a. Bonus of Alisuag:Step 1: Computing for the total amount of salaries given:Alisuag = P30,000Go = P45,000Palatino = P65,000Total salaries = P140,000Step 2: Computing for the interest on initial capital contribution:Total capital contributions = P300,000 + P500,000 + P200,000= P1,000,0005% of P1,000,000 = P50,000Step
a. Bonus of Alisuag:Step 1: Computing for the total amount of salaries given:Alisuag = P30,000Go = P45,000Palatino = P65,000Total salaries = P140,000Step 2: Computing for the interest on initial capital contribution:Total capital contributions = P300,000 + P500,000 + P200,000= P1,000,0005% of P1,000,000 = P50,000Step 3: Computing for the profit after deducting salaries and interest:Total expenses = P140,000 + P50,000= P190,000Net income = P460,000 – P190,000= P270,000Step 4: Computing for the bonus of Alisuag:Bonus of Alisuag = 15% of P270,000 = P40,500Therefore, the bonus of Alisuag is P40,500.b. Share of Alisuag from the Profit:Alisuag’s share in the profit is computed as follows:Salaries = P30,000 + P50,000 = P80,000Interest = P50,000Bonus = P40,500Share in the remainder = (P460,000 - P80,000 - P50,000 - P40,500) / 3= P96,167Total share of Alisuag from the profit = P80,000 + P50,000 + P40,500 + P96,167= P266,667Therefore, Alisuag's share from the profit is P266,667.c. Capital balance of Go after profit distribution:Capital contribution of Go = P500,000Interest = P50,000Salaries = P45,000Share in the remainder = (P460,000 - P190,000 - P45,000 - P50,000) / 3= P58,333Total amount received by Go = P500,000 + P50,000 + P45,000 + P58,333= P653,333Therefore, the capital balance of Go after profit distribution is P653,333.d. Capital balance of Palatino after profit distribution:Capital contribution of Palatino = P200,000Interest = P50,000Salaries = P65,000Share in the remainder = (P460,000 - P190,000 - P65,000 - P50,000) / 3= P51,667Total amount received by Palatino = P200,000 + P50,000 + P65,000 + P51,667= P366,667Therefore, the capital balance of Palatino after profit distribution is P366,667.
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Please answer each part of the question and number your answer.
1. In your own words, (a) what is an RFP and how does it relate to the (b) IT Budgeting Process and (c) Application Portfolio Management? (About 5 to 6 good sentences.)
2. Explain how Application Portfolio Management and the IT budgeting process should be interrelated in light of the Continental Airline Case? (Do not say that budgets fund APMs; that is a given.) (About 3 to 4 good sentences)
(a) An RFP, or Request for Proposal, is a document typically issued by a company or organization to solicit bids from potential vendors or service providers.
It outlines the specific requirements, objectives, and scope of a project or procurement, inviting interested parties to submit their proposals. The RFP serves as a formal communication tool that helps the company gather detailed information about potential solutions, pricing, and capabilities from various vendors.
(b) The IT Budgeting Process is the strategic planning and allocation of financial resources within an organization for IT-related projects, initiatives, and operations. In relation to the RFP, the IT Budgeting Process is influenced by the proposals received through the RFP. Evaluating and selecting the most suitable vendor or solution from the RFP responses can impact the allocation of funds in the IT budget. The budgeting process takes into consideration the estimated costs, benefits, and priorities identified in the RFP responses to make informed decisions about resource allocation.
(c) Application Portfolio Management (APM) involves the assessment, analysis, and management of an organization's portfolio of applications. It aims to optimize the application landscape by evaluating the value, cost, and risks associated with each application. In relation to the RFP, APM can be impacted by the outcomes of the RFP process. If the RFP seeks to replace or introduce new applications, the APM strategy needs to consider the potential impact on the existing application portfolio, including costs, integration requirements, and alignment with business objectives.
Application Portfolio Management and the IT budgeting process should be interrelated to ensure effective decision-making and alignment with business goals. In the Continental Airline Case, interrelation is crucial as it helps prioritize investments and optimize the application landscape. By aligning APM with the IT budgeting process, the company can identify legacy or redundant applications that can be retired or consolidated, freeing up resources for more strategic initiatives.
The IT budgeting process should consider the insights and analysis provided by APM to make informed decisions about resource allocation. APM helps identify the value, risks, and costs associated with each application, enabling budget planners to prioritize investments based on strategic objectives, such as improving customer experience or enhancing operational efficiency.
Additionally, the IT budgeting process should provide sufficient funding to support the recommendations and initiatives identified through APM. While budgets may not directly fund APM efforts, they should allocate resources for application rationalization, modernization, or replacement projects identified through APM analysis.
In summary, integrating Application Portfolio Management and the IT budgeting process ensures that investments are aligned with business objectives and resources are allocated effectively to optimize the application landscape. This interrelation allows for strategic decision-making and maximizes the value derived from IT investments.
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Consider the following equation for consumption: C = 300 + 0.6 YD, where YD = Y - T. The balanced budget multiplier in this economy is -1 1 2.5 1.5 -2.5
The correct answer is: 1.5.
The balanced budget multiplier represents the change in equilibrium income resulting from a simultaneous change in government spending (G) and taxes (T) of equal magnitude. It measures the overall impact on the economy when both government spending and taxes are adjusted by the same amount.
In the given equation for consumption (C = 300 + 0.6 YD, where YD = Y - T), we can see that the marginal propensity to consume (MPC) is 0.6. The MPC represents the proportion of additional income that is spent on consumption.
The balanced budget multiplier can be calculated using the formula: Balanced Budget Multiplier = 1 / (1 - MPC).
In this case, the MPC is 0.6, so the balanced budget multiplier would be:
Balanced Budget Multiplier = 1 / (1 - 0.6) = 1 / 0.4 = 2.5.
