The management's claim of accuracy is connected to posting and summarizing. The completeness objective is a transaction-related audit objective that examines whether documented transactions have actually occurred.
Whether a business is a for-profit enterprise, a public institution, or a nonprofit, management is the administration of a corporation. It involves both the art and science of resource management for a business. Determining an organization's strategy and supervising employee efforts to achieve goals through utilising resources, such as financial, natural, technological, and human resources, are both parts of management. The terms "run the business" and "change the business" are used in management to distinguish between carrying on with the provision of goods or services .Managers, who are in charge of overseeing a business, are also referred to as "management." Some college students major in management.
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which possible price and quantity combination is most efficient from society's point of view but would require the government to subsidize the firm?
The price and quantity combination that is most efficient from society's point of view but would require the government to subsidize the firm is when the market price is below the socially optimal price, resulting in a lower quantity produced than the socially optimal quantity.
In this case, the government may provide a subsidy to the firm to encourage it to produce the socially optimal quantity.
This situation is often observed in cases where the production of a good or service generates positive externalities, which are benefits to society that are not reflected in the market price. Examples of positive externalities include education, research and development, and public health.
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nature of uncollectible accounts the xyz corporation owns and operates hotels and casinos including the xyz grand and the bellagio in las vegas, nevada. as of a recent year, xyz reported accounts receivable of $639,000 and allowance for doubtful accounts of $136,107. patient care manufactures and sells a wide range of healthcare products including band-aids and tylenol. as of a recent year, patient care reported accounts receivable of $823,000 and allowance for doubtful accounts of $42,796. a. compute the percentage of the allowance for doubtful accounts to the accounts receivable for the xyz corporation. round your answers to one decimal place.
The allowance for doubtful accounts is a contra asset account that represents the estimated amount of accounts receivable that may not be collected.
To compute the percentage of the allowance for doubtful accounts to the accounts receivable for the XYZ corporation, we can use the following formula: Allowance for doubtful accounts / Accounts receivable = Percentage of allowance for doubtful accounts to accounts receivable
For XYZ corporation, the calculation would be:
$136,107 / $639,000 = 0.213, or 21.3%. This indicates that XYZ corporation estimates that 21.3% of its accounts receivable may not be collected. For patient care, the calculation would be: $42,796 / $823,000 = 0.052, or 5.2%. This indicates that patient care estimates that 5.2% of its accounts receivable may not be collected.
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which of the following characteristics are most commonly associated with corporate bonds issued in the u.s.? i. registered form ii. bearer form iii. quarterly coupon payments iv. semiannual coupon payments multiple choice i and iii only i and iv only ii and iii only ii and iv only iii only
The registered form and semiannual coupon payments are most commonly associated with corporate bonds issued in the US. Thus, option b is correct.
To give corporate bonds to a company, the firm will have to be sure that it can make profits on the bonds. That means future cash flows will have to be powerful and sufficient to cover both the coupon expenses every six months or every year and the par worth of the bonds when they acquire maturity.
Some of the major components of a corporate bond prospectus are details on welfare expenses, the period to yield maturity, the credit grade of the issuer covering all the civil bills, and call provisions.
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suppose policymakers wish to use fiscal policy to fight inflation. which statement is most accurate?
Suppose policymakers wish to use fiscal policy to fight inflation. The most accurate statement is option A. Essentially, the way to lower the inflation rate is to decrease aggregate demand, causing a rise in unemployment.
Inflation is an economic situation when there is a persistent rise in the general price level of goods and services. Inflation reduces the purchasing power of money, thereby reducing the real value of money. Policymakers may use two types of fiscal policy to control inflation: Expansionary fiscal policy and Contractionary fiscal policy.
Contractionary fiscal policy is used to control inflation by decreasing government spending or increasing taxation. By reducing the disposable income of consumers, the aggregate demand for goods and services will decrease, thereby reducing the demand-pull inflation.
This approach aims to reduce the money supply and slow down economic growth, thereby mitigating inflationary pressures. Therefore, the most accurate statement regarding the fiscal policy use to fight inflation is option A. Essentially, the way to lower the inflation rate is to decrease aggregate demand, causing a rise in unemployment.
