Under the substantial performance doctrine, Marge will have to pay for Phil, the accountant's accounting services minus the gift taxes he did not complete.
Substantial performance doctrine is an established legal concept that states that when one party has given a good-faith attempt to complete the terms of an agreement, the party may not be in breach of the agreement because of minor details if the outcome is consistent with the purpose of the contract.Phil, a tax accountant, promises to do Marge's individual federal, state, local, and gift taxes for the year. He completes all but the gift taxes. Under the substantial performance doctrine, Marge will have to pay for Phil's accounting services minus the gift tax services he did not complete. Phil completed all of Marge's federal, state, and local taxes, but he did not finish the gift taxes. However, according to the doctrine of substantial performance, Marge would have to pay for all the accounting services Phil did before he stopped working on the gift taxes. This means that if Phil charged Marge $1,000 for his accounting services, and his uncompleted work for the gift taxes was worth $200, Marge would still owe Phil $800 for his accounting services.Learn more about accountant here: https://brainly.com/question/26690519
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a company issued a check to replenish its petty cash fund. an analysis of payments from the fund showed these totals: supplies, $50; and delivery expense, $100. this transaction would be recorded in the cash payments journal with a:
This transaction would be recorded in the cash payments journal with a credit to Cash and a debit to both Supplies and Delivery Expense.
When a company issues a check to replenish its petty cash fund, the transaction is recorded in the cash payments journal with a credit to Cash and debits to the accounts that were used to pay for the expenses from the fund.
In this case, the totals for supplies and delivery expense were $50 and $100, respectively, so the transaction would be recorded with a debit of $50 to Supplies and a debit of $100 to Delivery Expense.
This ensures that the company's accounting records accurately reflect the use of funds from the petty cash account.
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some search engines offer to elevate a page's position in the organic results after paying a fee. this is known as
Some search engines offer to elevate a page's position in the organic results after paying a fee. This is known as paid inclusion.
Paid inclusion is a type of search engine marketing where websites are added to the search engine's index in exchange for a fee. Paid inclusion is controversial to use, and search engines have become less interested in it over time.
Pay per Click, or PPC, is another name for paid placement. Competitive bidding determines the order of paid placement listings. Unlike listings for paid inclusion, paid placement listings are identified as advertisements or sponsored links and are typically displayed separately from Natural Listings.
Paid inclusion has benefits and disadvantages. A paid inclusion search engine has the benefit of lowering spam while increasing relevancy. However, opponents of paid inclusion claim that it leads to searches returning results that are more based on the financial interests of a website and less on how relevant it is to end users.
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(T/F) marketers can control the external environment in which their organizations operate.
False. Marketers cannot control the external environment in which their organizations operate.
The external environment is made up of a variety of factors that are outside the control of any one organization, including economic conditions, political and legal factors, social and cultural factors, and technological developments. While marketers can adapt their marketing strategies to take these external factors into account, they cannot control or change them. However, marketers can try to influence the external environment through lobbying efforts, public relations campaigns, and other forms of advocacy.
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the jameson company just paid a dividend of $0.75 per share, and that dividend is expected to grow at a constant rate of
The future value of the dividend will be $0.7875 per share.
The Jameson Company just paid a dividend of $0.75 per share and that dividend is expected to grow at a constant rate of 5% per year. To calculate the future value of the dividend, use the following formula:
[tex]FV = PV(1+r)^n[/tex]
Where:
FV = Future Value of the dividend
PV = Present Value (in this case, the dividend amount of $0.75 per share)
r = Rate of return (in this case, 5%)
n = Number of years (in this case, 1)
Therefore, the Future Value of the dividend will be:
[tex]FV = $0.75 (1+0.05)^1 = $0.7875[/tex]
Thus, the future value of the dividend will be $0.7875 per share.
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which of the statements below accurately reflects the assumptions of the competitive exclusion principle? which of the statements below accurately reflects the assumptions of the competitive exclusion principle? the competitive exclusion principle makes no assumptions about the competitors. the competitive exclusion principle assumes that the competitors have the exact same resource requirements and that environmental conditions remain constant. the competitive exclusion principle assumes that competitors have different resource requirements and that environmental conditions remain constant. the competitive exclusion principle assumes that the competitors have the exact same resource requirements and that environmental conditions may be variable. the competitive exclusion principle assumes that the competitors have resource partitioning and that environmental conditions remain constant.