Therefore, the balanced budget multiplier in this economy is 2.5. This means that for every dollar change in government spending and taxes, the equilibrium income will change by 2.5 dollars in the same direction.
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Samuel Gumede earns £39,000 a year working for a building company as a project manager. He is considering the possibility of leaving the company and starting his own business. To do this, he will have to use all his £60,000 savings that are currently invested at an interest rate of 2%. He estimates that the annual profit from his own business will be £50,000. Other relevant costs in starting his own business amount to £1,750. Required: Using the information above, calculate the net relevant benefit of Samuel starting his own business. (4 marks)
Given: Samuel Gumede earns £39,000 a year working for a building company as a project manager.
He is considering the possibility of leaving the company and starting his own business. To do this, he will have to use all his £60,000 savings that are currently invested at an interest rate of 2%. He estimates that the annual profit from his own business will be £50,000.
Other relevant costs in starting his own business amount to £1,750.Formula to calculate the net relevant benefit= Benefit - Opportunity cost - Costs= £50,000 - (£60,000 x 0.02) - £1,750= £50,000 - £1,200 - £1,750= £46,050The net relevant benefit of Samuel starting his own business is £46,050.
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As of Jan 1, 2019, ( ) is required by Trump administration in order to contain skyrocketing healthcare cost. ( ) are required to put pricing spreadsheets for the public, but it’s normally encrypted and cannot be understood by outsiders. Group of answer choices A) Prescription drug price transparency,Drug companies B)Hospital price transparency, Hospitals C)Urgent care price transparency, Urgent care centers D) Nursing home price transparency, Nursing homes E)Home health care price transparency, Home health care agencies
The correct answer is: A) Prescription drug price transparency, Drug companies.
The answer is given below: As of Jan 1, 2019, prescription drug price transparency is required by Trump administration in order to contain skyrocketing healthcare cost. Drug companies are required to put pricing spreadsheets for the public, but it’s normally encrypted and cannot be understood by outsiders.
Therefore, it is clear that prescription drug price transparency is required by the Trump administration in order to contain skyrocketing healthcare cost and Drug companies are required to put pricing spreadsheets for the public, but it’s normally encrypted and cannot be understood by outsiders.
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You Are Working As The Audit Partner Of Acc. Pot Ltd. You Have Been Actively Involved In The Reviewing And Checking The Inventory Of The Client, Tipper Ltd. Tipper Ltd Inventory Constitutes A Large Proportion Of The Financial Statements As The Company Deals With Buying And Selling Retail Products Such As Groceries. You Have Already Done, Audit Planning, Risk
You are working as the audit partner of Acc. Pot Ltd. You have been actively involved in the reviewing and checking the inventory of the client, Tipper Ltd. Tipper Ltd inventory constitutes a large proportion of the financial statements as the company deals with buying and selling retail products such as groceries. You have already done, audit planning, risk assessment as well as the necessary audit procedures in order to obtain audit evidence that you will use in formulating the audit opinion. It is now the end of the audit if Tipper Ltd and your supervisor require you to draft the audit report for his review. Required: Briefly explain the contents of an audit report to be submitted to your supervisor.
An audit report is a formal document prepared by the audit partner or auditor summarizing the findings, conclusions, and opinions reached during the audit process. It provides an objective assessment of the financial statements and the effectiveness of internal controls within the organization. The contents of an audit report typically include the following:
Title and Addressee: The report begins with a title that clearly indicates it is an audit report. The addressee is usually the company's management, board of directors, or shareholders.
Introductory Paragraph: This section identifies the financial statements that were audited, including the period covered by the audit.
Management's Responsibility: The audit report explains that management is responsible for preparing and presenting the financial statements and for implementing internal controls to prevent and detect fraud and error.
Auditor's Responsibility: This section describes the auditor's responsibility, which is to express an opinion on the financial statements based on the audit conducted. It also explains that the audit was performed in accordance with generally accepted auditing standards.
Opinion on the Financial Statements: The auditor expresses an opinion on the fairness of the financial statements. This opinion can be unqualified (clean opinion), qualified (with specific reservations), adverse (materially misstated), or a disclaimer (unable to express an opinion).
Basis for Opinion: The audit report provides information on the audit procedures performed, including testing of accounting records, gathering evidence, and evaluating the accounting principles used. It also highlights any limitations or restrictions encountered during the audit process.
Other Reporting Responsibilities: In some cases, the audit report may include additional sections related to reporting on specific matters, such as internal controls over financial reporting or compliance with laws and regulations.
Signature and Date: The report is signed by the audit partner or auditor responsible for the engagement, along with the date of completion.
It's important to note that the specific format and wording of an audit report may vary depending on the jurisdiction and applicable reporting standards. The report should be clear, concise, and objective, providing stakeholders with a reliable assessment of the financial statements and the audit conducted.
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A manager checked production records and found that a worker produced 225 units while working 50 hours. In the previous week, the same worker produced 152 units while working 40 hours. a. Compute Current period productivity and Previous period productivity. (Round your answers to 2 decimal places.) Current period productivity Units/hour Units/hour Previous period productivity b. Did the worker's productivity increase, decrease, or remain the same? (Round your intermediate calculations and final answer to 2 decimal places.) Worker's productivity increased by
a. Current period productivity:
225 units / 50 hours = 4.50 units/hour
Previous period productivity:
152 units / 40 hours = 3.80 units/hour
b. The worker's productivity increased by 0.70 units per hour.
a. To compute the current period productivity and previous period productivity, we divide the number of units produced by the number of hours worked in each period.
Current period productivity:
225 units / 50 hours = 4.50 units/hour
Previous period productivity:
152 units / 40 hours = 3.80 units/hour
b. To determine whether the worker's productivity increased, decreased, or remained the same, we compare the current period productivity to the previous period productivity.