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Complete question
Suppose policymakers wish to use fiscal policy to fight inflation. Which statement, then, is MOST accurate?
A. Essentially, the way to lower the inflation rate is to decrease aggregate demand, causing a rise in unemployment.
B. Using fiscal policy, the government can have the best of both worlds in the form of low inflation and economic growth.
C. They should not use fiscal policy because in the long run the economy will always go back to equilibrium.
D. Policymakers should use an expansionary policy because job creation is more important than inflation.
during routine inspections, a field engineer discovers that one of the company's pipelines is leaking hazardous chemicals into the environment. the engineer recommends that the line be shut down so that seals can be replaced and the pipe can be inspected more closely. his supervisor commends him on his thoroughness, and says the report will be passed on to the company's maintenance division. the engineer moves on to his next job, assuming things will be taken care of in a timely manner. while working in the area again several months later, the engineer notices that the problem hasn't been corrected and is in fact getting worse. what should the engineer do?
The engineer ask the boss to look into what steps have been taken in this regard.
Civil engineers plan, design, build, supervise, manage, and maintain infrastructure projects and systems, such as roads, buildings, airports, tunnels, dams, bridges, and water supply and sewage treatment systems, in both the public and private sectors. The pay level of an engineer is very high when compared to other career fields, which is a big advantage for this line of employment. Also, your pay will probably rise over time as you acquire more knowledge and experience. Your compensation as an engineer may also be impacted by other things. Engineers must be strong in math. Engineering is primarily concerned with planning and producing answers to issues, and in the course of creating, constructing, and testing the solutions they generate, engineers frequently need to apply equations and computations.
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the bruin's den outdoor gear is considering a new 7-year project to produce a new tent line. the equipment necessary would cost $1.63 million and be depreciated using straight-line depreciation to a book value of zero. at the end of the project, the equipment can be sold for 15 percent of its initial cost. the company believes that it can sell 26,500 tents per year at a price of $70 and variable costs of $30 per tent. the fixed costs will be $455,000 per year. the project will require an initial investment in net working capital of $217,000 that will be recovered at the end of the project. the required rate of return is 11.3 percent and the tax rate is 21 percent. what is the npv?
To calculate the NPV, we need to find the present value of the cash inflows and outflows of the project. The initial investment is $1.63 million plus $217,000, which equals $1.847 million.
The annual cash inflows are the revenue from selling tents minus the variable and fixed costs. The revenue is $70 per tent times 26,500 tents, which equals $1.855 million. The variable costs are $30 per tent times 26,500 tents, which equals $795,000. The fixed costs are $455,000. Therefore, the annual cash inflow is $605,000 ($1.855 million - $795,000 - $455,000).
The cash outflows are the annual depreciation expense, which is $1.63 million divided by 7 years, which equals $233,143 per year. At the end of the project, the equipment can be sold for 15 percent of its initial cost, which is $244,500.
To calculate the present value of the cash flows, we use the formula:
NPV = -Initial investment + (Annual cash inflow - Depreciation expense - Taxes) x Present value factor + Salvage value x Present value factor. The present value factor is calculated using the required rate of return of 11.3 percent and the number of years of the project, which is 7.
Plugging in the numbers, we get:
NPV = -$1,847,000 + ($605,000 - $233,143 - $71,997) x 4.562 + $244,500 x 0.508
NPV = -$1,847,000 + $809,812 + $124,245
NPV = -$912,943
Therefore, the NPV of the project is -$912,943, which means the project should not be accepted as it does not generate positive value.
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HELP ASAP. WILL GIVE BRAINLIEST
after decreasing nominal GDP & real GDP, what would the next step for the federal reserve bank?
A. Observe how inflation is a factor.
B. Force banks to set the interest rate at 0%
C. Force consumers to buy more products
Answer:
If nominal GDP and real GDP decrease, the Federal Reserve Bank may take various actions to stabilize the economy. The most appropriate next step for the Federal Reserve Bank would likely be option A, which is to observe how inflation is affected. Inflation refers to the overall increase in prices of goods and services in an economy.