The following statement accurately reflects the assumptions of the competitive exclusion principle: The competitive exclusion principle assumes that the competitors have the exact same resource requirements and that environmental conditions remain constant.
What is the competitive exclusion principle?The competitive exclusion principle refers to a scientific theory about the relationship between two different species or organisms that are competing for the same resources.
The competitive exclusion principle is one of the most important ecological concepts, as it helps us understand how different species interact in the environment and how these interactions can lead to changes in ecosystems over time.The principle states that two different species that share the same ecological niche or habitat cannot coexist in the same place at the same time. This is because one of the species will inevitably outcompete the other, leading to the extinction of one of the species.
This is due to the fact that the two species have the same resource requirements and cannot survive in the same habitat without a clear separation of resources.The competitive exclusion principle assumes that the competitors have the exact same resource requirements and that environmental conditions remain constant. Therefore, the third option is the correct answer.
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in a purely competitive industry, at the profit-maximizing or loss-minimizing level of output, marginal is equal to .
In a perfectly competitive market, firms will increase the quantity produced until their marginal revenue equals marginal cost.
This is because when marginal revenue is greater than marginal cost, the difference represents profit to be earned (and firms are assumed to be “profit-maximizing” and, when dealing with perfect competition, “price-takers”). When marginal revenue is less than marginal cost, the difference represents a loss that the firm is incurring, and the firm will decrease the quantity produced or shut down if the loss is greater than the fixed cost of production.
What is marginal revenue?Marginal revenue is the increase in revenue that results from the sale of one additional unit of output. It is the revenue that a company can generate for each additional unit sold.
Marginal revenue is a fundamental tool for economic decision making within a firm’s setting, together with marginal cost to be considered. In a perfectly competitive market, the incremental revenue generated by selling an additional unit of a good is equal to the price the firm is able to charge the buyer of the good.
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in july of 2015, lafarge, a french buildings material provider, and holcim, a materials and aggregates company founded in switzerland, announced they would become lafargeholcim. what type of strategy were the two firms using to unite into one firm? a. merger b. acquisition c. hostile takeover d. joint venture
The two firms that announced they would become LafargeHolcim in July 2015 were using the merger strategy to unite into one firm. Let's take a detailed explanation.
What is a merger?A merger is a business agreement where two or more firms combine to form a single company or entity. The objective of this agreement is to create a larger and more valuable company by combining the assets and resources of the firms involved. It is also an effective way to grow a company's market share, reduce competition, and increase profitability by achieving economies of scale.
What is an acquisition?Acquisition is a corporate strategy in which a company acquires or buys another company to expand its operations or products. An acquisition can be friendly or hostile, but it usually results in the acquiring company taking full control of the acquired company. The acquiring company can then operate the acquired company as a subsidiary or merge it with its existing operations.
What is a joint venture?A joint venture is a business agreement between two or more companies to work together on a specific project or business activity. Each company in the partnership contributes capital, resources, and expertise to the venture, and they share the risks and rewards of the venture.
What is a hostile takeover?A hostile takeover is a corporate strategy in which an acquiring company tries to gain control of a target company without its approval. The acquiring company will try to purchase a majority of the target company's shares through a tender offer or other means. The target company may try to resist the takeover, but if the acquiring company is successful, it will gain control of the target company by replacing its management team and board of directors. Thus, the strategy of merger was being used by the two firms to unite into one firm.
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IN economies of scale, a company buys raw materials in bulk so that the average cost of goods goes ( ) as the production levels increase.
Answer:
down
Explanation:
In economies of scale, a company buys raw materials in bulk so that the average cost of goods goes down as the production levels increase.
This is due to the fixed costs of production being spread over a larger number of goods, resulting in a lower average cost for each good. As production increases, the cost of production per unit is spread out over a larger number of goods, resulting in a lower unit cost.
This can result in increased profit margins for the company. Additionally, economies of scale can create a competitive advantage for a company, as the cost of production is lower than the competition.
Therefore, a company can charge lower prices, which allows them to gain more market share.
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Question 6 (1 point) Import Quotas do not O raise prices O limit supply O decrease consumer surplus O generate tax revenues
Import Quotas do limit supply and decrease consumer surplus, but they do not raise prices or generate tax revenues.
What do you mean by Import Quotas ?