Worker's productivity increased by:
4.50 units/hour - 3.80 units/hour = 0.70 units/hour
The worker's productivity increased by 0.70 units per hour.
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QUESTION 1
Ziyad bought a car for RM198,000. He made a 10% down payment and
financed the balance through a bank for 9 years. The interest rate
charged was 4.5% compounded monthly.
a) Calculate the mon
The monthly payment for the car loan can be calculated using the following formula:
M = P [i(1+i)^n] / [1-(1+i)^n]
where:
M = monthly payment
P = the loan amount (RM198,000 in this case)
i = the monthly interest rate (4.5% / 12 = 0.0375)
n = the total number of monthly payments (360 months in a 9-year loan)
Plugging in the values, we get:
M = 198,000 [0.0375(1+0.0375)^360] / [1-(1+0.0375)^360]
M = 198,000 [11.9225] / [1.02598]
M = 1,868.50
So the monthly payment for the car loan would be RM1,868.50.
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Indicate the market structure that best describes an industry with the following characteristics:
• HHI = 0.125
• C4 = 0.00005
• Differentiated product
A) Perfect Competition
B) Monopolistic Competition
C) Oligopoly
D) Monopoly
Monopolistic competition is the market structure that best describes an industry with the given characteristics. (Option B)
Monopolistic competition refers to a market where multiple firms offer differentiated products, meaning each firm has some control over the price of its product. In this market structure, there is a relatively large number of firms competing for customers, but the products they offer are not identical.
The provided characteristics support the identification of monopolistic competition. The Herfindahl-Hirschman Index (HHI) of 0.125 indicates a moderate level of market concentration, suggesting that the industry has several competing firms. The Concentration Ratio (C4) of 0.00005, which measures the market share of the four largest firms, also suggests a fragmented market with a large number of firms.
Additionally, the mention of differentiated products further aligns with monopolistic competition. Differentiation allows firms to create unique product attributes or branding to attract customers and establish a degree of market power. Therefore, based on the given characteristics, monopolistic competition is the most suitable market structure for the described industry.
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Research of two other Standards relevant to the meat industry that could be added to the governance document.
food standards,
meat processing,
meat standards/eating quality
hygienic production and transportation of meat and meat products for human consumption
Animal Welfare standards
Two other relevant standards that could be added to the governance document for the meat industry are:
Food Safety Management Systems: This standard focuses on ensuring the safety and quality of food products, including meat and meat products. It provides guidelines and requirements for establishing and implementing a comprehensive food safety management system, including principles of Hazard Analysis and Critical Control Points (HACCP). This standard helps to address risks and hazards associated with meat production, processing, and distribution, ensuring that appropriate controls and measures are in place to protect consumer health.
Sustainability and Environmental Standards: With increasing concerns about the environmental impact of meat production, incorporating sustainability and environmental standards into the governance document is crucial. These standards address issues such as water and energy conservation, waste management, greenhouse gas emissions, and responsible land use. By including sustainability and environmental considerations in the governance document, the meat industry can demonstrate its commitment to environmentally responsible practices and work towards mitigating its ecological footprint.
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1 Introduce a Japanese product invention or idea that has gone globalWas it successful or a failure in the 2nd country? Why? 50 words 2. Introduce a foreign product that Japan has imported. Was it successful or a failure, and why? 50 words 3. Include an image of at least one of those produkts. Don't forget to cite it.
1. One Japanese product that has gone global is the Toyota Prius, a hybrid electric vehicle first introduced in Japan in 1997.
The Prius has been successful in many countries around the world due to its fuel efficiency and environmental friendliness. However, it faced some challenges in the United States when it was first introduced due to American consumers' preference for larger cars and lack of familiarity with hybrid technology.
Despite this, the Prius has become increasingly popular in the US and other countries as concern for the environment and fuel economy has grown.
2. One foreign product that Japan has imported is Coca-Cola, which was introduced in Japan in 1957. Coca-Cola has been very successful in Japan due to its iconic branding and popularity as a refreshing beverage. However, there has been some controversy over Coca-Cola's high sugar content and negative health effects.
In response, Coca-Cola Japan has introduced a variety of low-sugar and sugar-free options to cater to health-conscious consumers.
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One Japanese product invention that has gone global is the Nintendo Switch, a hybrid gaming console.
A foreign product that Japan has imported successfully is the iPhone by Apple Inc.
Nintendo Switch has been highly successful in the second country, with worldwide sales surpassing 85 million units. Its success can be attributed to its innovative design, versatility, and a strong lineup of games appealing to a wide audience.
The iPhone has gained significant popularity in Japan, becoming one of the leading smartphone brands in the country. Its success can be attributed to its advanced features, user-friendly interface, and strong marketing strategies employed by Apple.
Citation for the Nintendo Switch image:
Image source: Nintendo
Website: https://www.nintendo.com/switch/
Citation for the iPhone image:
Image source: Apple Inc.
Website: https://www.apple.com/iphone/
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What is effective about this outline? check all that point: my dog, smudge, is both smart and mischievous.a. he is knows how to turn can do many different tricks..b. he is steals food off the kitchen chews on the buries things in the back font makes it easy to identify the main point.capital letters make it easy to recognize major supporting ideas illustrating how smudge is smart and mischievous are numbered.indentations and spacing make it easy to distinguish main points from supporting ideas.
Based on the provided outline, the following points are effective:
a. He knows how to turn can do many different tricks.
b. He steals food off the kitchen, chews on and buries things in the back.
The outline effectively uses capital letters to recognize major supporting ideas and illustrates how Smudge is both smart and mischievous by numbering the examples. Additionally, the indentations and spacing make it easy to distinguish main points from supporting ideas.
