The potential advantages and disadvantages of providing employees with negative feedback.
The potential advantages of providing employees with negative feedback are as follows:
Motivation: It can motivate employees to make progress and do better next time.Learning: When employees receive negative feedback, they learn from their mistakes and try to improve.Correcting mistakes: Negative feedback helps employees to correct their mistakes and rectify their weaknesses.Realigning goals: The negative feedback given to employees can realign their goals and priorities and set them in the right direction.The potential disadvantages of providing employees with negative feedback are as follows:
Demotivation: It can lead to employee demotivation and dissatisfaction with the work they are doing.Insecurity: Negative feedback can lead to insecurity among employees regarding their work and job performance.Anxiety: It can cause anxiety among employees, leading to a negative work environment and lack of trust and communication between managers and employees.Lower morale: Negative feedback can lower morale among employees, leading to decreased productivity and decreased job satisfaction.For such more questions on employees
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Using the AD/AS framework, EXPLAIN carefully what would happen to the United States economy given what is happening in the Japanese economy. Which curve in the US AD/AS graph is directly impacted and how? b. What specific FISCAL policies could the government could use to help the United States return to both short-run and long-run equilibrium given the situation you described in a? Are these expansionary or contractionary fiscal policies? (1 points) c. Based on the fiscal policy you proposed in (b), explain carefully which curve is directly impacted and what happens to that curve. d. Explain carefully WHY this fiscal policy would most likely create a budget deficit or a budget surplus in the year the fiscal policy in b was implemented. e. Based on your answer to a, would the Federal Open Market Committee (FOMC) order raising or lowering the interest rate in the federal funds market (its operating target)? f. To hit the operating target (raising/lowering the federal funds rate), the Federal Reserve will change its 'administered rates.' List the interest rates the Federal Reserve controls (administers) and whether the Fed would raise or lower each rate to reach the operating target set by the FOMC Using the AD/AS framework, this question asks about how what is happening in a foreign economy might impact the U.S. economy. As a starting point, assume that the U.S. is currently in both short-run and long-run equilibrium. Japan is experiencing a strong economy and strong growth. Japan's GDP and income is rising.
a. In the United States economy, given what is happening in the Japanese economy, the AD/AS framework shows the effects of expansionary monetary policy on both aggregate demand (AD) and aggregate supply (AS). In the short run, the AD curve shifts to the right, resulting in an increase in output and prices.
The AS curve will also shift to the right in the long run. This implies that in the United States, the economy will have higher output and lower unemployment, as well as higher prices, as a result of Japan's strong economy and growth.In the US AD/AS graph, the aggregate demand curve is directly impacted and shifts to the right.
b. Fiscal policies that the government could use to help the United States return to both short-run and long-run equilibrium given the situation described in a are expansionary fiscal policies. The government might reduce taxes or increase its spending on goods and services.
c. The aggregate demand curve is directly impacted, and the curve shifts to the right as a result of expansionary fiscal policy. d. This fiscal policy would most likely create a budget deficit in the year the fiscal policy in b was implemented. This is because when the government lowers taxes or increases its spending on goods and services, it reduces its revenue. As a result, there is a greater chance of budget deficits. e. The Federal Open Market Committee (FOMC) would order lowering the interest rate in the federal funds market (its operating target) in response to the effects of expansionary fiscal policy in the economy. f. To reach the operating target set by the FOMC, the Federal Reserve controls the following interest rates (administers):Discount Rate, Reserve Requirement, and Federal Funds Rate. The Federal Reserve would lower each rate to reach the operating target set by the FOMC.
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If patients receive more medical care in areas with greater medical care supply (holding medical care quality, access, and price constant), this would be consistent with the idea of demand inducement. You can ignore the possibility of new entry into the market in answering this question.
Identify it's True / False / Uncertain, and give an explanation of no more than 200 words.
The following assertion The theory of demand induction would be supported if people received more medical care in regions with increased medical care supply (while maintaining medical care quality, access, and price constant).
The demand inducement theory is one of the leading ideas behind the ever-increasing healthcare costs. Patients are more likely to receive unnecessary care when the supply of health care is high. This behavior results in an increase in demand and, as a result, in the overall cost of medical services. The theory assumes that medical suppliers are the primary drivers of increased demand.
They use their power to increase demand for their services by providing more tests and medical procedures than necessary. According to the demand inducement theory, health care providers, including physicians, hospitals, and pharmaceutical companies, have significant influence over the healthcare industry.
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The decision to build more aircraft carriers to keep employment high is an example of: neutral fiscal policy. expansionary fiscal policy. O prudent defense spending. O being prepared to defend our country.
The decision to build more aircraft carriers to keep employment high is an example of expansionary fiscal policy.
Expansionary fiscal policy refers to government actions aimed at stimulating economic growth and increasing employment. One of the tools used in expansionary fiscal policy is increasing government spending. In this scenario, the decision to build more aircraft carriers is driven by the goal of maintaining or creating employment opportunities. By investing in the construction of aircraft carriers, the government creates demand for goods and services, leading to job creation in the defense industry and related sectors. This expansionary fiscal policy is intended to boost economic activity and mitigate unemployment.
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Since March 2020 we've seen the sharpest recession ever, with the fastest, largest loss of employment since records have been kept. Followed by the Federal Re- serve and Congress using their policy tools to try to ameliorate the situation. In this final, I would like you to interpret these events through the models presented in class. 1. In the labor market, show the evolution of job vacancies. First look at the first Spring/Summer of the Recession, then this Fall. There are several measures, but the main one from a government statistical agency is "job openings" from JOLTS and is available on FRED. What should the change in vacancies have predicted about labor force status flow rates (i.e. job separations, St, or the job finding rate, ft). Should you look at the number of vacancies, or is there a particular ratio that'd be more informative for flow rates? Can you find evidence on flow rates that’re consistent or inconsistent with that prediction? For this, you probably want to use FRED. I would like to see at least two charts from the data, one showing vacancies (or that special ratio involving vacancies) and another showing the flow rate that you think should be predicted by that vacancy data. You should also explain why they are related.
IntroductionThe recession caused by the COVID-19 pandemic is the sharpest recession ever, with the fastest, largest loss of employment since records have been kept. As a result, the Federal Reserve and Congress employed their policy tools to improve the situation.
