The control environment is not a primary component of an internal control system.
What is internal control system?The integrity of financial reporting and regulatory compliance are ensured by the internal control system, which are accounting and auditing procedures utilized in a company's finance department. The internal control system controls ensures budgets are followed, policies are followed, capital shortages are discovered, and correct reports are provided for leadership. In addition to guaranteeing compliance with laws and regulations and preventing fraud, internal controls can help increase operational efficiency. Since the early 2000s accounting scandals, internal control systems have been elevated to a critical business function for every U.S. organization. To safeguard investors against dishonest accounting practices and enhance the precision and dependability of business disclosures, the Sarbanes-Oxley Act of 2002 was passed in their wake. Because managers are now liable for financial reporting and an audit, this has had a significant impact on corporate governance.
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what is a major difference between the securities act of 1933 and the securities exchange act of 1934?
The selling and registration of securities are governed under the 1933 Act. After issuance, trading in those securities is governed by the 1934 Act. The Securities Exchange Commission oversees both.
The Securities Act of 1933 was Congress's first shot in the fight against securities fraud. It differs from the Exchange Act of 1934 in that the former focuses on regulating securities issued by companies in what is known as the primary market, whereas the latter primarily deals with the regulation of secondary trading, which takes place between parties unrelated to the issuing companies. Congress mainly targeted the companies that issued securities. Companies that sell securities are known as issuers, and their goal is to raise capital to finance brand-new initiatives, investments, or business expansion. Potential investors must be attracted to these businesses.
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Which of the following is not a limitation of PERT and similar project-scheduling techniques?
They force the manager to organize and quantify information.
One or more important activities may be omitted from the network.
Precedence relationships may not all be correct as shown.
Time estimates may contain a "fudge factor." The use of a computer is essential for large projects.
They force the manager to organize and quantify information is not a limitation of PERT and similar project-scheduling techniques.
What are the PERT CPM activities' limitations?While the majority of respondents agreed that this tool can be very helpful, they also acknowledged that it has some drawbacks. For example, PERT/CPM can lose its effectiveness and become challenging to manage if it is not well-defined and stable for active control of a project. It also necessitates frequent updating and revision of calculations, which is time-consuming.
Your actions must be scheduled in a chronological order in accordance with the PERT approach. The analysis is a subjective procedure. As a result, the tool's cost and time estimates are inaccurate. The chart demands significant research and preparation before applying it.
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For a given population and a given quantity of labor employed, what will happen to aggregate production and income per capita if there is an increase in a nation’s capital stock?
An increase in a country's capital stock will result in a rise in aggregate production and income per capita for a given population and a given quantity of labor employed.
What is Per Capita Income?Per capita income is the amount of money that each person makes within a nation or geographic region. In order to calculate the average income per person in a region and to assess the population's level of living and quality of life, per capita income is used. The per capita income of a country is derived by dividing the national income by the population of the country.
Every person, including newborns, is included in the population when calculating per capita income. This contrasts with other popular measures of an area's prosperity like household income, which classifies all individuals living in a single home as a household, and family income, which classifies individuals living in a single home who are related to one another through birth, marriage, or adoption as a family.
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use goal seek to achieve a $0 balance by changing the ticket price per person.
You must have a formula in place that figures the amount based on the cost per person of the tickets in order to use Goal Seek to attain a balance of $0.
The ticket price that will result in a $0 balance can be found using the Goal Seek tool after you have that formula.
You need formulas for the total income, total expenses, and balance in order to generate a one-variable data table. You can then enter cell references to those formulas in cells F2, G2, and H2, respectively. The total revenue, total expenses, and balance for each value in the series will then be determined by the data table using the numbers in column E.
Once the data table has been produced, you can use it to rapidly evaluate how altering the per-person ticket price impacts the total revenue, total outlay of funds, and balance. This can assist you in choosing the best ticket price.
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a company incurred the following costs to complete a business combination in the current year: issuing debt securities $30,000 registering debt securities 25,000 legal fees 10,000 due diligence costs 1,000 what amount should be reported as current-year expenses, not subject to amortization?
Amortization is the process of lowering the value of a debt or an intangible asset.
Amortization plans are used by lenders, including financial institutions, to provide a loan payback timeline based on a specific maturity date. According to the GAAP matching principle, which relates the asset's value to the revenues it generates, intangibles were amortized (expensed) over time (GAAP). The amount owing by the borrower may increase rather than decrease if loan payments are less than the interest that has accumulated. This is known as a negative amortization. The majority of spreadsheet and accounting software packages offer capabilities for automatically calculating amortization. Direct acquisition-related costs, which include finder's fees, professional and advisory fees, and fundamental administrative costs, are written off as they are incurred. As a straight-line deduction from the debt's carrying amount on the balance sheet, debt issuance costs are then amortized over the debt's life.
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a shoe retailer allows customers to return shoes within 90 days of purchase. the company estimates that 5% of sales will be returned within the 90-day period. during the month, the company has sales of $200,000 and returns of sales made in prior months of $5,000. what amount should the company record as net sales revenue for new sales made during the month?