An effective dog outline might include the following elements:
I. Introduction
A. Background information about dogs
B. Thesis statement: Dogs make excellent pets due to their loyalty, intelligence, and companionship.
II. Loyalty
A. Examples of dogs showing loyalty to their owners
B. Loyalty as a desirable trait in a dog
III. Intelligence
A. Different types of dog intelligence (e.g., problem-solving, trainability)
B. Examples of dogs displaying intelligence (e.g., learning commands, performing tricks)
IV. Companionship
A. Dogs as loyal companions
B. Emotional support provided by dogs
C. Examples of how dogs enhance social interactions and reduce loneliness
V. Conclusion
A. Restate the thesis statement
B. Summarize the main points discussed
C. Closing thoughts on the overall value of dogs as pets
This outline effectively introduces the topic, presents a clear thesis statement, and organizes the main points related to loyalty, intelligence, and companionship. It provides supporting examples and ensures a logical flow from one point to the next. The conclusion summarizes the main ideas and provides a satisfying ending to the outline.
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David has decided to incorporate his Mexican Restaurant business which he has run previously as sole trader. After careful consideration with you, he has set up a limited liability company called Mexican Cantina Ltd in which he is the sole shareholder with 10,000 fully paid-up shares at $1 per share. He is also joint director of Mexican Cantina Ltd with his wife Claire.
Required:
What is the maximum liability which Julian is personally liable as a shareholder of Mexican Cantina Ltd? (2 marks)
Explain the legal principle which limits the personal liability of Julian as a shareholder of Mexican Cantina Ltd. Which legal case established this legal principle? (5 marks)
The maximum liability that Julian (David) is personally liable for as a shareholder of Mexican Cantina Ltd is limited to the amount he has invested in the company, which is $10,000 (10,000 shares at $1 per share). In other words, his liability is limited to the value of his shares.
The legal principle that is at play hereThe legal principle that limits the personal liability of Julian as a shareholder of Mexican Cantina Ltd is known as limited liability. This principle states that the liability of shareholders in a limited liability company is limited to the amount they have invested or agreed to contribute to the company.
The case that established this legal principle is known as Salomon v. Salomon & Co. Ltd. In this landmark case in 1897, the House of Lords (UK) ruled that a company is a separate legal entity from its shareholders. This means that the debts and liabilities of the company are not the personal debts and liabilities of its shareholders. The decision in this case confirmed the concept of limited liability and established it as a fundamental principle of company law.
The Salomon case set a precedent that has been followed by legal systems in various jurisdictions around the world. It provides a strong legal basis for shareholders to invest in companies without being personally liable for the company's debts and obligations beyond their shareholdings.
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In the communication process, decoding is the process of Multiple Choice removing anything that hampers effectiveness of the communication process. deciding what message to send to the original sender. translating a coded message back to its original form. translating a message into symbols or language. selecting an appropriate communication medium over which information can be effectively communicated Avoidance is ineffective as a conflict-resolution strategy because Multiple Choice it does not address the real source of disagreement. it escalates levels of conflict as each party tries to outmaneuver the other. the weaker party who gives in might look for ways to get back at the stronger party in the future. the two sides to a conflict are more concerned about winning the battle than cooperating It allows only one party to achieve its goals.
Decoding is the process of translating a coded message back to its original form in the communication process.
Avoidance is an ineffective conflict-resolution strategy as it doesn't address the real source of disagreement, escalates conflict levels, and allows only one party to achieve its goals.
Decoding is an essential component of the communication process as it involves understanding and interpreting the message sent by the sender.
It involves converting the message from its encoded form to its original form so that the receiver can comprehend it accurately.
Through decoding, the receiver ensures that there is no loss or distortion of information during the communication process.
Avoidance is a conflict-resolution strategy where individuals choose to ignore the issue or conflict at hand, hoping that it will resolve itself over time.
This approach is not effective because it doesn't address the underlying problem, and often leads to frustration, anxiety, and an increase in the intensity of the conflict.
Avoidance also allows the stronger party to achieve their objectives, while the weaker party will feel unheard, marginalized, and resentful.
Effective communication and conflict resolution strategies entail addressing and resolving the problem through mutual cooperation, understanding, and active listening.
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Network Goods: End of Chapter Problem Suppose that a new Harry Potter book is released, and fans line up for days to be the first to buy it. Are these fans core users or casual users in their demand for the new book? They are core users with inelastic demand. They are core users with elastic demand. They are casual users with inelastic demand. They are casual users with elastic demand.
Network goods refer to a kind of good that has a value that increases as the number of people using it increases. These types of goods often have a critical mass that must be achieved to achieve the full value of the good. For instance, a phone service is only useful if a large number of people use it.
Harry Potter fans who line up for days to be the first to buy the latest book are considered core users. They are the people who are most interested in the product, and their desire for it is unlikely to be affected by price. In other words, even if the price of the book were to increase, they would still buy it because they are so invested in the Harry Potter universe. As a result, their demand is inelastic. This type of demand is inelastic because the price change has a little impact on the demand for the good. The core users' response to the book's price change is not elastic, which means their demand is insensitive to price changes. As a result, their demand is said to be inelastic.
Harry Potter fans are considered core users with inelastic demand. Their demand is inelastic because their response to price changes is not elastic. In other words, even if the price of the book were to increase, they would still buy it because they are so invested in the Harry Potter universe. This type of good is known as a network good. It is a type of good that has a value that increases as the number of people using it increases.
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.Gregory Ltd uses the ageing of accounts receivable method for estimating doubtful debts. The balance of the Allowance for Doubtful Debts account on 1 July 2020 had a credit balance of $9,300. The company is registered for goods and services tax (GST). GST rate is 10%.