1. Import quotas are imposed to limit the supply of goods from foreign countries.
2. By limiting supply, the demand for domestic goods increases, leading to higher prices for those goods.
3. The increase in prices decreases consumer surplus, as consumers now have to pay more for the same goods.
4. Import quotas do not generate tax revenues, as they are not a tax on imported goods but rather a restriction on the quantity of goods imported.
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lowden company uses job order costing and applies overhead to each job at the rate of 158% of direct materials cost. during the current period, direct labor cost is $57,000 and direct materials cost is $87,000. how much overhead cost should lowden company apply in the current period?
Lowden Company should apply $137,460 of overhead cost in the current period.
In job order costing, overhead costs are applied to each job based on a predetermined overhead rate. This rate is typically calculated as a percentage of direct labor cost or direct materials cost, or a combination of both. In this case, Lowden Company applies overhead to each job at the rate of 158% of direct materials cost.
To calculate the overhead cost for the current period, we first need to determine the direct materials cost, which is given as $87,000. We then multiply this by the overhead rate of 158% to get: $87,000 x 1.58 = $137,460
Therefore, Lowden Company should apply $137,460 of overhead cost in the current period.
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the pmo is conducting a meeting and a fellow project manager is reporting that the project is on schedule and under budget. you discover from the project's team members that the project is behind schedule by four weeks and is over budget. what should you do? seleccione una: a. notify senior management b. review with the project manager how this status was produced c. ask the pmo to investigate the project status d. report the project manager to pmi(r)
If you discover from the project's team members that the project is behind schedule is over budget, you should: review with the project manager how this status was produced. (option B)
Before taking any further action, it is important to get a better understanding of how the project manager produced the status report that indicated the project was on schedule and under budget.
There could be a number of reasons why the status report does not accurately reflect the current state of the project, such as miscommunication, incorrect data, or an overly optimistic outlook.
By reviewing the situation with the project manager, you can gather more information and potentially identify the root cause of the discrepancy between the reported status and the actual status of the project. From there, you can work with the project manager to develop a more accurate status report and develop a plan to get the project back on track.
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craigmont company's direct materials costs are $3,500,000, its direct labor costs total $7,450,000, and its factory overhead costs total $5,450,000. its prime costs total:
Craigmont Company's prime costs total $10,950,000.
Prime costs refer to the sum of direct materials and direct labor costs. Prime costs do not include the factory overhead costs that are incurred during the production process.
In this context, Craigmont Company's direct materials costs are $3,500,000, its direct labor costs total $7,450,000, and its factory overhead costs total $5,450,000.
Its prime costs, therefore, total:
Prime cost = Direct materials cost + Direct labor cost
Prime cost = $3,500,000 + $7,450,000
Prime cost = $10,950,000
Therefore, the prime costs of Craigmont Company are $10,950,000.
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which of the following is the main cause of the persistent inflation that we have experienced in the united states? supply-side inflationary factors demand-side inflationary factors a combination of supply- and demand-side inflationary factors supply-side secularity factors
The major reason of the sustained rise in American prices has been supply-side inflationary forces. Hence the proper answer is (d).
The aggregate demand curve moves to the right as investors purchase that much means of production as interest rates fall.
A rise in the amount of cash in circulating should lead the curve for aggregate demand to move to the right.
In order for supply-side inflation to happen there in long term, the long-run average supply curve must move to the left.
If the government wished to reduce the unemployment rate, this could pursue an aggressive fiscal strategy.
Fiscal policy is the competence for both the executive and legislative parts of the federal government.
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"Complete question"
Which of the following is the main cause of the persistent inflation that we have experienced in the United States?
A)Demand-side inflationary factors.
B) Supply-side inflationary factors.
C)A combination of supply- and demand-side inflationary factors.
D)Supply-side secularity factors.
which of the following is not one of the limitations of the bcg growth share matrix? question 2 options: there are too many factors measuring overall competitive position included, which makes it too complicated. growth rate is only one aspect of industry attractiveness. market share is only one indicator of competitive strength. it is too simplistic. the link between market share and profitability is questionable.
The following statement is not one of the limitations of the BCG growth-share matrix: "There are too many factors measuring overall competitive position included, which makes it too complicated."