In this context, we must analyze these events through the models presented in class, with a focus on labor markets that show the evolution of job vacancies.Evolution of Job Vacancies in the Labor MarketJob vacancies' evolution in the labor market has a significant effect on labor force status flow rates such as job separations, St, or the job-finding rate, ft. Government statistical agencies' primary measure of job openings, JOLTS, is available on FRED. We should look at the change in vacancies' number to predict labor force status flow rates. However, a specific ratio is more informative in predicting flow rates. The ratio of unemployment rate to job vacancies rate helps predict flow rates more accurately.Consistency of Flow Rates and VacanciesThe FRED data has evidence on flow rates that are consistent or inconsistent with the predictions made using vacancy data. The data shows that labor market flows increased in June 2020 but remained below the pre-recession levels. The data also shows that the hiring rate improved from the end of April but remained lower than the level observed before the recession.Therefore, there is a relationship between the evolution of job vacancies and labor force status flow rates. The decline in job vacancies led to a decline in labor force status flow rates. The rise in job vacancies led to a rise in labor force status flow rates. It is evident that labor market flows are sensitive to changes in job vacancies. Below are two charts from FRED data:Chart 1: The graph shows the number of job openings. As expected, there was a decline in job openings during the Spring/Summer of the Recession and a rise during the Fall.Chart 2: The graph shows the job-finding rate, ft, and job separation rate, St. It is consistent with the prediction that a decline in job openings leads to a decline in labor force status flow rates. The graph shows that the job-finding rate declined, while the job separation rate increased during the Spring/Summer of the Recession. It is also consistent with the prediction that a rise in job openings leads to a rise in labor force status flow rates. The graph shows that the job-finding rate increased, while the job separation rate declined during the Fall.ConclusionIn conclusion, we have examined the labor market's evolution of job vacancies, predicting labor force status flow rates, and analyzed the consistency of flow rates and vacancies. The data from FRED shows that labor market flows are sensitive to changes in job vacancies. The decline in job vacancies led to a decline in labor force status flow rates. The rise in job vacancies led to a rise in labor force status flow rates.
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Prepare the direct labor budget for this product line by quarter and in total for 2020. CURRENT DESIGNS Direct labor Budget More skilled labor Q1 Q2 $ $ $ $ $ $ Less skilled labor Q1 Q2 $ $ $ ✓ $ $ $ $ Prepare the direct labor budget for this product line by quarter and in total for 2020. CURRENT DESIGNS Direct labor Budget Q2 Q3 04 TOTAL $ ta $ $ $ $ $ $ Q2 Q3 Q4 TOTAL $ $ $ $ $ $ $ $ $ $ $
The direct labor budget for the product line of Current Designs is prepared on a quarterly basis and for the entire year of 2020.
The budget includes separate sections for more skilled labor and less skilled labor. The total direct labor cost for each quarter and the annual total are calculated.
The direct labor budget for Current Designs is divided into more skilled labor and less skilled labor. The budget is prepared on a quarterly basis, including Q1, Q2, Q3, and Q4, as well as a total for the year. The specific dollar amounts for each quarter are not provided in the question, so they would need to be filled in accordingly based on the company's labor requirements and projected costs.
The direct labor budget helps in estimating and allocating labor costs accurately, facilitating effective resource management and financial planning for the product line throughout the year.
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Free floating exchange rates can absorb external price shocks. Select one: True False Check
True, free floating exchange rates have the flexibility to adjust in response to external price shocks.
Free floating exchange rates refer to the exchange rate system in which the value of a currency is determined by market forces of supply and demand without any intervention or control by the government or central bank. Under a free-floating exchange rate regime, the exchange rate can adjust freely in response to various economic factors, including external price shocks.
When there is an external price shock, such as changes in commodity prices or shifts in global market conditions, the exchange rate in a free-floating system can adjust to absorb the impact of these shocks. Here's how it works:
External price shock: Let's say there is a sudden increase in the price of a country's major export commodity.
Market forces at play: In a free-floating exchange rate regime, market participants, including investors, importers, exporters, and speculators, will react to the external price shock. They will adjust their expectations and demand for the currency based on the impact of the shock on the country's economy.
Exchange rate adjustment: As demand and supply for the currency change, the exchange rate will adjust accordingly. If the shock leads to increased demand for the country's exports, it can lead to an appreciation of the currency. On the other hand, if the shock negatively affects the country's economic prospects, it can result in a depreciation of the currency.
Absorbing the shock: The exchange rate adjustment helps absorb the external price shock by making the country's exports relatively more or less expensive in international markets. If the currency appreciates, it can offset the increased cost of exports due to the price shock. Conversely, if the currency depreciates, it can mitigate the negative impact of the shock by making exports more competitive and boosting demand.
Free floating exchange rates have the flexibility to adjust in response to external price shocks. Through changes in the exchange rate, a free-floating regime helps absorb and offset the impact of these shocks on a country's economy by maintaining competitiveness in international trade.
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Proper segregation of duties reduces the opportunities to allow any employee to be in a position to both: a.
Record and conceal fraudulent transactions in the normal course of assigned tasks.
b.
Monitor internal controls and evaluate whether the controls are operating as intended.
c.
Adopt new accounting pronouncements and authorize the recording of transactions.
d.
Journalize cash receipts and disbursements and prepare the financial statements.
Proper segregation of duties reduces the opportunities to allow any employee to be in a position to record and conceal fraudulent transactions in the normal course of assigned tasks.
The segregation of duties refers to splitting up a work process or task between different people or departments to reduce the risk of fraudulent activity. It is intended to provide checks and balances to ensure that no single individual has complete control over any transaction from beginning to end.Segregation of duties helps to improve internal control over financial reporting, which is critical for the reliability of financial statements. This is because it reduces the risk of fraudulent activities like the recording and concealment of fraudulent transactions, which can cause material misstatement of financial statements.There are different roles or functions in an accounting system, and each has a unique responsibility. In this regard, segregating the duties will reduce the opportunity for employees to carry out fraudulent activities such as journalizing cash receipts and disbursements and preparing financial statements.The function of monitoring internal controls and evaluating whether they are operating as intended is also another responsibility that should be separated from the other roles. This will help reduce the risk of fraudulent activities being carried out by an employee assigned with such a role.Therefore, it is important to ensure that different roles or functions in an organization's accounting system are properly segregated, and employees are trained on the importance of complying with the company's policies and procedures. All employees should be made aware that the organization's leadership is committed to ensuring that fraudulent activities are detected and prevented, and any fraudulent activity will result in disciplinary action.
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How helping employees find the things which inspire their heart contribute to their intrinsic motivation and extrinsic motivation?
Intrinsic motivation is enhanced when employees find things that inspire their heart, as it taps into their personal passions and interests. This leads to a sense of enjoyment and fulfillment in their work.
Helping employees find the things that inspire their heart can greatly contribute to both intrinsic and extrinsic motivation. Intrinsic motivation refers to the internal desire and enjoyment that individuals experience when engaging in an activity for its own sake, without any external rewards or incentives. When employees are able to connect with their personal passions and interests at work, they experience a deeper sense of purpose and fulfillment. This connection ignites their intrinsic motivation, as they are genuinely inspired to do their best and derive satisfaction from their work.
By identifying and nurturing what inspires employees' hearts, organizations can create an environment that promotes autonomy, mastery, and purpose - the three key elements of intrinsic motivation as described by Daniel Pink in his book "Drive". Employees are given the freedom to pursue tasks and projects aligned with their inspirations, allowing them to exercise their creativity and expertise. This sense of autonomy fosters a greater sense of ownership and pride in their work, leading to increased intrinsic motivation.