All transactions below relate to Gregory Ltd’s uncollectable accounts for the financial year ended 30 June 2021.
July 18
Wrote off the $495 account of B. Betty as uncollectable.
Oct. 19
Re-established the account of C. Casy and recorded the collection of $2,530 in full payment of his account, which had been written off previously.
Jan. 31
Received 20% of the $2,200 balance owed by D. Delois and wrote off the remainder as uncollectable.
June 30
The estimate of uncollectable accounts is based on an ageing of accounts receivable and $18,260 of the accounts receivable as at 30 June was estimated to be uncollectable.
Gregory Ltd has a receivable balance of $650,000 on the 30 June 2021. All Accounts Receivable figures are GST Inclusive.
REQUIRED:
Prepare journal entries for each of the transactions/events above. Narrations are not required for journal entries.
Show the Statement of Financial Position (Balance Sheet) extract for accounts receivable as at 30
The journal entries for each transaction/event are as follows:
July 18:
Bad Debts Expense $495
Allowance for Doubtful Debts $495
Oct. 19:
Allowance for Doubtful Debts $2,530
Accounts Receivable $2,530
Jan. 31:
Cash $440 ($2,200 x 20%)
Bad Debts Expense $1,760 ($2,200 x 80%)
Allowance for Doubtful Debts $2,200
June 30:
Allowance for Doubtful Debts $18,260
Accounts Receivable $18,260
Statement of Financial Position (Balance Sheet) extract for accounts receivable as at 30 June:
Accounts Receivable $650,000
Less: Allowance for Doubtful Debts $21,545 ($9,300 + $2,530 + $2,200 + $18,260)
Net Accounts Receivable $628,455
The net accounts receivable balance is calculated by subtracting the allowance for doubtful debts from the accounts receivable balance. This reflects the estimated amount that is expected to be collected after considering the potential uncollectable accounts.
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A first-responder, who goes to the scene of a traffic accident nearly every week, will tend to overestimated the probability of being in an accident, because she can think of many examples of accidents
a. Stereotyping
b. Representativeness
c. Intuition
d. Availability
The answer is d. Availability Explanation:The availability heuristic is a psychological tool that we use to assess how common or how likely something is. It is also known as the availability bias or the availability heuristic, and it is used in both social psychology and cognitive psychology.
In general, the availability heuristic works by relying on the information that is immediately available or easily accessible to us.In the question, the given situation is of a first responder who goes to the scene of a traffic accident almost every week and is expected to overestimate the probability of being in an accident. The reason behind this is that the person can easily recall the examples of accidents they have witnessed, which is an example of the availability heuristic.
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ay corporation's capital structure at december 31, year 1, was as follows: shares issued and outstanding common stock 200,000 nonconvertible preferred stock 50,000on october 1, year 2, fay issued a 10% stock dividend on its common stock, and paid $100,000 cash dividends on the preferred stock. net income for the year ended december 31, year 2, was $960,000. fay's year 2 earnings per common share should be a $3.91 b $4.10 c $4.36 d $4.68 show answer
Option (a) is the correct answer. $3.91 is the earnings per common share for Fay's year 2.
Given that on December 31, year 1, Ay Corporation's capital structure was as follows:
Shares issued and outstanding:
Common stock - 200,000
Nonconvertible preferred stock - 50,000
On October 1, year 2, Fay issued a 10% stock dividend on its common stock and paid $100,000 cash dividends on the preferred stock. Net income for the year ended December 31, year 2, was $960,000.
The first step to find out the earnings per common share is to find the total number of shares outstanding after the stock dividend.
Here, 10% stock dividend on common stock means the number of shares of common stock outstanding will increase by 10% after the dividend payment.
The increase in the number of shares of common stock outstanding = 10% × 200,000= 20,000
After the stock dividend, the total number of shares of common stock outstanding = 200,000 + 20,000 = 220,000
Therefore, the earnings per common share is given by:
Total earnings available to common stockholders/ Total number of shares of common stock outstanding
Earnings available to common stockholders = Net income – Preferred stock dividend paid= $960,000 - $100,000= $860,000
Therefore, Earnings per common share = (860,000 / 220,000) = $3.91
Hence, option (a) is the correct answer. $3.91 is the earnings per common share for Fay's year 2.
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A firm practices the pure chase strategy. Production last quarter was 1000. Demand over the next four quarters is estimated to be 900, 700, 1000, and 1000. Hiring cost is $20 per unit, and firing cost is $5 per unit. Over the next year, the sum of hiring and layoff costs will be
Hiring costs occur when the demand exceeds the previous quarter's production, while layoff costs occur when the demand is lower. By considering the hiring cost per unit and the layoff cost per unit, the total sum of hiring and layoff costs for the next year can be determined.
Using the pure chase strategy, the hiring and layoff costs can be calculated based on the estimated demand for the next four quarters. The production last quarter was 1000 units. Let's analyze the demand for each quarter and determine the adjustments required.
In the first quarter, the demand is 900 units, and the previous quarter's production was 1000 units. As the demand is lower than the previous production, there is no need for any layoffs, resulting in zero layoff costs.
In the second quarter, the demand is 700 units, and the previous quarter's production was 900 units. Therefore, 200 units need to be laid off, resulting in a layoff cost of $5 per unit. The total layoff cost for this quarter is $5 multiplied by 200 units, which amounts to $1000.
In the third quarter, the demand is 1000 units, and the previous quarter's production was 700 units. Hence, 300 units need to be hired, incurring a hiring cost of $20 per unit. The total hiring cost for this quarter is $20 multiplied by 300 units, which amounts to $6000.
In the fourth quarter, the demand is also 1000 units, and the previous quarter's production was 1000 units. No adjustments in workforce are required, resulting in zero hiring or layoff costs.