The BCG growth-share matrix is a strategic tool used to evaluate a company's product portfolio based on two factors: market growth rate and relative market share. The limitations of the BCG growth-share matrix include the following:
Growth rate is only one aspect of industry attractiveness: The matrix only considers market growth rate as a measure of industry attractiveness, ignoring other important factors such as market size, profitability, and competition.Market share is only one indicator of competitive strength: The matrix assumes that higher market share leads to higher profitability, but this is not always the case. Other factors such as product quality, pricing, and marketing effectiveness can also impact a company's competitive strength.It is too simplistic: The matrix oversimplifies complex business environments, assuming that all products can be categorized as either cash cows, dogs, stars, or question marks.To learn more about BCG matrix visit;
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ccording to the video, the leading firms from emerging markets that are fast becoming key contenders in world markets are called . a new global challengers b chaebols c grupos
According to the video, the leading firms from emerging markets that are fast becoming key contenders in world markets are called new global challengers.
What are Emerging markets?Emerging markets are countries that have some characteristics of a developed market but do not meet the requirements to be classified as a developed market. This includes countries that may become developed markets in the future or were in the past.
Emerging markets generally do not have the level of market efficiency and strict standards for accounting and securities regulations to be classified as developed markets. Emerging markets are classified according to a set of criteria that includes low per capita income, weak institutional infrastructure, and undeveloped financial markets.
Generally, emerging markets are characterized by their large populations, rapid urbanization, and growing middle class. Some examples of emerging markets include Brazil, Russia, India, China, and South Africa. Therefore, the leading firms from emerging markets that are fast becoming key contenders in world markets are called new global challengers.
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economic surplus is maximized in a competitive market when question content area bottom part 1 a. marginal benefit equals marginal cost. b. demand is equal to supply. c. producers sell the quantity that consumers are willing to buy. d. the deadweight loss equals the sum of consumer surplus and producer surplus.
Economic surplus is maximized in a competitive market when marginal benefit equals marginal cost. (A)
This occurs when the additional benefit of consuming one more unit of a good (marginal benefit) equals the additional cost to produce one more unit (marginal cost).
When this is achieved, producers are incentivized to supply the quantity that consumers are willing to buy at that price, and the deadweight loss of the market equals the sum of consumer surplus and producer surplus.
This ensures that the market is operating efficiently, maximizing the economic surplus for both producers and consumers.(A)
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sam and tracy are running their project in planning sam and nikkis wedding. communication is a big issue with all the stakeholders and their geographical locations. of the following, which is an input they will use in the manage communications process? seleccione una: a. project management plan b. communications management plan c. feedback d. power interest grid
The input that "Sam and Tracy will use in the manage communications process is the Communications Management Plan." is the Communications Management Plan. This includes the communications process. The correct option is B.
What is the Communication process?The communications process is defined as the sequence of events that takes place when a message is sent, such as: Initiation Transmission, Reception Understanding, Response Feedback
To ensure effective communication, it is important to understand each component of the communications process. In this case, Sam and Tracy are struggling with communication issues because of geographical differences. As a result, they need a Communications Management Plan to help them deal with communication issues.
The Communications Management Plan includes the communications process, such as what communication media and language to use, how often to communicate, and to whom to communicate.
Thus, the answer is option B.
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abc company had the following transactions during the month. what would be the total amount of expenses for the month if abc company uses the cash basis method?
To determine the total amount of expenses for the month using the cash basis method, we need to look at the transactions that involve cash inflows and outflows.
The cash basis method records expenses when they are paid, not when they are incurred.
Without information on the specific transactions for ABC Company during the month, we cannot determine the total amount of expenses using the cash basis method. Please provide more information or a list of the transactions for the month
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if the cumulative lead time is eight weeks, for a project to be feasible the mps planning horizon must be:
If the cumulative lead time is eight weeks, for a project to be feasible, the MPS (Master Production Schedule) planning horizon must be eight weeks as well.
What is the MPS?
MPS (Master Production Schedule) is a planning tool that allows manufacturers to schedule production activities according to customer orders, sales forecasts, and other demand signals. It is a schedule of how many products a company intends to produce within a specific period.
The MPS drives the production process by deciding which products to manufacture, how many to produce, and when to produce them. This schedule, when coupled with the Bill of Materials (BOM), forms the backbone of the Material Requirements Planning (MRP) system.
The BOM specifies what items are required to produce a product and how much of each material is required. The MRP system uses the MPS to plan material needs and calculate the required raw material and production resources.
