash $2,500 CR: Revenue $7,500 D.) DR: Utilities Expense $6,000 CR: Utilities Payable $6,000
C) DR: Accounts Receivables $5,000 DR: Cash $2,500 CR: Revenue $7,500.
The journal entry that's NOT proper is DR Accounts Receivables $5,000 DR Cash $2,500 CR Revenue $7,500 This entry includes two debit accounts but only one credit account, and thus isn't balanced.
A journal entry is a record of a business sale in account, which includes the accounts that are affected by the sale and the quantities of the debit and credits.
In option A, the journal entry is proper because it shows a debit to Cash and a credit to profit, which indicates that the company has entered $7,500 in cash for a trade, and has honored $7,500 in profit.
In option B, the journal entry is proper because it shows a debit to Cash and a credit to Notes Payable, which indicates that the company has espoused $5,600 and entered it in cash.
In option D, the journal entry is proper because it shows a debit to Utilities Expense and a credit to Utilities Payable, which indicates that the company has incurred $6,000 in mileage charges and has accrued a $6,000 liability to pay for those charges latterly,
Learn more about Journal entry:-
https://brainly.com/question/28390337
#SPJ4
assume that the longwood corporation uses the indirect method to construct the company's statement of cash flows. indicate where, if at all, a purchase of treasury stock with cash would be classified on the statement of cash flows.
Answer:
Explanation:
If Longwood Corporation uses the indirect method to prepare its statement of cash flows, the purchase of treasury stock with cash would be classified as a financing activity in the statement of cash flows.
The statement of cash flows prepared using the indirect method starts with the net income reported on the income statement and makes adjustments to arrive at the operating cash flow.
It then separately reports cash flows from investing activities, which involve the purchase or sale of long-term assets, and financing activities, which involve transactions with owners and creditors.
The purchase of treasury stock with cash represents the use of cash for financing purposes, as the company is using its cash reserves to buy back its own shares from the market. This is a common strategy employed by companies to return cash to shareholders or to signal confidence in the company's financial health.
To learn more about cash flows
https://brainly.com/question/29768594
#SPJ4
Revenge. Jane, a first-year law student, while walking to school in inclement weather, accidentally slipped on ice knocking down Greg, another first-year law student, breaking his glasses. He was very angry with Jane and let the air out of one of her car tires. Greg also decided to sue Jane for negligence, claiming as damages $300 for his broken glasses. He decided that he already knew all about the law and did not need a lawyer. Greg sued Jane in state court. Jane, in the same lawsuit, brought an action against Greg for letting the air out of her tire. At trial in state court, Jane told the judge that a friend, Susie, told her that she saw Greg let the air out of Jane's tire. The judge disallowed Jane's testimony on that issue. Susie, however, who was in the courtroom also came and testified to that effect. The state court judge ruled in favor of Jane. Greg said that he was not giving up and that he would seek double damages on appeal in federal court. Jane and Greg live in different states when not attending school. After trial, Jane reported Greg's actions in letting the air out of her tire to the police who said that they would proceed with a criminal action against Greg. Was the judge correct in disallowing Jane's testimony regarding what Susie told her about the tire? Multiple Choice Yes, the judge was correct to disallow the testimony because Susie's testimony was better evidence and she was in the courtroom Yes, the judge was correct to disallow the testimony because it was offered by a defendant, not an independent witness No, the judge was wrong and should have considered that testimony
Based on the provided information, as the judge disallowed Jane testimony that her friend Susie saw Greg let the air out of Jane’s tire, yes, the judge was correct to disallow the testimony because it was hearsay. (Option E)
In the legal system, hearsay evidence refers to testimony given by an under-oath witness citing an out-of-court statement, the content of such statement is offered to prove the truth of the matter alleged. In most courts, hearsay evidence is considered inadmissible unless an exception to the hearsay rule applies.
The hearsay rule refers to the rule prohibiting hearsay from being used as evidence due to the inability of the other party to cross-examine the maker of the statement. In the given case, Jane uses the out of court statement of her friend as evidence to assert the matter in discussion that Greg let out the air from her tires. As Jane is the one making the statement and not Susie who is the actual eyewitness, her statement is hearsay. Hence, the judge was correct to disallow Jane’s testimony.
Note: The question is incomplete as it missing complete options which are: A) Yes, the judge was correct to disallow the testimony because it involved a possible criminal action. B) No, the judge was wrong and should have considered that testimony. C) Yes, the judge was correct to disallow the testimony because Susie's testimony was better evidence and she was in the courtroom. D) Yes, the judge was correct to disallow the testimony because it was offered by a defendant, not an independent witness. E) Yes, the judge was correct to disallow the testimony because it was hearsay.
Learn more about Hearsay:
https://brainly.com/question/18407390
#SPJ4
Which of these managers is engaged in operational planning?
Multiple Choice
a. Renata is assigning employees to workstations and applying protocols to resolve customer complaints.
b. Jesse is writing a statement about the purpose of his organization.
c. Najah is adjusting the safety policy after an employee was injured.
d. Yuan is assessing which divisions stayed within their budgets.