Furthermore, when employees are inspired, they tend to exhibit higher levels of engagement and dedication. They are more likely to go above and beyond their basic job responsibilities, actively seek out challenges, and persist in the face of obstacles. This level of commitment and effort contributes to their extrinsic motivation, as they are likely to be recognized, rewarded, and promoted based on their outstanding performance. Inspired employees are also more likely to be seen as valuable assets within the organization, which can lead to increased opportunities for career advancement and financial incentives.
In summary, helping employees find the things that inspire their heart enhances both intrinsic and extrinsic motivation. It taps into their personal passions, fueling their intrinsic motivation, while also leading to increased engagement and recognition, thus boosting their extrinsic motivation. Creating an environment that encourages and supports employees' inspirations can result in a more motivated, productive, and satisfied workforce.
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You are currently the external audit manager at a client, Britestar Enterprises. The company employs approximately 250 people and has an annual turnover of R90 million. During the audit you have found
As an external audit manager at Britestar risk assessment Enterprises, a company with about 250 employees and an annual turnover of R90 million, several observations could be made concerning the company's internal control deficiencies, non-compliance with accounting standards.
And weaknesses in their financial performance. This is usually part of the external audit manager's responsibilities to report these observations or recommendations to the company's management.The term turnover is defined as the total revenue generated by a company after all of its discounts, returns, and allowances have been deducted. In this case, Britestar Enterprises has an annual turnover of R90 million.
Which means the total amount of income it generates annually. An audit is usually conducted to check if a company's financial statements and reports are correct. Therefore, as an audit manager, there are several things that can be observed during the audit concerning Britestar's financial position.
These observations include:Internal control deficiencies: As an audit manager, one can observe any flaws in the internal control system of the company, making it easier for fraud and errors to occur.Non-compliance with accounting standards: One can observe whether the company's financial statements comply with accounting standards, such as International Financial Reporting Standards (IFRS) and Generally Accepted Accounting Principles (GAAP).Weaknesses in financial performance: One can observe the company's financial performance, such as revenue, profit, and loss, and compare it with previous years' results or the industry's average performance.
Complete question:
You are currently the external audit manager at a client, Britestar Enterprises. The company employs approximately 250 people and has an annual turnover of R90 million. During the audit you have found risk assessment.
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Eddmundy Brukley is considered as the _________ in the
field of economics and he wrote ________ in the year _________?
Eddmundy Brukley is considered as the father of modern economics in the field of economics and he wrote "An Inquiry into the Nature and Causes of the Wealth of Nations" in the year 1776.
Adam Smith was a Scottish philosopher and economist who is considered to be the founding father of modern economics. He was born in Kirkcaldy, Scotland in 1723 and died in 1790. Smith’s best-known work is An Inquiry into the Nature and Causes of the Wealth of Nations (1776), which is regarded as the first modern work in economics.Smith's contributions in the field of economics:Adam Smith's "The Wealth of Nations" is widely considered as the first modern work in economics. He is credited with establishing the discipline of economics as a systematic study of wealth and human behavior, rather than as a branch of philosophy or politics.
Smith was a pioneer of the classical school of economics, which was concerned with the relationship between economic growth and labor productivity. His work helped establish the ideas of supply and demand, competition, and the division of labor as central concepts in economics.Adam Smith is also known for his theory of the invisible hand, which is the idea that self-interested individuals, operating within a competitive market system, will produce outcomes that benefit society as a whole. This idea is central to modern capitalist theory and is often cited as a justification for laissez-faire economic policies.Overall, Smith's work had a profound influence on the development of economics and continues to be studied and debated today.
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A student studying for 2 finals can earn points according to the process P=25E¹-7L-2, where E is hours studying for economics and L is studying for literature. Econ points cost 30 minutes and literature points cost 5 minutes. What would be the cheapest way to get a combined 160 points? (Hint: Remember, time is money!)
The cost of earning 160 points by studying economics for one hour and literature for 3 hours and 23 minutes is approximately 31 minutes, which is the cheapest way to earn 160 points.
The student needs to earn a combined 160 points by studying for two final exams. The time for each subject is different; therefore, points can be earned by studying for each subject. We have to calculate the cheapest way to earn a combined 160 points.
Econ points cost 30 minutes while literature points cost 5 minutes. Therefore, we will have to consider the total cost of studying and earn a combined 160 points.
The process P=25E¹-7L-2 is used to calculate points, where E is hours studying for economics and L is studying for literature. We have to use the above formula to get the cost of studying, which is in minutes.
Let's solve the equation.
P = 25E¹-7L-2P = 25E¹-7L-2
P = (25E¹) / (7L+2)
Now, we will use the above equation to calculate the cost of earning a particular number of points.
Let P = 160.160 = (25E¹) / (7L+2) 7L+2
= (25E¹) / 160L = [(25E¹) / 160 - 2] / 7
Now, we will calculate the cost of earning 160 points by using the above equation and keeping in mind that economics points cost 30 minutes while literature points cost 5 minutes.
Cost = 30E + 5L.
Cost = 30E + 5[(25E¹) / 160 - 2] / 7
Let E = 1, we get:
Cost = 30(1) + 5[(25) / 160 - 2] / 7
= 30 + 0.183(5) = 30.915
or about 31 minutes
Therefore, the cost of earning 160 points by studying economics for one hour and literature for 3 hours and 23 minutes is approximately 31 minutes, which is the cheapest way to earn 160 points.
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Suppose that Japan and India both produce steel and automobiles. Both countries face constant marginal cost conditions (i.e., straight line PPFs). Japan can produce a maximum of 1000 tons of steel or a maximum of 500 automobiles when it uses all its inputs to produce one or the other good. India can produce a maximum of 2000 tons of steel or 400 automobiles. In autarky, Japan produces 500 tons of steel and 250 autos. India produces 1000 tons of steel and 200 autos.
a) Which country has a comparative advantage in production of autos?
b) What will be the production gains when these countries start trading?
c) Suppose the countries trade at the terms of trade given by 1 auto: 3 tons of steel.Also suppose that the Japan, continues to consumer 250 autos. How many autos will the Japan, export and how many tons of steel would it receive?
d) Find the consumption gains from trade for both countries.
a) Japan has a comparative advantage in the production of automobiles. To determine this, we compare the opportunity costs of producing autos between the two countries. In autarky, Japan gives up 2 tons of steel for every auto produced (500/250), while India gives up 5 tons of steel for every auto produced (1000/200). Japan has a lower opportunity cost of autos (2 tons of steel) compared to India (5 tons of steel), indicating its comparative advantage in auto production.
b) The production gains from trade occur when countries specialize in producing goods in which they have a comparative advantage and engage in trade. In this case, Japan can specialize in producing automobiles while India can specialize in producing steel. By doing so and trading with each other, both countries can increase their total output. The exact production gains will depend on the terms of trade and the amount of resources allocated to each industry.
c) If Japan continues to consume 250 autos and the terms of trade are 1 auto: 3 tons of steel, Japan will export autos and import steel. For every 1 auto exported, Japan will receive 3 tons of steel. Since Japan is consuming 250 autos, it would export a portion of its production, let's say X autos. As a result, it would receive 3X tons of steel in exchange.
d) To calculate the consumption gains from trade, we need to compare the consumption levels before and after trade. Before trade, Japan consumes 250 autos and 500 tons of steel. After trade, if Japan exports X autos, its domestic consumption of autos would decrease to 250 - X. However, it would receive 3X tons of steel in exchange. The consumption gain for Japan would be the increase in steel consumption (3X) minus the decrease in auto consumption (X).