Why is the MPS planning horizon important?
The MPS planning horizon is an essential component of the planning process since it aids in determining the length of time that a company must plan to produce enough product to fulfill demand.
For example, if the cumulative lead time is eight weeks, the MPS planning horizon should also be eight weeks, meaning that the schedule should be created for the next eight weeks, including the current week.
By doing so, a manufacturer can ensure that it can meet demand while avoiding stock-outs or excess inventory.
The planning horizon helps a business to manage its resources, avoid disruptions in the production cycle, and ensure that customer demands are met.
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kendra is an attorney and owns 60 percent of a law partnership. kendra sells land to the partnership for $50,000 in the current tax year. she bought the land for $100,000 eight years ago when real estate prices were at their peak. how much gain or loss must kendra recognize on the land sale to the partnership? a.$30,000 loss. b.no gain or loss. c.$50,000 loss. d.$50,000 short-term capital loss, limited to $3,000 allowed per year.
The gain or loss that Kendra must recognize on the land sale to the partnership is a Option (c)$50,000 loss.
Gain or loss refers to the change in the value of an asset, investment, or other items that are sold, liquidated, or closed out. For tax purposes, gain or loss is calculated as the difference between an asset's sale price and its purchase price (including any commissions or other expenses incurred during the purchase or sale).
If the sale price is higher than the purchase price, the result is a gain. If the sale price is lower than the purchase price, the result is a loss.
In the current tax year, Kendra sold land to the partnership for $50,000. Kendra purchased the land for $100,000 eight years ago when real estate prices were at their peak. So, the gain or loss must be calculated:
Purchase price: $100,000
Sale price: $50,000
Loss = Purchase price – Sale price
= $100,000 – $50,000
= $50,000
Thus, Kendra must recognize a $50,000 loss on the land sale to the partnership. Therefore, option c) $50,000 loss is the correct answer.
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what would cause the bank statement balance to differ from the depositor's book balance. multiple choice question.
The bank statement balance may differ from the depositor's book balance for several reasons, includes unrecorded deposits or withdrawal, bank fees or interest payments, timing differences between when deposits or withdrawals occur and when they are recorded and errors in the recording of deposits or withdrawals.
Bank statement balance can differ from the depositor's book balance due to the following reasons:Uncleared checksInterest incomeDirect depositsService charges EFTsAll of the above are the reasons for the bank statement balance to differ from the depositor's book balance.A bank statement is a record of financial transactions that have been made by a customer of a bank or other financial institution over a particular period. A bank statement is also known as an account statement or banking record. Bank statements usually contain information about deposits, withdrawals, and transactions, as well as interest earned and service charges incurred.Balance as used in financial accounting refers to the difference between the total credits and total debits in a financial account during a particular period. A balance in accounting is the result of subtracting credits from debits, whereas a balance in a bank account is the amount of money available in the account at the end of the reporting period.Depositor's book balance is the total amount of cash and securities held by a depositor or financial institution. A depositor's book balance differs from the bank statement balance in that the book balance reflects the depositor's records and reconciliations, while the bank statement balance reflects the bank's records and reconciliations.Learn more about Bank statement: https://brainly.com/question/15525383
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bargain merchandisers has the following transactions for the month of july. net sales revenue cost of goods sold operating expenses interest revenue calculate gross profit.
The gross profit of the company Bargain Merchandisers' gross profit for the month of July is $109,000.
What is the meaning of Gross Profit?Gross profit is the revenue earned by a company minus the direct costs associated with producing and selling its products or services. In other words, it is the amount of money that a company has left over from its sales after deducting the cost of goods sold (COGS). Gross profit is a key financial metric because it indicates how efficiently a company is using its resources to generate revenue. It can also help companies determine whether their pricing strategy is effective and if they are able to cover their overhead expenses.
Gross Profit = Net Sales Revenue - Cost of Goods Sold
Gross Profit = $419,000 - $310,000
Gross Profit = $109,000.
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what is a critical part of the decision-making process when you are in a situation where the ambiguity is a set of distinct set of outcomes?
A critical part of the decision-making process when you are in a situation where ambiguity is a set of distinct outcomes is to identify the possible outcomes and evaluate the probability of each one.