To determine the total sum of hiring and layoff costs for the next year, we sum up the costs incurred in each quarter. In this case, the total sum is $1000 (layoff cost in Q2) + $6000 (hiring cost in Q3) = $7000.
Therefore, the sum of hiring and layoff costs for the next year, considering the estimated demand and the pure chase strategy, is $7000.
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04)Rationalize and illustrate the political economy and strategic choice approaches
The political economy approach and the strategic choice approach are two distinct theories. The political economy approach believes that the state should control the economy, while the strategic choice approach emphasizes the importance of strategic planning and decision-making.
The political economy approach and the strategic choice approach to management are two distinct theories. The first approach, the political economy approach, is a theoretical framework that has its origins in Marxist economic theory. The second approach, the strategic choice approach, is a management approach that emphasizes the importance of strategic planning and decision-making. Below is an illustration of the political economy and strategic choice approaches.
Political economy approach
The political economy approach, which is based on Marxist economic theory, asserts that politics, economics, and society are interrelated. According to this approach, the state has the authority to control the economy and society. The state is the dominant actor in the political economy, and its decisions influence economic and social development.
In this model, political power determines economic power, and the state's decisions are shaped by its relationship with powerful economic actors such as large corporations. The political economy approach believes that the market system is inherently flawed and that government intervention is necessary to ensure that the economy functions in the best interests of the people.
Strategic choice approach
The strategic choice approach to management emphasizes the importance of strategic planning and decision-making. This approach asserts that organizations should identify their strengths and weaknesses and develop strategies that take advantage of their strengths while mitigating their weaknesses.
According to this model, managers are responsible for making strategic decisions that will allow the organization to achieve its goals. Strategic decision-making is based on a careful analysis of internal and external factors that affect the organization. The strategic choice approach believes that successful organizations are those that have the ability to adapt to changes in the environment and respond to new challenges.
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State Probability ABC, Inc.
Boom .25 .15
Normal .50 .08
Slowdown .15 .04
Recession .10 -.03
What is the expected return?
What is the variance?
What is the standard deviation?
Expected return is the weighted average of all possible returns, with the weights being the probability of each return. Expected Return is calculated as follows;
E(R) = (0.25*0.15) + (0.50*0.08) + (0.15*0.04) + (0.10*-0.03) = 0.12 or 12%.
Hence, the expected return is 12%.
b. VarianceVariance is the measure of the spread of the distribution, which gives the idea about the dispersion of returns of the distribution. It is calculated by finding the weighted average of the squared deviations from the expected return and is represented by σ2.
The variance is calculated as follows; Variance (σ2) = (0.25*(0.15-0.12)2) + (0.50*(0.08-0.12)2) + (0.15*(0.04-0.12)2) + (0.10*(-0.03-0.12)2)= 0.00214.
Hence, the variance is 0.00214.
c. Standard DeviationStandard deviation is the square root of the variance. It measures the deviation of the returns from the expected return. It is represented by σ.
The standard deviation is calculated as follows; Standard Deviation (σ) = √0.00214 = 0.046.
Hence, the standard deviation is 0.046.
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2. Al Raud Company is a leading company which produces home appliances. There are five products in the company’s product line. The company’s products are Air Conditioner, Fridge, Washing Machine, Vacuum Cleaner and Cooking range. For proper coordination and better customer services, the company has created five different departments; each department takes care of all the activities related with each type of product.
A) Identify and explain the type of organizational structure in Al Raud Company. (3 marks)
The type of organizational structure in Al Raud Company can be identified as a functional structure.
In a functional structure, an organization is divided into different departments based on specialized functions or activities. In this case, Al Raud Company has created five different departments, each responsible for a specific type of product: Air Conditioner, Fridge, Washing Machine, Vacuum Cleaner, and Cooking range.
The functional structure allows for efficient coordination and better customer service because each department focuses on its respective product line and can develop expertise and knowledge specific to that product. This structure promotes specialization and allows employees within each department to become experts in their area, leading to higher efficiency and effectiveness in dealing with product-related activities.
Each department in Al Raud Company is responsible for activities such as product design, production, marketing, sales, and customer support for their specific product. This division of labor allows employees to concentrate on their specialized tasks and enhances their ability to provide excellent service and support to customers.
Overall, the functional structure in Al Raud Company helps facilitate coordination, expertise development, and efficient management of product-related activities. It ensures that each product line receives dedicated attention and specialized expertise, ultimately contributing to better customer satisfaction and organizational success.
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Explain why financial managers must be concerned with taxation,
and list some of the most elements of the current tax law.
Please include reference(s) used to obtain answer.
Financial managers must be concerned with taxation because taxation significantly affects a company’s financial statements decision reporting. Companies must pay taxes on their income and are expected to comply with a range of tax laws and regulations, including federal, state, and local tax laws.
Taxation significantly affects how companies calculate profits and how much money they have to invest, spend, or save.Some of the most important elements of the current tax law are:Tax rates: the percentage of income that must be paid in Tax Standard deduction: a fixed dollar amount that reduces.
The amount of income that is subject to taxesItemized deductions: deductions that taxpayers can take for expenses like mortgage interest, charitable contributions, and medical expensesDepreciation: the tax benefit for businesses that allows them to reduce the value of assets over timeCorporate tax rates: the percentage of income that corporations must pay in taxesTax credits: reductions in tax liability for taxpayers who meet certain requirements for activities like education or energy savingsReference: Gitman, L. J., Juchau, R., Flanagan, J., & Pinto, J. (2015). Principles of managerial finance (7th ed.). Pearson Australia.