The manager who is engaged in operational planning is Renata, who is assigning employees to workstations and applying protocols to resolve customer complaints. Correct option is A.
Operational planning is concerned with day-to-day activities that are necessary for achieving the goals of an organization. It involves identifying specific tasks, assigning them to appropriate individuals, setting deadlines, and monitoring progress to ensure that everything is on track.
Out of the given options, the manager who is engaged in operational planning is Renata, who is assigning employees to workstations and applying protocols to resolve customer complaints. This activity involves specific tasks that need to be carried out on a daily basis to ensure that customer complaints are resolved efficiently and effectively.
Assigning employees to workstations ensures that there is an adequate number of staff to handle the workload, which is an essential part of operational planning.
Option (b) Jesse is writing a statement about the purpose of his organization is more concerned with strategic planning, which is focused on setting long-term goals and objectives for the organization.
Option (c) Najah adjusting the safety policy after an employee was injured is more aligned with risk management, which is concerned with identifying and mitigating risks that can affect an organization's operations and reputation.
Option (d) Yuan assessing which divisions stayed within their budgets is more aligned with financial planning and control, which is concerned with ensuring that the organization's finances are in order and that budgets are adhered to.
To learn more about operational planning click on,
https://brainly.com/question/20661176
#SPJ4
once the marketing department has developed a relationship with potential customers, which one of the following departments determines if and under what conditions the insurer is willing to provide insurance products and services to these potential customers?
The underwriting department decides whether and under what circumstances the insurer is willing to supply insurance goods and services to potential clients once the marketing department has established a relationship with them.
Describe underwriting.The process of underwriting involves accepting financial risk on behalf of a person or organization in exchange for a fee. This danger is frequently present when dealing with loans, insurance, or investments. The term "underwriter" derives from the practice of having risk-takers sign their names next to the total amount of risk they were willing to take in exchange for a certain premium.
Underwriting is still an essential duty in the financial industry, despite the fact that the specifics have changed over time. Before accepting a risk, the underwriting process conducts research and evaluates the level of risk that each applicant or organization brings to the table.
Learn more about underwriting with the help of the given link:
brainly.com/question/30433935
#SPJ4
goods that are invoiced on may 26 are received on june 9. a. find the cash discount date if terms are 4/10 eom start date (date from which cash discount date is calculated): answer
The last discount date is ten days after the end of the current month, not including the invoice date.
The credit period terminates 20 days following the end of a discount period, on 4/10, EOM.
What does EOM mean for business?Enterprise companies manage, prepare, and disseminate data produced by operational applications through a process known as enterprise output management (EOM). These consist of accounting software, banking systems, insurance details systems, Enterprise resource planning, retail point-of-sale systems, and more.
What does EOM in HR mean?It's beneficial to communicate in the workplace as briefly as possible. Using the acronym EOM, which stands meaning "end of message," is one technique to streamline communications. It significantly increases the effectiveness of interoffice messages by conveying tone fast or enabling more direct dialogue.
To know more about EOM visit:
brainly.com/question/28807055
#SPJ4
Complete question:
What are the rectangles of a histogram?
An individual class of data is represented by each rectangle in the histogram. The rectangle's width corresponds to the size of the class interval, and its surface denotes the weight of the class.
What is the histogram's structure?
A histogram is a visual representation of statistical data that makes use of rectangles to illustrate the frequency of data points over a range of successive numerical intervals of equal width. The dependent variable is plotted along the vertical axis in the most typical type of histogram, while the independent variable is plotted along the horizontal axis.
What does the rectangle's height stand for?
It is obvious which dimension is intended when a rectangle is drawn with both horizontal and vertical sides when the term height is used; height designates how high (or how tall) the rectangle is. Because of this, it is simple to refer to the other dimension by its proper noun, breadth, which describes how wide the rectangle is on all sides.
Learn more about histogram
brainly.com/question/14421716
#SPJ4
Expenditures and expenses are classified as which of the following elements under GASB concepts statements? Multiple Choice Deferred outflows of resources. Outflows of resources Change in net position. Deferred Inflows of resources.
Spending and expenses are categorized within GASB conceptual statements as Outflows of resources component.
What is the purpose of GASB?This same Government Accounting Standards Board (GASB), an independent, private organization with headquarters in Norwalk, Connecticut, was founded in 1984. It sets financial reporting and reporting standards for local and state governments in the United States that adhere to produce financial statements (GAAP).
What is GASB vs GAAP?General Accepted Accounting Standards, or GAAP for short, are decided upon and updated by the Federal Accounting Standards Board (GASB). GASB is the official body in charge of enforcing and updating GAAP, which is a collection of many accounting rules that are always evolving.
To know more about GASB visit:
brainly.com/question/29735977
#SPJ1
T/F According to the human fulfillment model, the psychological and social benefits of work do not reduce to merely subjective and personal values.
True. The human fulfilment paradigm contends that labour can have psychological and social advantages beyond just one's own values.
What is the meaning of life?In contrast to the objectives of society, family, and other obligations owed to the larger community, personal fulfilment refers to the accomplishment of life goals that are significant to a given person. For a human being, finding personal fulfilment is a lifelong journey.