If the Federal Reserve Bank observes that inflation is decreasing along with the decrease in GDP, it may consider lowering interest rates to stimulate borrowing and spending, which can help increase demand for goods and services and boost economic growth. Lower interest rates can also help make borrowing more affordable for businesses, which can lead to increased investment and job creation.
On the other hand, if the Federal Reserve Bank observes that inflation is still high despite the decrease in GDP, it may consider increasing interest rates to reduce borrowing and spending and prevent the economy from overheating. Higher interest rates can also help to control inflation by increasing the cost of borrowing, which can discourage excessive borrowing and spending.
Option B, forcing banks to set the interest rate at 0%, is not an appropriate action because it limits the flexibility of banks to respond to economic conditions and can lead to unintended consequences such as inflation or a decline in the value of the currency.
Option C, forcing consumers to buy more products, is also not an appropriate action because it interferes with consumer choices and can be counterproductive to economic growth. In a market economy, consumers make choices based on their own preferences and budget constraints, and forcing them to buy more products can lead to inefficiencies and distortions in the economy
After decreasing nominal GDP & real GDP, the next step for the federal reserve bank is "observe how inflation is a factor". The correct option is A.
If nominal GDP and real GDP have decreased, it could indicate a slowdown in economic activity and a potential risk of deflation. The next step for the Federal Reserve Bank would likely be to observe how inflation is affected.
The Federal Reserve is responsible for monetary policy, and one of its key objectives is to maintain stable prices which typically involves targeting a moderate level of inflation.
This could involve implementing expansionary monetary policies, such as lowering interest rates, increasing money supply and so on.
Therefore, the correct option is A.
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true of false. the primary goal of variance analysis is to penalize managers for failure to adequately control operations.
The statement given is not correct. The main objective of variance analysis is to hold managers accountable for poor operational management is false.
Operations management is the control of a company's organisational framework, operational procedures, and financial goals. It pertains to the administration of duties necessary for a company to operate successfully on a daily basis, such as setting objectives and supervising numerous departments. Operations management's main purpose is to plan, organize, and strategize everyday tasks and routines. A well-executed strategy can assist in helping an organisation reach its deadlines and production targets. Operations management, in its simplest form, is the control of company operations for the purpose of achieving objectives, increasing productivity, and maximising profitability.
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which of the following is true for a firm having a current stock price of $42.02, an expected 1st year dividend of $3, and a sustainable growth rate of 8%? group of answer choices it has a required market return of approximately 15.14%. it has a dividend yield of 7.35%. none of the above the stock price is expected to remain flat next year
The statement that true is it has a required market return of approximately 15.14%.
Given information:
Current stock price = $42.02Expected 1st year dividend= $3Sustainable growth rate= 8%We know that the dividend yield can be calculated by dividing the expected dividend by the current stock price of the firm. In this case,
Dividend yield = Expected dividend / Current stock price = $3/$42.02 = 0.0712 or 7.12%.Now, the required market return of the firm can be calculated using the constant growth rate formula.
R = (D1/Po) + gWhere,
R = required rate of returnD1 = Expected dividend in the next yearPo = current stock priceg = sustainable growth rateGiven,
D1 = $3Po = $42.02g = 8%Putting the values in the above equation,
R = (3/42.02) + 0.08 = 0.150914 or 15.09%.Therefore, we can say that the firm has a required market return of approximately 15.14%.
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a person who works as a(n) works on every aspect of the export process and can represent multiple manufacturers of like products.
A person who works as a(n) export management company (EMC) works on every aspect of the export process and can represent multiple manufacturers of like products.
EMCs provide a variety of services, including market research, export financing, export documentation, logistics, and legal support. They essentially act as intermediaries between domestic manufacturers and foreign buyers by helping manufacturers find foreign customers and facilitating the export process.
An EMC can help a manufacturer enter a foreign market without having to commit a lot of resources and time. By working with an EMC, manufacturers can reduce their risk and costs associated with exporting, while still being able to tap into international markets.
EMCs can also help manufacturers with the complexities of exporting, such as navigating different languages, cultures, and regulations.
In essence, an export management company serves as an outsourcing partner for manufacturers looking to expand their reach globally. They provide a turnkey solution for exporting and enable manufacturers to focus on their core business functions while still reaching new customers abroad.