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Adjustment for supplies Obj 3 ✓a. $2.250 Answer each of the following independent questions concerning supplies and the adjustment for supplies. (a) The balance in the supplies account, before adjustment at the end of the year, is $3,175. What is the amount of the adjust- ment if the amount of supplies on hand at the end of the year is $925? (b) The supplies account has a balance of $600, and the supplies expense account has a balance of $1,850 at December 31, 2011. If 2011 was the first year of operations, what was the amount of supplies purchased during the year? E3-9 Adjustment for prepaid insurance Obj 3 The prepaid insurance account had a balance of $10,800 at the beginning of the year. The account was increased for $7,200 for premiums on policies purchased during the year. What is the adjustment required at the end of the year for each of the following independent situations: (a) the amount of unexpired insurance ap- plicable to future periods is $8,000, (b) the amount of insurance expired during the year is $12,675? For (a) and (b), indicate each account affected, whether the account is increased or decreased, and the amount of the increase or decrease. E3-10 The balance in the unearned fees account, before adjustment at the end of the Adjustment for unearned fees year, is $27,300. What is the adjustment if the amount of unearned fees at the Obj 3 end of the year is $14,650? Indicate each account affected, whether the account is increased or decreased, and the amount of the increase or decrease. E3-11 Adjustment for unearned For the year ending June 30, 2008, Microsoft Corporation reported short-term unearned revenue of $13,397 million. For the year ending June 30, 2008, Microsoft also reported total revenues of $60,420 million. (a) Assuming that revenue Obj 3 116 Chapter 3 Microsoft recognized $3,000 million of unearned revenue as revenue during the year, what entry for unearned revenue did Microsoft make during the year? Indicate each account affected, whether the account is increased or decreased, and the amount of the increase or decrease. (b) What percentage of total revenues is the short-term unearned revenue as of June 30, 2008? Round to one decimal place.
The price a company or organization pays to buy and keep the goods needed for its operations is referred to as a supply expense. Among the consumable products needed to support daily activities are office supplies, printer ink, cleaning agents, maintenance equipment, and other consumables.
(a) Adjustment for supplies Account Affected: Supplies, Supplies Expense Amount: Supplies: Decrease by $2,250; Supplies Expense: Increase by $2,250. Since the amount of supplies on hand at the end of the year is $925, the adjustment required is: $3,175 - $925 = $2,250.The adjustment for supplies will reduce the balance of the Supplies account and increase the Supplies Expense account by $2,250.
(b) The supplies account has a balance of $600, and the supplies expense account has a balance of $1,850 at December 31, 2011.The amount of supplies purchased during the year can be determined using the following formula: Beginning Balance + Purchases - Ending Balance = Supplies Used $600 + Purchases - $1,850 = Supplies Used Supplies Used = $750. The amount of supplies purchased during the year was $750.
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When a lessee makes periodic cash payments for an operating lease, which of the following accounts is increased?
a. Rent Expense
b. Leased Equipment
c. Capital Lease Obligation
d. Interest Expense
When a lessee makes periodic cash payments for an operating lease, the account that is increased is Rent Expense.
For an operating lease, the lessee makes periodic cash payments to the lessor as rent for using the leased asset. These cash payments are recorded as Rent Expense in the lessee's financial statements. Rent Expense represents the cost incurred by the lessee for using the leased asset during the lease period.
The other options mentioned in the question, Leased Equipment, Capital Lease Obligation, and Interest Expense, are related to different types of leases or financing arrangements. In an operating lease, the lessee does not record the leased asset (Leased Equipment) as an asset on its balance sheet. Similarly, Capital Lease Obligation and Interest Expense are associated with capital leases, which are different from operating leases.
Therefore, when a lessee makes periodic cash payments for an operating lease, the Rent Expense account is increased to reflect the cost of renting the asset during the lease period.
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Apple Inc offers teaching and gudance or how to use their products through their seal location, in ongegrig website to her cuoren about a pridact or so well as an ordine support The by Apps incef Oamer va Ob po & Moving to anumer question will save this response DEM SER EE
Apple Inc. offers teaching and guidance on how to use their products through their website.
They have a dedicated support page that offers information on how to use their products and services as well as how to troubleshoot common issues. Apple's support page offers various resources such as video tutorials, user manuals, and community forums, all of which help customers better understand their products.
Customers can also contact Apple support via phone, email, or live chat to receive personalized assistance.Apple's website serves as a one-stop-shop for all things Apple-related. Customers can browse the latest products and services, learn about the latest technology, and even buy products directly from the website. Apple's website is designed to be user-friendly and easy to navigate, making it easy for customers to find what they're looking for.
The website is updated regularly to reflect the latest products and services, ensuring that customers always have access to the most up-to-date information.To conclude, Apple's website serves as an excellent resource for customers looking to learn more about Apple's products and services. The website is designed to be user-friendly and easy to navigate, making it easy for customers to find what they're looking for.
Apple's commitment to customer support is evident in their dedication to providing customers with personalized assistance through their support page and customer service options.
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consider a household with a wealth endowment of $5 and a MB of consumption of $1.71, 1.53, 1.39, 1.29, 1.23 for the first, second… unit of consumption C, a firm faces MR at $1.6, 1.52, 1.42, 1.34 and 1.28 for the first, second… Unit of capital K in this market, if the interest rate is 41% then the demand for funds is___units and the supply of fun’s is ___ units.
Answers:
2,2
2,3
3,3
3,2
The correct answer is 3,2.
The demand for funds is 3 units, and the supply of funds is 2 units in this market.
In this scenario, the household has a wealth endowment of $5 and a marginal benefit (MB) of consumption for each unit ranging from $1.71 to $1.23. The firm faces a marginal revenue (MR) for each unit of capital ranging from $1.6 to $1.28.
The interest rate is 41%. To determine the demand for funds, we compare the MB of consumption to the interest rate. The household will demand funds until the MB of consumption equals the interest rate. This occurs at a consumption level of 3 units.