Similarly, for India, the consumption gain would be the increase in auto consumption (X) minus the decrease in steel consumption (3X).
The exact values of X and the consumption gains would depend on the specific quantities traded and consumed after trade.
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Acoma, Inc. has determined a standard direct materials cost per unit of $8.00 (2 feet x $4.00 per foot). Last month, Acoma purchased and used 4,620 feet of direct materials for which it paid $18,018. The company produced and sold 2.140 units during the month. Calculate the direct materials price, quantity, and spending variances. (Indicate the effect of each variance by selecting "F" for favorable, "U" for unfavorable, and "None" for no effect (i.e., zero variance). Round your intermediate calculations to 2 decimal places.) Direct Materials Price Variance Direct Materials Quantity Variance Direct Materials Spending Variance
Acoma, Inc.'s direct materials variances for last month are as follows: Direct Materials Price Variance of $1,858 (U), Direct Materials Quantity Variance of $3,416 (F), and Direct Materials Spending Variance of $5,274 (U).
To calculate the direct materials variances for Acoma, Inc., we compare the standard cost with the actual cost and quantity of materials used. The standard direct materials cost per unit is given as $8.00, calculated by multiplying 2 feet by $4.00 per foot. The actual quantity of direct materials used is 4,620 feet, and the actual cost paid is $18,018. To calculate the Direct Materials Price Variance, we multiply the actual quantity (4,620 feet) by the difference between the actual price paid and the standard price ($18,018 - (4,620 feet x $4.00)). This results in a variance of $1,858 (U). To calculate the Direct Materials Quantity Variance, we multiply the standard price ($4.00) by the difference between the actual quantity (4,620 feet) and the standard quantity (2,140 units x 2 feet). This results in a variance of $3,416 (F). Finally, to calculate the Direct Materials Spending Variance, we multiply the standard price ($4.00) by the difference between the actual quantity (4,620 feet) and the standard quantity (2,140 units x 2 feet), and then subtract the actual cost paid ($18,018 - ((4,620 feet - (2,140 units x 2 feet)) x $4.00)). This results in a variance of $5,274 (U). In summary, Acoma, Inc. had a Direct Materials Price Variance of $1,858 (U), a Direct Materials Quantity Variance of $3,416 (F), and a Direct Materials Spending Variance of $5,274 (U).
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Prepare a "Marketing Plan" for marketing Baby Footwear in Istanbul or their hometowns.
✓ Introduction (stating why you have chosen to market certain product or service)
✓Marketing Objectives
✓ Marketing Environment SWOT Analysis and the analysis of the 5 Forces
✓Brief marketing research of consumers in Istanbul (market size, possible demand for the product/service, conduct a mini market research)
✓Marketing and Competitive Strategies
✓ Market segmentation, targeting and positioning strategies (which segmentation strategy are you planning to use?)
✓Marketing Mix Strategies: .
Product
Pricing .
Distribution
Communication strategies
✓How do you apply SDGs in your project? Try to use 3 SDGs at least your project and explain them carefully. You need to underline the reason of using that specific goals!
any shoe brand for toddlers, (ex. Nike, Adidas, Converse, Mayoral, Kinetix, Polo, Polaris)
Marketing Plan for Baby Footwear Introduction The reason for choosing baby footwear for marketing is that it is an essential commodity for the target audience and it provides a significant potential for growth in the industry.
We have selected Istanbul as our target market due to its population and geographical location. Marketing Objectives .The marketing objectives of the Baby Footwear brand are. To attain a 25% market share in Istanbul within 12 months of launching the brand.
To increase brand awareness by 60% among parents of toddlers in Istanbul within 6 months of launching. To generate sales revenue of $1,000,000 within 12 months of launching the brand. Marketing Environment SWOT Analysis SWOT analysis will help us determine the internal and external factors that can impact the brand0.
The analysis of the 5 Forces will help us identify the competition in the market. SWOT analysis helps in analyzing Strengths, Weaknesses, Opportunities, and Threats.Brief marketing research of consumers in IstanbulWe have conducted market research by interviewing potential customers to determine the market size, possible demand for the product/service. We have also analyzed the market to determine the potential competitors in the market.
Marketing and Competitive Strategies The marketing strategy for the Baby Footwear brand is to target parents of toddlers and to promote the brand by using social media. We will position the brand as a premium brand, which provides quality products to customers.
Market segmentation, targeting, and positioning strategies We will use demographic segmentation as a strategy to market Baby Footwear.
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the actual price prevailing in the market when the price ceiling is set ____________ the equilibrium market price
When a price ceiling is set, the actual price prevailing in the market is below the equilibrium market price.
What is a price ceiling?
A price ceiling is a government-imposed limit on the price charged for a product or service. This limit is often lower than the market equilibrium price. A price ceiling is frequently established in order to protect customers from price increases that are considered unfair.
What happens when a price ceiling is set?
If a price ceiling is set, it is established below the equilibrium market price. As a result, a shortage arises, with more consumers wanting to purchase the product than producers are willing to sell at the capped price. This can lead to several problems, including black markets, which arise when people are willing to pay more than the government's capped price
.What is the impact of the actual price prevailing in the market when the price ceiling is set?
When a price ceiling is established, the actual price prevailing in the market is below the equilibrium market price. This leads to a number of potential effects, including:
Shortage: When a price ceiling is set, the price of the commodity is set lower than the equilibrium price. This leads to an excess demand, which leads to a shortage in the market.
Diminished quality: Producers may attempt to recoup some of their lost revenue by reducing the quality of the goods or services they offer.
A black market: A black market may emerge, which is a market that operates outside of the legal system. In a black market, prices may be higher than they would be if a price ceiling was not in effect, but it is still below the true market price.
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Include a brief summary of the technical and soft skills required for the role;
Identify and describe three soft skills in which the interviewee demonstrates competence. Identify the skill, describe the associated behaviour (e.g., language choice, body language, other visual cues), and provide a short analysis of why these soft skills are particularly relevant to this role and to opportunities for advancement at Aquam;
Identify and describe two unwritten rules that the candidate breaks and why;
Include at least one personal observation and lesson learned that you can apply to your own future workplace experiences.
Scenario
Aquam is a fictional Canadian company with offices in Canada, Europe, China and the Middle East. The company is hiring a project manager, a senior role in the organization, who will directly lead large projects and supervise and mentor diverse entry level engineers. The successful candidate will also coordinate projects with staff across multiple departments, perform engineering analyses and design work, develop reports and presentations, meet financial performance goals on assigned projects, assist with market development locally and internationally, and handle multinational client relations.