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provide financing to new or emerging companies with high profit potential, for example, uber car service. in return, these organizations expect a share of ownership in return for the financing they provide. a. investment bankers b. private equity firms c. public equity firms d. commercial banks
Private equity firms specialize in providing financing to companies that are considered too small to go public and too large to be funded by venture capital firms.
What is private equity? Private equity (PE) refers to an alternative investment class in which investors invest in companies or engage in buyouts of such businesses. Private equity firms (PE firms) are companies that specialize in raising capital from private investors and institutional investors (such as pension funds) to buy and restructure companies that are struggling financially or those that they believe have substantial growth potential. Private equity firms are actively engaged in the management of the businesses they invest in, with the aim of increasing their value over time.
Private equity firms typically have a stake in the companies they invest in, which means they own a portion of the company. Unlike most publicly traded companies, private equity firms are not listed on the stock exchange and do not trade their shares.
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libby company uses the percentage of credit sales method for calculating bad debt expense. the company reported $225,000 in total sales during the year; $184,000 of which were on credit. libby has experienced bad debt losses of 6% of credit sales in prior periods. what is the estimated amount of bad debt expense for the year?
The estimated amount of bad debt expense for the year is $11,040
As given in the question, Libby company uses the percentage of credit sales method for calculating the bad debts expenses.
Total sales during the year = $225000
Credit sales during the year = $ 184000
Bad debit loss = 6%
To find out the amount of total bad debt expense, we need to calculate in the following way.
Estimated amount of bad debit expense for the year = Credit sales X Bad debt loss =
184000 x 6/100 = $11040
Therefore, the estimated amount of bad debt expense for the year is $11040
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santa klaus toys just paid a dividend of $2.20 per share. the required return is 9.3 percent and the perpetual dividend growth rate is 3.1 percent. what price should this stock sell for five years from today?
The price the stock should sell for five years from today is $38.94.
To calculate the price of the stock after 5 years, we need to use the dividend discount model.
First, we need to calculate the next dividend payment by multiplying the current dividend by (1+growth rate) to the power of the number of years.
Next year's dividend = $2.20 x (1+3.1%) = $2.27
Dividend in five years = $2.27 x (1+3.1%)^5 = $2.77
Then, we need to calculate the present value of all future dividends beyond year five, using the perpetual growth formula:
PV = D / (r - g) where D is the next dividend payment and r is the required return, and g is the perpetual growth rate.
PV of all future dividends beyond year five = $2.77 / (9.3% - 3.1%) = $49.47
Finally, we can calculate the present value of the stock price in five years by using the formula:
PV = D1 / (r - g) x (1 + g) ^ 5, where D1 is next year's dividend payment.
PV of stock price in five years = $2.27 / (9.3% - 3.1%) x (1 + 3.1%) ^ 5 = $38.94.
Therefore, the price the stock should sell for five years from today is $38.94.
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suppose you have a defined-contribution pension plan. as you go through your working life, in what order would you choose to have the following portfolio allocations? a. 100% bonds and money-market instruments: best as you approach retirement . b. 100% stocks: best early in your career . c. 50% bonds and 50% stocks: best in the middle of your career . why? multiple choice 4 early in your working life, investing in stocks makes sense as they generally earn a relatively high rate of return and are relatively safe when held over the long term. as you approach retirement, you should gradually convert to bonds and more liquid instruments. early in your working life, investing in stocks makes sense as they generally earn a relatively high rate of return, though they are very risky even over the long term. mid-career switch exclusively to bonds, then transition to stocks and bonds later. early in your working life you should stick to safe, liquid instruments while you learn about investing and then gradually build up to a portfolio of stocks as you approach retirement. with a defined-contribution pension plan, your employer bears the risk associated with the asset allocation of the funds, so you do not need to be concerned about the order.
Early in your working life you should stick to safe, liquid instruments while you learn about investing and then gradually build up to a portfolio of stocks as you approach retirement best in the middle of your career Option (3)
As you start your career, you have more time to weather the ups and downs of the stock market and benefit from the higher expected returns. As you approach retirement, you should gradually shift towards more conservative investments, such as bonds and money-market instruments, to reduce the risk of losing your savings.