Decision-making refers to the cognitive process of considering and choosing alternatives. A decision-making process includes a series of steps, including:
1. Identifying the problem
2. Defining objectives
3. Gathering information
4. Identifying options
5. Evaluating alternatives
6. Making a decision
7. Implementing the decision
8. Monitoring the result
A critical part of the decision-making process when you are in a situation where ambiguity is a set of distinct outcomes is to identify the possible outcomes and evaluate the probability of each one. By doing so, one can select the option that has the highest likelihood of achieving the desired outcome. This process can involve gathering additional information, conducting research, or consulting with experts in the relevant field. Therefore, the correct option is to identify the possible outcomes and evaluate the probability of each one.
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Real World Case 15–7 (Static) Reporting leases in a statement of cash flows; disclosure note; FedEx [LO 15-8]
"Why does FedEx show operating cash flows for both types of leases, but only financing cash flows for finance leases," your colleague wonders aloud. "We need to draft our lease disclosure by tomorrow morning. " Tossing a sheet of paper in front of you, he moans, "I found this disclosure note to FedEx’s financial statements that promises ‘supplemental cash flow information related to leases,’ but it’s not helping. The department’s draft of our cash flow statement, and the income statement for that matter, don’t specifically break out any lease payments. This being our first time to follow the new lease standard, we need to get it right. And while we’re at it, why do you think they list new leases in connection with cash flows? Did they pay all this cash in addition to incurring lease liabilities for the right-of-use assets?"
Knowing your colleague is a new hire, you want to diplomatically point him in the right direction. So, you pick up the disclosure note:
Note 7 — LEASES (in part)
Supplemental cash flow information related to leases is as follows:
(In millions) Fiscal Year Ended May 31, 2020
Cash paid for amounts included in the measurement of lease liabilities:
Operating cash flows paid for operating leases $ 2,608
Operating cash flows paid for finance leases 14
Financing cash flows paid for finance leases 84
Right-of-use assets obtained in exchange for new operating leases 1,915
Right-of-use assets obtained in exchange for new finance leases 484
Required:
Why does FedEx show operating cash flows for both types of leases, but only financing cash flows for finance leases?
To aid in your explanation, prepare a journal entry that summarizes the cash payments for operating leases during the year.
To aid in your explanation, prepare a journal entry that summarizes the cash payments for finance leases during the year.
Did FedEx pay the amounts indicated in addition to incurring lease liabilities for the right-of-use assets for new leases? Why or why not?
To aid in your explanation, prepare a journal entry that summarizes the acquisition of assets by operating leases during the year
FedEx shows operating cash flows for both types of leases because the operating lease payments are considered operating expenses and FedEx did not pay the amounts indicated in addition to incurring lease liabilities for the right-of-use assets for new leases.
In contrast, finance lease payments are considered debt repayments and are included in financing activities.
For operating leases, FedEx made cash payments of $2,608 million. The journal entry to summarize the cash payments for operating leases during the year is:
Debit: Rent Expense $2,608 million
Credit: Cash $2,608 million
For finance leases, FedEx made cash payments of $14 million for operating activities and $84 million for financing activities. The journal entry to summarize the cash payments for finance leases during the year is:
Debit: Interest Expense $14 million
Debit: Principal Repayment $84 million
Credit: Cash $98 million
The right-of-use assets obtained in exchange for new leases reflect the initial recognition of the lease liabilities and the right-of-use assets. These transactions are non-cash and do not affect the cash flow statement.
The journal entry to summarize the acquisition of assets by operating leases during the year is:
Debit: Right-of-Use Asset $1,915 million
Credit: Lease Liability $1,915 million
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All the payroll information needed to prepare payroll and tax reports is found on
(A) Form W-4 and the employee earnings record
(B) Form W-4 and the payroll register
(C) the payroll register and the employee earnings record
(D) Form W-4.
(p. 378)
(C). The payroll information needed is found on both the payroll register and the employee earnings record. Form W-4 provides withholding allowance info, but it is not enough on its own.
Accurate record-keeping of employee wages and tax withholdings is crucial for compliance with tax laws and regulations. The payroll register contains details such as employee names, hours worked, gross pay, and deductions for taxes and benefits. This information helps to calculate net pay for each employee. On the other hand, the employee earnings record summarizes the year-to-date earnings, deductions, and taxes withheld for each employee. The record is used to prepare tax reports and forms such as Form W-2. While Form W-4 provides crucial information on employees' tax withholding allowances, it is not enough for payroll and tax reporting purposes. Therefore, maintaining both the payroll register and employee earnings record is necessary for accurate payroll processing and tax reporting.