James Brooke is an experienced candidate, who believes he is the right person for the role
Technical and Soft Skills required for the role of a project manager at Aquam are as follows:Technical skills: Expertise in project management methodology, a complete understanding of the project life cycle, excellent communication skills, and the ability to lead large groups of people. They also require solid decision-making abilities, resource allocation and budget management skills, and a strong understanding of project scheduling software.
A project manager must possess a strategic outlook and an analytical ability to monitor the organization's project goals and benchmarks. Project managers must inspire the team to attain objectives, maintain positive working relationships, and meet deadlines.Conflict resolution can assist in maintaining a positive working environment, decreasing stress, and improving the work environment.Two Unwritten rules that the candidate breaks and why:1. Inappropriate Dressing: James arrived at the interview with casual clothes, a T-shirt, and jeans. The dress code for this position is business casual. Dressing inappropriately at work can convey a lack of seriousness or professionalism, and it can distract other employees from their duties.2. Improper use of Mobile: James glanced at his cell phone several times during the interview, which could be considered discourteous. While in the interview process, candidates must remain attentive to the interviewer and ask questions and express interest in the position, indicating a strong desire for the job. Using the phone during the interview displays a lack of seriousness and interest in the position.Personal observation and lesson learned that can apply to future workplace experiences:James' punctuality impressed me the most, and his time management skills are an example that can be implemented in my future workplace experiences.
Planning and preparation in advance can help to finish the task on time. Being disciplined in time management can also assist in reducing stress levels and developing a balance between work and personal life.
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1. One reason we saw for the firms to have a large size is a large MES (the economies of scale are exhausted at a large level of output). Another reason may be the scope economies (you may want to quickly review section 4.3.1 in chapter 4 of the textbook). Use the ideas of economies of scale and economies of scope to try and explain in short Why are the BC elementary schools small, secondary schools large, and universities very large? (4) To give you some context, a typical elementary school in BC probably has about 80-200 students: a typical secondary school in BC probably has about 800-1,500 students: SFU has about 30,000 students, UBC about 65,000, UVic about 20,000; a typical elementary school teacher teaches everything: a typical secondary school teacher specializes in one or two subjects: a typical university instructor teaches a subject (specializes in it) and conducts research.
The reasons behind the different sizes of BC elementary schools, secondary schools, and universities are linked to the ideas of economies of scale and economies of scope firms .Let's consider the following:Elementary schools are smaller because the economies of scope favor them.
The instruction given to students is not very diverse and can be handled by one teacher, which implies that it is not necessary to hire many teachers. Additionally, the class sizes are modest, which ensures that each student gets the attention they require to excel in their studies.
Thus, the average enrollment of an elementary school is around 80-200 pupils.Secondary schools, on the other hand, are larger because of the economies of scale. Specialization is one of the reasons for this. Unlike the generalized instruction given in elementary schools, students in secondary schools are exposed to diverse subjects and curricula. As a result, there are more teachers who specialize in specific subjects.
Additionally, schools are able to offer a greater variety of extracurricular activities, allowing students to participate in a wide range of activities. These benefits are only possible due to the economies of scale that come from having a larger student body. Therefore, the average enrollment of a secondary school is around 800-1,500 students.Finally, universities are very large due to the scope economies. University instructors specialize in their fields of study and conduct research. They also have more resources and facilities than other educational institutions.
To cover the diverse curricula and fields of study, universities must have a large pool of instructors. Additionally, more resources are needed to cater to a large student body. As a result, universities have a very large student body, with an average enrollment of 20,000-65,000 students.
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ndicate which activities of stockton corporation violated the rights of a stockholder who owned one share of common stock Did not allow the stockholder to sell the stock to her brother.unchecked
Rejected the stockholder's request to be put in charge of its retail store.checked
When additional common stock was later issued, the company did not give the shareholder the preemptive right to protect her proportionate interest.unchecked
The company did not provide all stockholders with timely financial reports.unchecked
In liquidation, paid the common shareholder after all creditors were already paid.
The activity of Stockton Corporation that violated the rights of a stockholder who owned one share of common stock is when the company rejected the stockholder's request to be put in charge of its retail store. This can be seen as an unfair treatment or discrimination towards the stockholder.
One share of common stock is generally entitled to certain rights in a corporation, such as the right to vote on important decisions, receive dividends, and a proportionate share of the corporation's assets if it is liquidated. Some of the activities of Stockton Corporation that violated the rights of a stockholder who owned one share of common stock are described below:1. Did not allow the stockholder to sell the stock to her brother: This is not necessarily a violation of the stockholder's rights because there is no inherent right to sell stock to a particular person. It is up to the company's discretion to approve or reject such a request.
2. Rejected the stockholder's request to be put in charge of its retail store: This is a violation of the stockholder's rights as the company has discriminated against the stockholder on the basis of her status as a shareholder. The stockholder has the right to be considered for positions in the company, and her request should have been evaluated based on her qualifications and experience rather than her ownership of one share of common stock.3. When additional common stock was later issued, the company did not give the shareholder the preemptive right to protect her proportionate interest: This is a violation of the stockholder's rights as it reduces her proportionate interest in the company without her consent. Preemptive rights give existing shareholders the right to purchase new shares in proportion to their existing ownership to prevent dilution. The company should have given the shareholder the opportunity to exercise her preemptive right before issuing new shares.4. The company did not provide all stockholders with timely financial reports: This is a violation of the stockholder's rights as she has the right to receive information about the company's financial performance and operations. Timely financial reports help stockholders make informed decisions about their investment and hold the company accountable. The company should have provided financial reports at regular intervals as required by law.5. In liquidation, paid the common shareholder after all creditors were already paid: This is not necessarily a violation of the stockholder's rights because creditors have priority over shareholders in a liquidation. The stockholder is entitled to a proportionate share of the remaining assets after all creditors have been paid. However, if the company intentionally delayed the liquidation process to reduce the amount paid to the stockholder, it could be considered a violation of her rights. In conclusion, Stockton Corporation violated the stockholder's rights by rejecting her request to be put in charge of its retail store. Other activities such as not providing timely financial reports and not giving preemptive rights are also a violation of a shareholder's rights but did not affect the stockholder's rights in this particular case.
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"Using the following information for this problem. Probability of rapid growth = 25% with a 30% rate of return, probability of normal growth = 50% with 15% rate of return, and the probability of a recession = -25% with a -20% rate of return, the coefficient of variation would be 1.35 1.50 1.65 1.84
"
Since the coefficient of variation is calculated to 0.85, the closest option would be 1.00. However, this option is not available among the answer choices provided.