On the other hand, the supply of funds is determined by the firm's MR for each unit of capital. Since the MR is higher than the interest rate until the fourth unit, the firm will supply funds until it reaches 2 units of capital. Therefore, the demand for funds is 3 units, and the supply of funds is 2 units.
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the market for school teachers appears to be very competitive, but similar to nursing, many cities have only a few employers. most regions have one or two school districts that employ the majority of teachers. how can monopsony power within school districts contribute to lower wages?
a. many areas have few schools, so school districts can pay teachers lower wages knowing there are limited opportunities at other schools.
b. some areas have few schools, so unions can pay teachers lower wages knowing there are limited opportunities at other schools.
c. some areas have many schools, so school districts can pay teachers higher wages knowing there are limited opportunities at other schools.
d. school districts cannot pay efficiency wages due to union interference.
The correct answer is: option a. Many areas have few schools, so school districts can pay teachers lower wages knowing there are limited opportunities at other schools. In this way monopsony power contribute to lower wages.
In a monopsony market structure where there are only a few employers, such as school districts in many cities, the lack of competition gives the employer (school district) significant bargaining power over the employees (teachers). This monopsony power allows the school districts to pay lower wages to teachers because they know that there are limited job opportunities available at other schools in the area. Teachers may have fewer options for alternative employment, leading to less bargaining power and allowing school districts to offer lower wages.
Option b is incorrect because it mentions unions paying lower wages, but the scenario described does not mention unions having the power to set wages.
Option c is incorrect because having many schools in an area would create more competition among school districts, potentially leading to higher wages to attract and retain teachers.
Option d is not relevant to the given scenario and does not address the impact of monopsony power on wages.
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which of the following is not part of a feedback loop?group of answer choicesthe volume of secreted urine compared to the body water contentadapting the size of the ocular pupils to the intensity of the incoming lightstimulating the leg muscles to go for a walkthe secretion of digestive enzymes to break down food and nutrients
The following term is not a part of a feedback loop: Stimulating the leg muscles to go for a walk.
Feedback loop refers to the physiological mechanism by which the body maintains or regulates a normal range of function or stable internal environment, commonly known as homeostasis. This is achieved by monitoring and responding to changes in body parameters through a series of feedback mechanisms.
Feedback loops consist of three components: a receptor, a control center, and an effector.
A receptor is a structure that senses changes in the body and sends the information to the control center.
The control center processes the information and sends the output to the effector, which is a structure that produces a response.
In summary, feedback loops maintain homeostasis by maintaining a balance in the body's internal environment.
In the given options, the term, "stimulating the leg muscles to go for a walk" is not part of a feedback loop. Instead, it is an example of a voluntary action controlled by the central nervous system, which allows individuals to move or perform daily activities. The other options are all a part of feedback loops, which helps to regulate homeostasis.
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The current price of gold is $500 per ounce. Assume that you initiate a short position in 10 gold futures contracts at this price on June 10th. The initial margin is 100$ and the maintenance margin is 85$. Given that the evolution of gold prices Question 5 continues.../ Page 4 of 9 ..../Question 5 continued over the next five days is 475$, 510$, 515$, 530$ and 490$ respectively, compute the margin account assuming that you meet all margin calls. (Construct a table that explains what cash flows occur at the end of each day for the short position is taken).
The margin account assuming that you meet all margin calls is $500 on June 15th.
How to find?To calculate the margin account assuming that you meet all margin calls, the cash flows that occur at the end of each day for the short position should be calculated.
Here is a table that explains what cash flows occur at the end of each day for the short position taken:
Day Price Change Price Gain/Loss on 10.
Contracts, Initial Margin Amount Withdrawn/Added to the Margin Account, Balance
June 10th $500—-$0-$1,000 $1,000
June 11th $475-$25-$2,500-$1,500-$500
June 12th $510 $10+$1,000+$500-$500
June 13th $515 $15+$1,500+$500$0
June 14th $530 $30+$3,000+$1,000 $1,000
June 15th $490-$10-$1,000-$500 $500.
Thus, the margin account assuming that you meet all margin calls is $500 on June 15th.
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The facts of a case heard by the Supreme Court of Canada are as follows: Mr. and Mrs. H were induced to sign a mortgage in favor of M.C.R. Ltd. by Johnston, a man living with their daughter. Johnston led them to believe that the document was an unimportant amendment to an existing mortgage when, in reality, it was a second substantial mortgage on their home. Neither read the document nor questioned it. When the payments were in arrears, the mortgagee took an action for foreclosure (to take their home). Mr. and Mrs. H. pleaded non-est factum. Would this defense succeed? Why or why not? Explain your response.
The defense of non est factum is a legal doctrine that applies when a person signs a document without understanding its nature, character, or contents.
In the given case, Mr. and Mrs. H were induced by Johnston, a person living with their daughter, to sign a mortgage document. However, they were led to believe that the document was a minor amendment to an existing mortgage, when in reality, it was a second substantial mortgage on their home. They did not read or question the document.
Whether the defense of non est factum would succeed in this case depends on the specific laws and legal precedents in the jurisdiction where the case is being heard. Generally, for the defense to succeed, the following conditions need to be met: (1) the person must have made an honest mistake in signing the document, (2) the mistake must be reasonable in the circumstances, and (3) the person must have exercised reasonable care in relation to the document.
In this case, it could be argued that Mr. and Mrs. H made an honest mistake by relying on Johnston's misrepresentation of the document. However, whether their mistake is considered reasonable and whether they exercised reasonable care will depend on the specific facts and circumstances of the case, as well as the applicable legal standards and precedents.
Ultimately, a court would need to assess the evidence, evaluate the credibility of the parties involved, and apply the relevant legal principles to determine whether the defense of non est factum would succeed in this particular case.
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