A 50/50 mix of stocks and bonds is a balanced approach that may be appropriate in the middle of your career when you still have a long time horizon but are more risk-averse than when you started your career. It's important to note that the appropriate asset allocation may depend on individual circumstances, such as age, risk tolerance, and retirement goals.
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comparing the u.s. economy in the 1920s with the economy in the 1990s, both decades multiple choice suffered from economic depressions. had soaring stock markets. had a lack of any government regulation of the stock market. had slow economic growth.
When comparing the US economy in the 1920s with the economy in the 1990s, both decades b. had soaring stock markets.
The US economy in the 1920s and the 1990s are two different periods that had some similarities and differences. One of the similarities is that both decades had soaring stock markets. During the 1920s, the stock market experienced a rapid increase in value, with the Dow Jones Industrial Average more than tripling between 1920 and 1929. Similarly, in the 1990s, the stock market also experienced significant growth, with the Dow Jones reaching an all-time high in 1999. However, there were differences in terms of government regulation, economic growth, and economic depressions.
In the 1920s, there was a lack of any government regulation of the stock market, while in the 1990s, there were more government regulations put in place. In addition, the US economy experienced slow economic growth during the 1920s, whereas in the 1990s, the economy was booming. Finally, the US economy experienced two economic depressions in the 1920s, while in the 1990s, there was only one recession.
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Some companies use a social networking strategy in which they avoid making direct advertising or brand statements. outline the advantages and disadvantages of such a strategy.
The advantages like Builds trust, Enhances engagement and Encourages word-of-mouth marketing and disadvantages like Slower growth, Limited control and Requires more resources of companies using a social networking strategy where they avoid making direct advertising or brand statements.
Let's understand both briefly.
Advantages: 1. Builds trust: By not pushing promotional content directly, companies can build trust among their audience, as consumers are more likely to trust content that is not overtly selling a product or service.
2. Enhances engagement: Engaging with consumers on social media in a more organic, conversational manner can lead to increased interaction and engagement, which can strengthen brand loyalty. 3. Encourages word-of-mouth marketing: When companies avoid direct advertising, consumers are more likely to share their content and experiences, leading to organic growth and increased brand exposure.
Disadvantages: 1. Slower growth: Not using direct advertising or brand statements can result in slower growth, as promotional content is often necessary to drive sales and increase brand awareness quickly. 2. Limited control: By not making direct brand statements, companies might have limited control over the way their brand is perceived by the public.3. Requires more resources: Engaging with consumers on social media in a non-promotional manner often requires more time, effort, and resources as opposed to more traditional advertising methods.
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suppose that the economy is in a long-run equilibrium at a price level of 100 and full-employment real gdp of $500 billion. an expansion occurs resulting from a $100 billion increase in aggregate demand. in order to restore the economy to full employment given a mpc of 0.80, government purchases would need to:
Considering an MPC of 0.75, lowering taxation by $40 billion would be necessary to bring the economy back to full employment.
Full employment refers to an economic situation where all labour resources are being utilised as effectively as feasible. The maximum amount of both skilled and unskilled labour that can be employed in an economy at any particular moment is full employment. Although there are other meanings of full employment, the BLS defines it as an economy where the unemployment rate is equal to the NAIRU, there is no cyclical unemployment, and GDP is at its maximum. A booming economy increases demand for goods and services, which raises prices and wages as businesses ramp up output to satisfy that demand.
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based on the article you read, ritz-carlton maintains service excellence by focusing relentlessly on (select as many as apply) group of answer choices individual customer needs. the best hotel locations. employees who are committed to excellence. luxury appointments such as expensive chandeliers and rugs.
Based on the article you read, ritz-carlton maintains service excellence by focusing relentlessly on individual customer needs and employees who are committed to excellence. Correct options are A and C.
The article suggests that Ritz-Carlton maintains its service excellence by focusing on individual customer needs. This is reflected in the brand's service philosophy of "Ladies and Gentlemen Serving Ladies and Gentlemen," which emphasizes personalized service and attention to detail.
The hotel chain invests heavily in training its employees to anticipate and meet the unique needs of each guest.