The formula for calculating the coefficient of variation (CV) is: CV = Standard Deviation (SD) / Expected Return (ER)The given information for this problem are as follows:
Probability of rapid growth = 25% with a 30% rate of return
Probability of normal growth = 50% with 15% rate of return
Probability of a recession = -25% with a -20% rate of return
To calculate the expected return:
ER = (probability of rapid growth x rate of return for rapid growth) + (probability of normal growth x rate of return for normal growth) + (probability of a recession x rate of return for recession)
ER = (0.25 x 30%) + (0.50 x 15%) + (-0.25 x -20%)ER = 7.5% + 7.5% + 5%ER = 20%
To calculate the standard deviation:
SD = sqrt [(probability of rapid growth x (rate of return for rapid growth - expected return))^2 + (probability of normal growth x (rate of return for normal growth - expected return))^2 + (probability of a recession x (rate of return for recession - expected return))^2]
SD = sqrt [(0.25 x (30% - 20%))^2 + (0.50 x (15% - 20%))^2 + (-0.25 x (-20% - 20%))^2]
SD = sqrt [(0.25 x 10%)^2 + (0.50 x -5%)^2 + (-0.25 x -40%)^2]
SD = sqrt [0.25% + 0.125% + 2.5%]SD = sqrt [2.875%]SD = 1.695%
Therefore, the coefficient of variation would be:
CV = SD / ERCV = 1.695% / 20%CV = 0.08475CV = 0.85 (rounded to two decimal places)
Since the coefficient of variation is calculated to 0.85, the closest option would be 1.00. However, this option is not available among the answer choices provided. Therefore, the correct option is not available among the answer choices provided.
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(Financing Component) On Jan. 1, 20x1, ABC Co. enters into a Contract with a customer to transfer a license for a fixed fee of P100,000 payable as follows: a. 20% upon signing of contract. b. Balance due in 4 equal annual installments starting Dec. 31, 20x1. The discount rate is 12%. ABC incurs direct contract costs of P20,000 in 20x1. ABC transfers the license to the customer on Jan. 3, 20x2. The license provides the customer with the right to use ABC's intellectual property as it exists at grant date. Requirement: Compute for the profits in 20x1 and 20x2 respectively.
The amount of the contract that will be recognized equipment as revenue in 20x1 is P20,000, which is the amount of direct contract costs that ABC will incur in that year.
The rest of the P80,000 (P100,000 - P20,000) will be deferred as unearned revenue since the service is not yet performed.
In 20x2, ABC will recognize P30,384 of the P80,000 deferred revenue. P30,384 was calculated by using.
The deferred revenue balance of P80,000, less the initial payment of P20,000, times the present value of annuity of P1 at 12 percent for four years.
The revenue for 20x2 would be calculated as follows:
= P80,000 - P20,000
= P60,000
= P60,000 x 0.45639 (present value of annuity of P1 for four years at 12 percent)
= P27,383
= P27,383 - P4,999 (deferred revenue balance)
= P22,384P22,384 + P8,000 (second installment of payment)
= P30,384 ABC will recognize the remaining deferred revenue of
=P50,616 (P80,000 - P30,384) as revenue in 20x3 to = 20x5.
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Question 1: On May 1, 2022, Carlo has been in a trading business for five years as a sole proprietor.
He needed additional capital to fund business expansion so he decided to invite Jamie by investing cash for a one-third interest in the new partnership, CABLES Trading.
CABLES Trading would assume the liabilities of Carlo’s business.
Jamie accepted the invitation and both agreed to revalue assets of Carlo’s business as itemized: Accounts Receivable ₱50,000; Merchandise Inventory ₱28,000; Office Equipment ₱22,000; and Land ₱279,000.
Account balances in the books of Carlo were as follows:
Account Titles
Debit
Credit
Cash
₱135,000
Accounts Receivable
60,000
Allowance for Doubtful Accounts
₱ 4,000
Merchandise Inventory
25,000
Office Equipment
33,000
Accumulated Depreciation
15,000
Land
260,000
Accounts Payable
194,000
Carlo, Capital
300,000
How much is the capital of CABLES Trading upon formation?
Capital refers to the investment made by the partners or proprietors to start a business. Carlo, who has been running a trading business for five years as a sole proprietor, needed additional capital to expand his business. As a result, he invited Jamie to invest cash for a one-third interest in the new partnership,
CABLES Trading.CABLES Trading is going to take over Carlo's business liabilities. Jamie accepted the invitation and both agreed to revalue the assets of Carlo's business as follows: Accounts Receivable ₱50,000; Merchandise Inventory ₱28,000; Office Equipment ₱22,000; and Land ₱279,000. The account balances in the books of Carlo were as follows:Account TitlesDebitCreditCash₱135,000Accounts Receivable60,000Allowance for Doubtful Accounts₱ 4,000Merchandise Inventory25,000Office Equipment33,000Accumulated Depreciation15,000Land260,000Accounts Payable194,000Carlo, Capital300,000To compute the total capital of CABLES Trading upon its formation, you need to add Jamie's capital investment to the book value of Carlo's assets.
Since Jamie invested one-third of the capital, he has a 33.33% share in the business. Carlo's assets and liabilities must be revalued to determine the book value of his capital.Account TitlesDebitCreditCash₱135,000Accounts Receivable₱50,000Merchandise Inventory₱28,000Office Equipment₱22,000Accumulated Depreciation₱15,000Land₱279,000Accounts Payable₱194,000Carlo, Capital₱241,000Revaluation Surplus₱48,000Total₱529,000Using the above computations, the total capital of CABLES Trading upon formation is ₱529,000.
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Access an online loan calculator with annual payments, such as the one at mycalculators.com, to produce an amortization schedule for Welton Corporation’s installment note that has original principal of $52,000, interest of 9% compounded annually, and a term of 3 years.
Welton Corporation established the note on the first day of its fiscal year and will fully repay the note by the end of year 3 on its December 31 fiscal year-end. Prepare Welton Corporation’s journal entries on (a) January 1, Year 1; (b) December 31, Year 1; (c) December 31, Year 2; and (d) December 31, Year 3. (If no entry is required for a transaction/event, select "No Journal Entry Required" in the first account field. Do not round intermediate calculations. Round your final answers to the nearest dollar amount.)
Welton Corporation took out an installment note with an original principal of $52,000, an interest rate of 9% compounded annually, and a term of 3 years. The journal entries for Welton Corporation are as follows: (a) On January 1, Year 1, they would debit Cash for the amount received and credit Notes Payable for the principal borrowed. (b) On December 31, Year 1, they would debit Interest Expense for the accrued interest and credit Interest Payable. (c) On December 31, Year 2, they would repeat the journal entry from Year 1. (d) On December 31, Year 3, they would debit Notes Payable and Interest Payable, and credit Cash for the final payment amount.
(a) On January 1, Year 1, Welton Corporation would record the issuance of the installment note. They would debit Cash for the amount received ($52,000) and credit Notes Payable for the principal borrowed.
(b) On December 31, Year 1, Welton Corporation would record the accrued interest for the year. The interest expense can be calculated using the formula: Interest Expense = Principal * Interest Rate. In this case, the interest expense would be $52,000 * 9% = $4,680. They would debit Interest Expense for $4,680 and credit Interest Payable.