The company record as net sales revenue for new sales made during the month is $190000.
Net sales to be reported for new sales made during the month will be
=$200000- $10000 (5% of sales, i.e. 200000*5%)
= $190000
Net sales is the whole quantity of sales a commercial enterprise generates from income after accounting for reductions, purchaser returns, and other deductions. it's one of the top line metrics you may see at the earnings declaration of product-primarily based businesses, and it is typically measured over weekly, monthly or annual accounting intervals.
Net income is the sum of a organisation's gross sales minus its returns, allowances, and discounts. net sales calculations aren't usually obvious externally. they can frequently be factored into the reporting of pinnacle line revenues mentioned on the income announcement.
Net sales are used in comparative measures. A organization can compare their internet and gross sales to different companies inside the same field to catch issues early on earlier than they become economic burdens.
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the country of cedarland does not trade with any other country. its gdp is $17 billion. its government purchases $5 billion worth of goods and services each year and collects $6 billion in taxes. private saving in cedarland is $5 billion. for cedarland, investment is a. $7 billion and consumption is $6 billion. b. $6 billion and consumption is $6 billion. c. $6 billion and consumption is $7 billion. d. $7 billion and consumption is $7 billion.
Investment in Cedarland is $6 billion.
Consumption expenditure in Cedarland is $6 billion. Thus the correct option is option B.
The GDP of the country is $17 billion.
The tax revenue to the government is $6 billion.
The government purchases are equal to $5 billion.
Private saving is equal to $5 billion.
Thus, the government saving will be equal to
= Tax revenue - Government spending
= $6 billion - $5 billion
= $1 billion
The national saving is equal to
= Private saving of the country + Government saving
= $5 billion + $1 billion
= $6 billion
In a closed economy, we know that the national savings is equal to investment expenditure.
So investment expenditure in Cedarland is $6 billion.
In a closed economy the GDP is Consumption + Investment Expenditure + Government Expenditure.
$17 billion = C + I + G
$17 billion = C + $6 billion + $5 billion
C = $17 billion - $11 billion
C = $6 billion
Thus, the Consumption expenditure in Cedarland is $6 billion.
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ferry creek company's (fcc) march 31 bank statement balance was $142,000. as of march 31, outstanding checks total $44,800 and deposits in transit total $30,400. assuming there are no other reconciling items, what was the march 31 cash balance on fcc's books?
Assuming there are no other reconciling items, what was the march
= 97000-31400+46800 i.e 112400
In accounting, reconciliation is the system of making sure that two sets of records (usually the balances of accounts) are in settlement. Reconciliation is used to make certain that the money leaving an account matches the actual money spent. this is accomplished through making sure the balances healthy on the cease of a particular accounting length. the subsequent definitions are given through the Oxford Dictionary of Accounting. i) “A technique for confirming that the balance in a chequebook matches the corresponding bank announcement. this is usually done by means of preparing a bank reconciliation declaration. ii) A system for confirming the reliability of a business enterprise’s accounting statistics by way of frequently comparing [balances of transactions]. An account reconciliation can be organized on a day by day, monthly, or annual foundation.”
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In the second phase of construction, there is a horizontal plan for expansion, and when the time is right, additional operating rooms will be opened. How many ORs will this space accommodate?
In the second phase of construction, there is a horizontal plan for expansion, and when the time is right, additional operating rooms will be opened. This space will accommodate 6 ORs.
What is growth of horizontal integration?
A business approach known as "horizontal integration" involves one company expanding its operations within a certain industry at the same rate. Horizontal integrations assist businesses in increasing their size and revenue, entering new markets, diversifying their product lines, and lowering competition.
What distinguishes vertical expansion from horizontal expansion?
When a business expands by acquiring a rival firm in a related industry at the same point in the supply chain, this process is known as horizontal integration. Vertical integration is the process through which a company grows by purchasing a firm that comes before or after it in the supply chain.
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walmart has chosen to execute their business strategy of providing lots of goods at low prices this is an example of
Walmart executes their business strategy of providing lots of goods at low prices, known as ELDP.
What is ELDP?
Walmart is a well-known eCommerce company that uses an amazing concept to compete with other behemoths.
Over 11,700 stores and 270 million people are served by Walmart. Its key business plan is to "provide an outstanding experience with the slogan of EDLP (Every Day Low Prices)" while also "being competitive in terms of assortment, differentiating with the manner people access, leading in terms of pricing, and leading in terms of market share."
Walmart is renowned for its two primary commercial tenets:
1. Single-stop purchasing
2. Daily Low Price (DLP) or Everyday Low Cost (EDLP)
However, the conflict over same-day delivery has completely altered its corporate approach.
Everyday Low Price (EDLP), according to Walmart, is one of their core pledges to manage costs.