What traditional definition of work happiness involves achieving everything you want?The perspective that we refer to as "hedonistic" sees labour as a necessary method of achieving life's joys. One works so that they can purchase the things that bring them happiness. This enables people to achieve their desired goals. According to this theory, happiness is merely obtaining what one wants.
To know more about community visit:-
https://brainly.com/question/29891921
#SPJ1
13. ERP vendors break the software up into ________ which organizations can selectivelyimplement to support their different functional areas.A) ProgramsB) SystemsC) ApplicationsD)ModulesE) Units
Vendors of ERP (Enterprise Resource Planning) software segment the software into specialised modules that firms can adopt sporadically to support their many functional areas. Modules are usually
ERP Vendors of Resource Planning) vendors are software firms with a focus on offering businesses enterprise-level software solutions. These suppliers provide complete ERP Vendors of that may assist businesses in streamlining operations, increasing productivity, and lowering expenses. In order to cover several functional areas, such as financial management, human resources, inventory management, and customer relationship management, ERP providers often offer a variety of modules that may be applied selectively. SAP, Oracle, Microsoft Dynamics,and Epicor are a few of the leading ERP providers on the market. These suppliers offer reliable solutions that may be tailored to match the particular requirements of various companies, simplifying resource management, enhancing decision-making, and boosting competitiveness
Learn more about Vendors of ERP here:
https://brainly.com/question/29480376
#SPJ4
Analyse how a rapid expansion in world economic activity will affect an economy under a free-floating exchange rates regime. (10 marks)
A rapid expansion in world economic activity can affect an economy under a free-floating exchange rates regime because
How does floating exchange rate affect the economy?A floating exchange rate refers to an exchange rate system where a country's currency price is determined by the foreign exchange market, depending on its relative supply and demand of other currencies. A floating exchange rate is not restrained by trade limits or government controls, unlike a fixed exchange rate.
For a floating exchange rate, central banks are not required to keep large foreign currency reserve amounts for defending the exchange rate. Hence, the reserves can be utilized for promoting economic growth by importing capital goods.
Read more about floating exchange rate
brainly.com/question/11160294
#SPJ1
which of the following types of unemployment is caused by a recession? responses hidden hidden frictional frictional seasonal seasonal structural structural cyclical
A recession, which is a period of weak economic growth, can lead to cyclical unemployment. A economic cycle downturn in which the demand for goods and services gradually declines can also result in cyclical unemployment.
Recession causing frictional unemployment?Frictional unemployment does not rise more than other types of unemployment during a downturn in the economy. On the other hand, during a recession, it usually decreases because workers become more anxious about their job security because there are less job possibilities on the market.
What are structural unemployment and cyclical unemployment?There will be cycles when unemployment is higher and cycles where it is lower. Economic changes that are structural. Depending on the situation, you can require more or fewer employees. An employment transition that involves leaving one job but knowing you can find another is frictional.
To know more about cyclical unemployment visit:
https://brainly.com/question/30434547
#SPJ1
According to Ulwick, the three types of data companies must obtain to successfully innovate are: a. Outcomes, constraints, challenges b. Jobs, outcomes, constraints c. Results, constraints, targets J
d. obs, challenges, results e. All of the above
B. Jobs, outcomes, and constraints are the three types of data that businesses must acquire in order to successfully innovate, according to Ulwick.
What exactly is outcome -driven innovation?Anthony Ulwick developed Outcome-driven Innovation as an evolution of Clayton Christensen's Jobs-to-be-Done strategy. The book "What Customers Want" by Anthony Ulwick is summarized in this article. The corporate world has adopted the mantra of being customer-driven. However, if we mean to ask customers what they want, being customer-driven might not work.
When developing new ideas, products, or innovations, many truly customer-centric businesses continue to make the following fundamental error:
Customers are questioned about their wants, needs, and issues.
To learn more about customer visit :
https://brainly.com/question/28821796
#SPJ4
True or False: A merger is a mutual agreement where a firm joins together with another firm, whereas an acquisition is when one firm purchases the assets and obligations of another firm.
True, A merger is a mutual agreement where a firm joins together with another firm, whereas an acquisition is when one firm purchases the assets and obligations of another firm.
A merger is a type of business combination in which two or more firms come together to form a single entity, typically with a new name and ownership structure. In a merger, the firms join together to create a new, larger entity, with the goal of achieving economies of scale and other benefits that come from combining their operations.
Mergers are usually mutual agreements, where both companies participate equally in the process. On the other hand, an acquisition (also known as a takeover) is a type of business combination in which one firm purchases another firm, usually by acquiring a majority stake in its shares or assets.
In an acquisition, the acquiring firm takes over the ownership and control of the acquired firm, which becomes a subsidiary of the acquiring company. Unlike mergers, acquisitions are not always mutual agreements and can be hostile, with the acquiring firm pursuing the takeover without the consent or cooperation of the target firm.
Learn more about merger here:
https://brainly.com/question/1086715
#SPJ4