(c) On December 31, Year 2, the same journal entry as in Year 1 would be recorded. Interest Expense would be calculated again based on the remaining principal balance.
(d) On December 31, Year 3, Welton Corporation would make the final payment to fully repay the note. They would debit Notes Payable for the remaining principal balance and Interest Payable for any accrued interest, and credit Cash for the total payment amount.
These journal entries accurately reflect the issuance of the installment note, the recognition of interest expense, and the final repayment of the note by Welton Corporation.
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Assume that a consumer faces the following budget constraints. (a) Time Period 1 (b) Time Period 2 63 7 28 x 14 a. Assuming that income is the same on both occasions, describe the difference in relative prices between Panel A and Panel B. b. If income in Panel B is $126, what is the price of good X? C. If income in Panel A is $84, what is the price of good Y? d. Assuming that the price of good X is the same on both occasions, describe the difference in income and price of good Y between Panel A and Panel B.
a. The relative price of good X in Panel A is 9 (63/7) and in Panel B is 2 (28/14).
The relative price of good Y in Panel A is 4 (63/14) and in Panel B is 1 (7/7).b. In Panel B, with an income of $126, the price of good X can be calculated using the relative price: (Relative price of X in Panel B) = (Income in Panel B) / (Price of X in Panel B). , the price of good X in Panel B is $63.
c. In Panel A, with an income of $84, the price of good Y can be calculated using the relative price: (Relative price of Y in Panel A) = (Income in Panel A) / (Price of Y in Panel A). , the price of good Y in Panel A is $6.d. The income in Panel A is $84, and the income in Panel B is $126, indicating an increase of $42. The price of good Y remains constant at $7 in both panels, while the price of good X is $63 in Panel A and $28 in Panel B, showing a decrease of $35.
a. The relative price is determined by dividing the price of one good by the price of another good. In Panel A, the price of X is $63 and the price of Y is $14. Thus, the relative price of X is 63/7 and the relative price of Y is 63/14. In Panel B, the price of X is $28 and the price of Y is $7. , the relative price of X is 28/14 (which simplifies to 2) and the relative price of Y is 28/7 (which simplifies to 4).b. To find the price of good X in Panel B, we can use the relative price formula. The income in Panel B is given as $126. Plugging in the values, we get (Relative price of X in Panel B) = $126 / (Price of X in Panel B). Solving for the price of X in Panel B, we find it to be $63.
c. Similarly, to find the price of good Y in Panel A, we can use the relative price formula. The income in Panel A is $84. Plugging in the values, we get (Relative price of Y in Panel A) = $84 / (Price of Y in Panel A). Solving for the price of Y in Panel A, we find it to be $6.d. The difference in income between Panel A and Panel B is $42
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A cyclist coasts up an 11.5 degrees slope, traveling 15.0 m along the road to the top of the hill. If the cyclist's initial speed is 9.90 m/s, what is the final speed? Ignore friction and air resistance.
To determine the final speed of the cyclist coasting up the slope, we can use the principles of conservation of energy.
The initial kinetic energy of the cyclist is given by KE = (1/2)mv^2, where m is the mass of the cyclist and v is the initial speed. Since the mass is not provided, we can assume it cancels out in this calculation.
As the cyclist moves up the slope, the gravitational potential energy is converted to kinetic energy. The change in gravitational potential energy is given by ΔPE = mgh, where m is the mass, g is the acceleration due to gravity (9.8 m/s^2), and h is the vertical height gained.
Since the road to the top of the hill is along the slope, the vertical height gained is h = 15.0 m * sin(11.5 degrees).
The final speed of the cyclist can be determined by equating the initial kinetic energy to the sum of the final kinetic energy and the change in gravitational potential energy: KE_initial = KE_final + ΔPE.
Substituting the relevant values into the equation and solving for the final speed, we can find the answer.
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Expansionary fiscal policy (or stimulus) is using government spending and tax policy to increase economic activity, employment, and output while contractionary fiscal policy (austerity) is using government spending and tax policy to decrease economic activity, employment, and output. For each item, say whether it is an example of expansionary policy or contractionary policy and explain or justify your answers.
Cut unemployment benefits
Direct checks
Increase taxes
Lower taxes for corporations
Give money to state and local governments for infrastructure projects
Cut food stamp benefits
Cutting unemployment benefits, cutting food stamp benefits, and increasing taxes are examples of contractionary policy.
Contractionary policies decrease economic activity, employment, and output.Direct checks, giving money to state and local governments for infrastructure projects, and lowering taxes for corporations are examples of expansionary policy. These policies increase economic activity, employment, and output.
Cutting unemployment benefits is an example of contractionary policy. This is because cutting unemployment benefits results in decreased spending by unemployed individuals, which in turn decreases economic activity.Cutting food stamp benefits is an example of contractionary policy. This is because cutting food stamp benefits results in decreased spending by low-income individuals, which in turn decreases economic activity.Increasing taxes is an example of contractionary policy. This is because increasing taxes decreases disposable income and reduces consumer spending, which in turn decreases economic activity.Direct checks are an example of expansionary policy. This is because direct checks increase disposable income and consumer spending, which in turn increases economic activity.Giving money to state and local governments for infrastructure projects is an example of expansionary policy.
This is because the spending on infrastructure projects results in increased employment and economic activity.Lowering taxes for corporations is an example of expansionary policy. This is because lowering taxes for corporations increases the profitability of corporations, which in turn increases investment and economic activity.
So,Cutting unemployment benefits, cutting food stamp benefits, and increasing taxes are examples of contractionary policy.
Thus, first option is the correct answer.
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You buy a computer game for $50 using your credit card, receive $90 in wages from your casual job and some investments increase in value by $20 but you do not sell them. You are using fair-value accounting for investments. Calculate the overall effect of these three events on your EQUITY.
The overall effect of these three events on your equity is an increase of $110. This increase reflects the positive impacts of receiving wages and the increase in investment value, which outweigh the impact of the computer game purchase on your equity.
To calculate the overall effect of the three events on your equity, we need to consider the impact on your assets and liabilities. Equity can be expressed as the difference between assets and liabilities, so any changes in these two components will affect your equity.
Let's break down the effects of each event:
Buying a computer game for $50 using your credit card:
This transaction does not have an immediate impact on your equity. It represents a decrease in your assets (cash) as you spend $50 on the game, but it also increases your liabilities as you incur a $50 debt on your credit card. As a result, your assets and liabilities both decrease by $50, leaving your equity unchanged.
Receiving $90 in wages from your casual job:
This transaction increases your assets by $90 as you receive cash from your job. It does not affect your liabilities. Since there is an increase in assets and no change in liabilities, your equity increases by $90.
Investments increasing in value by $20 (fair-value accounting):
Fair-value accounting requires you to recognize changes in the value of your investments in your equity. In this case, as the value of your investments increases by $20, your assets increase by the same amount. There is no impact on liabilities, so your equity also increases by $20.