Additionally, the article notes that Ritz-Carlton places a strong emphasis on its employees and their commitment to excellence.
The hotel chain seeks to create a culture of empowerment and ownership among its employees, encouraging them to take pride in their work and go above and beyond to provide exceptional service. This commitment to employee development and engagement is seen as a key factor in maintaining high levels of customer satisfaction.
Option B, the best hotel locations, is not mentioned as a key factor in Ritz-Carlton's service excellence, and option D, luxury appointments such as expensive chandeliers and rugs, while they may contribute to a luxurious atmosphere, are not the primary focus of the hotel's service philosophy.
Correct options are A and C.
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which occupational category on o*net online focuses on occupations that are new and are expected to grow rapidly in the next several years? group of answer choices green economy sector stem disciplines job zone bright outlook
The occupational category on O*NET Online that focuses on occupations that are new and expected to grow rapidly in the next several years is the "Bright Outlook" category.
What is O*NET?O*NET (Occupational Information Network) is a comprehensive database of occupational information that can assist in career exploration, decision-making, and preparation.
O*NET information is based on extensive research into work and labor market data. It is updated on a regular basis to ensure that the information is current, reliable, and relevant to today's job market.
What is the "Bright Outlook" category?The "Bright Outlook" category on O*NET Online is a collection of occupations that are anticipated to grow rapidly in the near future, have high projected employment levels, or are expected to experience a significant increase in demand.
This category is meant to assist job seekers in identifying occupations with excellent employment prospects in the coming years.
Bright Outlook occupations are typically in fields such as healthcare, technology, and renewable energy, which are expected to grow and expand rapidly in the coming years.
The O*NET Online database can be used to obtain detailed information about each Bright Outlook occupation, including job duties, educational requirements, salary expectations, and more.
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the brs corporation makes collections on sales according to the following schedule: 50% in month of sale 45% in month following sale 5% in second month following sale the following sales have been budgeted: sales april $180,000 may $190,000 june $180,000 budgeted cash collections in june would be: group of answer choices $180,900 $184,500 $175,500 $180,000
The budgeted cash collections in June would be $184,500 (Answer choice B).
The question asks for the budgeted cash collections in June for BRS Corporation based on the given sales and collection schedule. Sales information: - April: $180,000, - May: $190,000, - June: $180,000. Collection schedule:- 50% in the month of sale, 45% in the month following sale, 5% in the second month following sale.
To calculate the budgeted cash collections in June, we need to consider collections from sales in April, May, and June Collections from June sales (50% in the month of sale):June sales: $180,000, 50% collected in June: $180,000 * 0.5 = $90,000Collections from May sales (45% in the month following sale): May sales: $190,000, 45% collected in June: $190,000 * 0.45 = $85,500
Collections from April sales (5% in the second month following sale):April sales: $180,000 , 5% collected in June: $180,000 * 0.05 = $9,000. Add up all the collections for June: June collections = $90,000 (from June sales) + $85,500 (from May sales) + $9,000 (from April sales) = $184,500. the budgeted cash collections in June would be $184,500 (Answer choice B).
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groupe air uses two measures of activity, flights and passengers, in the cost formulas in its budgets and performance reports. the cost formula for plane operating costs is $48,840 per month plus $2,381 per flight plus $7 per passenger. the company expected its activity in october to be 63 flights and 293 passengers, but the actual activity was 61 flights and 298 passengers. the actual cost for plane operating costs in october was $199,070. the activity variance for plane operating costs in october would be closest to: multiple choice $1,824 f $1,824 u $4,727 u $4,727 f
As per the given variable cost the activity variance for plane operating costs in October would be closest to $4,727 U (unfavorable) (option c).
Groupe Air utilizes a cost formula to calculate their plane operating costs. This formula includes a base cost of $48,840 per month, an additional cost of $2,381 per flight, and a variable cost of $7 per passenger. Based on their initial projections, Groupe Air expected to have 63 flights and 293 passengers in the month of October. Using this information, the expected cost for plane operating costs in October can be calculated as follows:
Expected cost = $48,840 + ($2,381 x 63) + ($7 x 293) = $203,999
However, their actual activity in October was slightly different than expected, with only 61 flights and 298 passengers. As we all know that the actual cost for plane operating costs in October was $199,070.