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which of the following statements is true? vertical analysis of financial statements is accomplished by preparing common-size statements. in determining whether a company's financial condition is improving or deteriorating over time, horizontal analysis of financial statement data would be more useful than vertical analysis.
The statement provided in question that vertical analysis of financial statements is accomplished by preparing common-size statement is True.
In vertical analysis, each item on the financial statement is expressed as a percentage of a base figure, usually total assets. This provides an easily comparable overview of the financial statement, highlighting any potential trends that may be occurring.
On the other hand, horizontal analysis of financial statement data is a comparison of financial statement amounts over a period of time. This provides an understanding of the company's financial health.
Therefore, when determining whether a company's financial condition is improving or deteriorating over time, horizontal analysis of financial statement data would be more useful than vertical analysis.
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which term refers to the physical land and improvements as well as intangible ownership interests and rights?
Real estate refers to the physical land and improvements, as well as intangible ownership interests and rights.
It includes the buildings, structures, and any other improvements on the land, as well as any ownership rights related to the land, such as mineral rights, water rights, and rights to profits from the land. It also includes the value of any buildings, such as homes and businesses, on the land.
Real estate encompasses both commercial and residential properties, including land, buildings, and homes.
Real estate is an important asset in many countries, as it can generate income from leases and rental income, increase in value over time, and provide tax benefits. Real estate can be held by an individual, business, or government entity.
Real estate is commonly divided into land, improvements (such as buildings, structures, and infrastructure), and other intangibles (such as water rights and mineral rights). Real estate also includes any right of ownership, such as the right to sell, rent, or lease the property, as well as any profits derived from it.
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a genuine business opportunity is described by each of the following characteristics except: group of answer choices all of the above the ability to sell the product at high enough of a price to a sufficient number of customers. an acceptable profit opportunity. distinctive competence in marketing effective demand for the product or service
A genuine business opportunity does not include "all of the above" as a valid choice.
A genuine business opportunity includes the ability to sell the product at a high enough price to a sufficient number of customers, an acceptable profit opportunity, distinctive competence in marketing, and effective demand for the product or service.
To identify a genuine business opportunity, an entrepreneur needs to determine the feasibility of selling their product at the price point that is acceptable for both the customer and the seller, the expertise of the seller in marketing the product, and the customer's demand for the product or service.
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someone decides to put $ 3,400 under their mattress rather than in a bank. the average inflation rate over the next six years is 3.15%. what is the real value of this money after the six year period? round to the nearest dollar.
The real value of the money after the six-year period is $2,776. Rounded to the nearest dollar, it is $2,776.
The inflation rate in the next six years is 3.15%. Therefore, the real value of the money is given by:
[tex]Future value of the money = Present value of the money / (1 + Inflation rate)^{Time[/tex]
Here, Present value of the money = $3,400
Inflation rate = 3.15%
Time = 6 years
Therefore, the future value of the money after six years is given by:
Future value of the money = $3,400 / (1 + 0.0315)⁶ = $2,776.15
Therefore, after the passage of six years, the purchasing power of the money, adjusted for inflation and changes in the general price level, is equivalent to $2,776 in today's dollars.
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one of the advantages of the cooperative form of the multidivisional structure is the opportunity to establish synergies between profit centers in order to achieve economies of scope. group of answer choices true false
The given statement "One of the advantages of the cooperative form of the multidivisional structure is the opportunity to establish synergies between profit centers in order to achieve economies of scope" is true. Because, this helps in reducing overall costs.
What is the cooperative form of the multidivisional structure?A cooperative form of the multidivisional structure is a structure that includes interconnected business units that have a lot of freedom and can operate independently. This structure includes profit centers that have specific performance objectives and act as independent units within the company.
Economy of scope is a cost advantage that a company experiences when it provides a range of products or services related to its core business. In other words, it means producing more products or services with the same resources or by bundling different products or services. This helps to reduce overall costs, increase revenue, and enhance the company's competitive advantage.
In the cooperative form of the multidivisional structure, profit centers operate independently and specialize in certain product lines or services. This provides an opportunity for these centers to coordinate and share resources, which helps to achieve economies of scope.
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