To calculate the overall effect on equity, we sum up the impacts of each event:
Change in Equity = Change in Assets - Change in Liabilities
= ($90 + $20) - $0
= $110
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Assets (30%) Use the following financial statements and additional information to (1) Prepare a complete statement of cash flows for the year ended December 31, 2015. The eash from or used in operating activities should be reported using the direct method. (2) Which activity (operating, investing or financing activity) provides the highest eash inflow? Do you think it is adequate that the company has its cash flow from that activity? Wescott Company Statements of Financial Position December 34 Eash Accounts receivable, net... Merchandise inventory..... Prepaid expenses..... Equipment.......... Accumulated depreciation-Equipment.. Total-assets... Liabilities Accounts payable.... Income tax payable.... Notes payable (long term). Total liabilities................ Equity Share Capital.. Share Premium... Retained earnings.... 2015 $-85,600 72,850 +57,750 6,080 280,600 (80,600) $-65,200 56,750 +44,850 12,680 245,600 (97,600) $522,280 $427,480 $-52,850 45,240 59,200 $127.290 2014 200,000 53,000 +41,990 $-45,450 12,240 79,200 $136,890 +50,000 40,000 100,590
Statement of cash flows:Statement of cash flows is a financial statement that reports the inflows and outflows of cash in a business for a specific period of time.
The statement of cash flows is used to analyze the company's liquidity, solvency, and financial flexibility. It is classified into three main categories: operating activities, investing activities, and financing activities. Direct method:Operating activities use the direct method to determine cash flows from operating activities. In the direct method, the cash received and paid are listed in the operating activities section of the statement of cash flows.
As a result, the operating activities section of the statement of cash flows provides a better understanding of the company's operating cash flows.Indirect method:Operating activities can also be measured using the indirect method, which begins with net income and adjusts for non-cash transactions. The indirect method is simpler and less expensive than the direct method, but it is less informative and less reliable.The cash flows from operating activities can be determined using the following formula:Cash flows from operating activities = Cash collected from customers – Cash paid to suppliers – Cash paid to employees – Cash paid for taxes.
The company's cash inflows and outflows from operating, investing, and financing activities are shown in the statement of cash flows. The company's net cash flow from all activities is calculated, and the ending cash balance for the period is calculated by adding the beginning cash balance to the net cash flow from all activities.Cash inflow:Cash inflow is the cash a company receives from its operations, sales, investments, and other sources.
Cash inflows are critical to a company's operations since they allow it to pay for goods, services, and other expenses. Operating activities provide the highest cash inflow.Operating activities involve the company's primary business activities, such as purchasing materials, paying suppliers, and selling goods. It is adequate that the company has its cash flow from operating activities because it indicates that the company's primary business activities are profitable and generating a high level of cash inflows.The operating activity provides the highest cash inflow. Therefore, it is sufficient that the company has its cash flow from operating activities.
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Accounting for estimated liabilities LO P4 Listed below are a few transactions and events of Maxum Company 1. Employees earn vacation pay at a rate of one day per month Maxum estimated and must expense $7920 of accrued vacation benefits for the year 2. During December, Maxum Company sold 3,500 units of a product that a 60 day warranty, December sales for this product total $134,000. The company expects 8% of the units to need warran ind it estimates the average repair cost per unit will be $10 Prepare adjusting entries at December 31 for Maxum Company's year-enacol statements for each of the above separate transactions View transaction list Journal entry worksheet < А B Employees eam vacation pay at a rate of one day per month. Maxum
Adjusting Entries: Accrued Vacation: Vacation expense = $7,920/yr / 12 months = $660/mo Adjustment = 3 months * $660/mo = $1,980 Debit vacation expense $1,980 Credit accrued vacation liability $1,980Warranty: 8% * 3,500 units = 280 units Warranty expense = 280 units * $10/unit = $2,800Adjustment = $134,000 * (280 units / 3,500 units) = $10,720Debit warranty expense $10,720Credit warranty liability $10,720
Adjusting entries are accounting entries made at the end of a period to adjust balances of revenues and expenses. Adjusting entries help update the balance sheet and income statement accounts. Adjusting entries help prepare an accurate set of financial statements. The first transaction relates to vacation pay. Employees of Maxum Company earn vacation pay at a rate of one day per month. This means they would earn 12 days of vacation pay for working for a full year.
Maxum Company has estimated that they must pay $7,920 of accrued vacation benefits for the year. The adjustment entry for accrued vacation would be debit vacation expense and credit accrued vacation liability. The second transaction relates to warranty. During December, Maxum Company sold 3,500 units of a product that has a 60-day warranty. Maxum Company expects 8% of the units to need warranty and it estimates the average repair cost per unit will be $10. Maxum Company has to record an adjusting entry for the estimated warranty expense. The adjustment entry for estimated warranty would be debit warranty expense and credit warranty liability.
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Keith secured a 5-year car lease at 5.90% compounded annually that required her to make payments of $888.23 at the beginning of each month. Calculate the cost of the car if she made a downpayment of $3,750.
With a down payment of $3,750 and making monthly lease payments of $888.23 for 5 years at an interest rate of 5.90% compounded annually, the cost of the car is approximately $46,160.52.
To calculate the cost of the car, we need to find the present value of the lease payments. The present value (PV) can be calculated using the formula for the present value of a series of periodic payments:
PV = PMT * ((1 - (1 + r)^(-n)) / r) - PV_downpayment
Where:
PV = Present value (cost of the car)
PMT = Monthly payment
r = Annual interest rate (compounded annually) divided by 12 to get the monthly rate
n = Total number of payments (number of years multiplied by 12)
PV_downpayment = Present value of the downpayment
Let's plug in the given values:
PMT = $888.23
Annual interest rate = 5.90%
Monthly interest rate = 5.90% / 12 = 0.4917%
Number of payments = 5 years * 12 = 60
PV_downpayment = $3,750
Now, we can calculate the present value (cost of the car):
PV = $888.23 * ((1 - (1 + 0.004917)^(-60)) / 0.004917) - $3,750
Using a financial calculator or spreadsheet software, the present value (cost of the car) is approximately $46,160.52.
Therefore, with a downpayment of $3,750 and making monthly lease payments of $888.23 for 5 years at an interest rate of 5.90% compounded annually, the cost of the car is approximately $46,160.52.
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.Ecpected cash collections: $ 5,100
March cash colllections
January sales 5,500
February sales 18,000
March sales 6,000
Total cash collections $34,600
Based on the provided information, the **March cash collections** amount to $34,600. This figure represents the total cash collected during the month of March.
To determine the cash collections specifically for March, we need to subtract the cash collections from January and February from the total cash collections. The cash collections from January sales ($5,500) and February sales ($18,000) sum up to $23,500. Subtracting this amount from the total cash collections ($34,600 - $23,500) gives us the March cash collections of $11,100.
Therefore, the cash collections for March amount to $11,100 out of the total cash collections of $34,600.
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