To determine the activity variance for plane operating costs, the expected cost must be subtracted from the actual cost:
Activity variance = Actual cost - Expected cost = $199,070 - $203,999 = -$4,929
The negative sign indicates that the actual cost was lower than the expected cost, which is a positive outcome for Groupe Air's cash flow. Therefore, option (c) is the correct choice.
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in the context of organizational reward systems, fairness in the wages paid by an organization, in terms of competitive market rates outside the organization, is known as .in the context of organizational reward systems, fairness in the wages paid by an organization, in terms of competitive market rates outside the organization, is known as .external equitymerit-based rewardingindividual equitymarket-based payment
In the context of organizational reward systems, fairness in the wages paid by an organization, in terms of competitive market rates outside the organization, is known as external equity.
In general , External equity is known as the fairness and competitiveness of an organization's pay structure that is relative to the pay and benefits offered by other organizations in the same industry or labor market. It means that an organization pays its employees a wage that is competitive with the wages paid by other organizations for similar jobs.
Also, external equity, the organization can also attract and retain talented employees, as well as avoid labor turnover and legal issues that may arise from paying employees less than the market rates.
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(14b) 5. a local sub restaurant located on campus offers a student rate for its sub lunch special. this is a form of
The local sub restaurant located on campus is offering a student rate for its sub lunch special as a form of marketing strategy to attract more students to its business.
In this scenario, the keyword "offers" is crucial in understanding the situation. The restaurant is offering a special deal to students, which is known as a "student rate." This means that the restaurant is giving students a discount on the regular price of their sub lunch special.
When a business offers a special rate or discount, it is a form of marketing strategy that aims to attract customers. In this case, the sub restaurant is specifically targeting students who are often looking for affordable meal options on campus.
Offering student rates or discounts is a common marketing strategy used by businesses to attract a specific group of customers.
These discounts are often available to students with valid identification, such as a student ID card.
The discounted price may be lower than the regular price or may include additional benefits, such as a free drink or side dish.
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dividends are a portion of a earnings returned to the investor. b the equity returned to the investor c liabilities returned to the company d assets returned to the company
Dividends are a portion of earnings returned to the investor. So, correct option is A.
Dividends are payments made by a company to its shareholders, typically in the form of cash or additional shares of stock. These payments represent a portion of the company's earnings that are distributed to its shareholders as a reward for their investment in the company.
Dividends are generally paid out of a company's profits, and the amount and frequency of dividend payments are determined by the company's board of directors.
Investors often look to dividend payments as a way to generate income from their investments, particularly in companies that have a long history of paying regular dividends.
Dividends can also be an indicator of a company's financial health, as they demonstrate a commitment to returning value to shareholders rather than retaining all profits for reinvestment in the business.
Therefore, correct option is A.
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larkspur company had cost of goods sold of $3,200. if beginning inventory was $3,300 and ending inventory was $1,100, larkspur's purchases must have been:
The cost of products sold for the Larkspur firm was $3,200. Larkspur's purchases must have totaled $6,500 if beginning inventory was $3,300 and ending inventory was $1,100.
All items and services acquired for resale or consumption throughout the manufacturing process are included in purchases of goods and services, except capital goods whose consumption is recorded as consumption of fixed capital. Offering a discount on a second product in exchange for the first product's purchase is known as "purchase with purchase."
A buy is when something is obtained in exchange for some type of payment, such as products or services. The typical forms of payment are cash or credit (to be paid later).
purchases = Cash Purchases + Credit Purchases.
purchases = 3,300 + 3,200
purchases = $6,500
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alderwood prepares an aging of accounts receivable and the result shows that 5% of accounts receivable is estimated to be uncollectible. what is the balance in the allowance for doubtful accounts after bad debt expense is recorded?
When Alderwood performs an aging of its receivables, the results reveal that 5% of them are thought to be uncollectible. After bad debt cost is noted, there is $1,000 left in the allowance for doubtful accounts.
To determine the balance in the allowance for doubtful accounts after bad debt expense is recorded, we first need to know the total amount of accounts receivable and the amount of bad debt expense recorded.
Assuming the total accounts receivable balance is $100,000, the estimated amount of uncollectible accounts is 5% of $100,000, which is $5,000. This $5,000 is the amount that should be recorded as bad debt expense for the period.
To calculate the new balance in the allowance for doubtful accounts, we need to subtract the existing balance in the account from the amount of bad debt expense recorded. Assuming the current balance in the allowance for doubtful accounts is $3,000, we would have:
New allowance for doubtful accounts balance = Current balance - Bad debt expense
New allowance for doubtful accounts balance = $3,000 - $5,000
New allowance for doubtful accounts balance = -$2,000
Since the new balance in the allowance for doubtful accounts is negative, it means that the company needs to increase its allowance for doubtful accounts by $2,000 to cover the estimated uncollectible accounts. The journal entry to record this would be:
Debit Bad Debt Expense $5,000
Credit Allowance for Doubtful Accounts $2,000
Credit Accounts Receivable $3,000
This would result in a new balance in the allowance for doubtful accounts of $1,000 ($3,000 - $2,000).
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a company lends its supplier $158,000 for 3 years at a 8% annual interest rate. interest payments are to be made twice a year. the entry to record the establishment of the loan includes a debit to:
The entry to record the establishment of the loan includes a debit to "Notes Receivable" for $158,000, which represents the amount of the loan provided to the supplier.
The company is essentially becoming a creditor and expects to receive the principal amount along with interest over a period of 3 years. The credit entry would be to "Cash" for the same amount, indicating that the company has transferred cash to the supplier.
Since interest payments are to be made twice a year, the company would need to record adjusting entries every six months to recognize the interest expense and update the balance in the "Notes Receivable" account.
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the concept that producing goods and services generates the means and the willingness to purchase other goods and services is the keynesian approach. money illusion. say's law. secular deflation.
The concept that producing goods and services generates the means and the willingness to purchase other goods and services is Say's Law (option c).
Economic theories attempt to explain how goods and services are produced, consumed, and distributed in a society.
This concept is known as Say's Law, named after the French economist Jean-Baptiste Say. According to Say's Law, production creates its own demand. In other words, the act of producing goods and services generates income, which in turn creates the ability and willingness to purchase other goods and services.
This concept is different from the idea of money illusion, which refers to the tendency for people to think of prices in nominal terms rather than real terms.
Overall, Say's Law suggests that a healthy economy is one in which there is a balance between production and consumption.
Hence the correct option is (c).
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if the liabilities of a business increased $107,000 during a period of time and equity in the business decreased $46,000 during the same period, the assets of the business must have: decreased $153,000. decreased $61,000. increased $153,000. increased $46,000. increased $61,000.
107,000-46,000=Increased $61,000.
Liabilities are the legitimate debts that a business pays to other creditors. Accounts payable, notes payable, and financial debt are just a few examples.
Liabilities are a necessary component of operation and expansion for every company. A company's basis is secure when liabilities and equity are properly balanced. If it has too much debt, it might find it challenging to make payments if sales decline. It might also stop the business from taking on more debt, which would allow it to seize market chances. The balance statement makes this mixture clear.
Liability falls into two major categories:
Current obligations due in the next 12 months
Long-term obligations due after a year
These represent all of the company's debts when taken as a whole. Companies must cover their obligations.
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which factors may influence a company's choice of inventory cost flow assumption? (select all that apply.) multiple select question. actual physical flow of inventory financial statement effect tax implications of choice demand for its products
Factors that may influence a company's choice of inventory cost flow assumption include:
the actual physical flow of inventorytax implications of choicefinancial statement effectThe actual physical flow of inventory refers to the actual movement of goods in and out of the company, which can impact how costs are assigned to individual units of inventory. The tax implications of the choice of cost flow assumption can impact the amount of taxes the company owes, as different methods can result in different levels of taxable income.
The financial statement effect relates to how different methods of cost flow assumption can impact the presentation of a company's financial statements, which can affect investor perceptions and decisions. Therefore, companies should carefully consider these factors when selecting a cost flow assumption for their inventory.
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