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compute the direct materials price and quantity variances and explain their significance. compute the direct labor rate and efficiency variances and explain their significance. compute the variable manufacturing overhead rate and efficiency variances and explain their significance.
Quantity variance is a measurement you can use to investigate the distinction between what you assume to use (general amount) and what you virtually use (real amount) in the production manner. trendy gadgets are estimates based totally on the bills for substances or components.
Rate variance is the real unit fee of an item less its standard fee, improved by the number of real units purchased. the usual fee for an item is its expected or budgeted fee-based totally on engineering or manufacturing records.
For example, if you finance for income to be $10,000 and real income is $8,000, variance analysis yields a distinction of $2,000. Variance evaluation is particularly powerful while you review the amount of variance on a trend line so that unexpected adjustments in the variance stage from month to month are greater conveniently apparent.
The charge of a great carrier in a marketplace determines the amount that clients demand. Assuming those non-fee elements are removed from the equation, a better fee affects in a lower amount demanded and a decreased fee affects in higher quantity demanded.
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the times interest earned ratio reflects: multiple choice the relation between income and assets. a company's profitability. a company's ability to pay its operating expenses on time. the relation between assets and liabilities. a company's ability to pay interest.
The times interest earned ratio reflects: A company's ability to pay interest.
What does Interest rate mean?
Interest rate is a fee charged for borrowing money that is usually expressed as a percentage of the amount borrowed. It is the cost of borrowing money and is usually paid on a monthly basis over the life of the loan. Interest rates are classified into three types: nominal interest rates, effective interest rates, and real interest rates.
What are Nominal Interest Rate?
The nominal interest rate is the interest rate before inflation is factored in. It is a percentage of the amount borrowed or lent that the borrower pays to the lender as a loan fee. It is usually expressed as a yearly percentage of the principal amount. The stated rate on which interest payments are calculated is simply the nominal interest of an investment or loan.
Therefore the option D. A company's ability to pay interest is the correct answer.
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assume there are two internet radio providers that operate in this market. if they are able to collude on the quantity of subscriptions that will be sold and on the price that will be charged for subscriptions, then their agreement will stipulate that a. each firm will charge a price of $20 and each firm will sell 3,000 subscriptions. b. each firm will charge a price of $40 and each firm will sell 1,500 subscriptions. c. each firm will charge a price of $32 and each firm will sell 2,000 subscriptions. d. each firm will charge a price of $40 and each firm will sell 3,000 subscriptions.
The agreement of two internet radio will stipulate that each firm will charge a price of $40 and each firm will sell 3,000 subscriptions.
What is the collusion?A non-competitive, covert, and occasionally unlawful agreement between competitors that aims to upset the market's equilibrium is known as collusion. The act of collusion involves individuals or businesses that would ordinarily compete with one another but who conspire to work together to obtain an unfair competitive advantage.
The term "collusion" describes arrangements, plots, or agreements amongst sellers to increase or fix prices and to decrease output in an effort to boost profits. When oligopoly companies make decisions together and behave as if they were one company, collusion has taken place. In order to limit output and reach the monopoly price, collaborating enterprises must have an agreement—either explicit or implicit—between them.
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The complete question is:
Quantity Price (per year)
0 $64
1,000 $56
2,000 $48
3,000 $40
4,000 $32
5,000 $24
6,000 $16
7,000 $ 8
8,000 $ 0
Refer the above table. Assume there are two internet radio providers that operate in this market. if they are able to collude on the quantity of subscriptions that will be sold and on the price that will be charged for subscriptions, then their agreement will stipulate that a. each firm will charge a price of $20 and each firm will sell 3,000 subscriptions. b. each firm will charge a price of $40 and each firm will sell 1,500 subscriptions. c. each firm will charge a price of $32 and each firm will sell 2,000 subscriptions. d. each firm will charge a price of $40 and each firm will sell 3,000 subscriptions.
when there is , businesses and consumers can spend and invest with confidence. as they spend and invest with confidence, more goods and services are produced and more workers are hired, which moves the economy toward employment.
Businesses and consumers can spend and invest with confidence is as they spend and invest with confidence.
Invest is put money into financial schemes, shares and property with the predicted and expectation of achieving a profit.
If consumers are very confident, they will buy lots of shares of a particular firm in terms of goods and services. In other words, they will spend a lot of money. However, If their confidence is low, they will spend less and save more.
If a business has low levels of confidence in the economy there will be lower levels of investment and so lower economic growth that leads company get less hired worker due to the revenue generate by the company.
In business confidence if uncertainty about the future can reduce confidence and means that firms may postpone their investment decisions until confidence returns.
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on january 1, 20y1, myner corporation purchased a used machine. myner paid $50,000 down and signed a noninterest-bearing note requiring $250,000 to be paid on 12/31/20y3. the fair value of the machine is not determinable. an interest rate of 8% properly reflects the time-value of money for this type of loan agreement. at what amount should myner record the acquisition of the machine (for rounding differences, choose the closest number)?
248250 is the amount myner should record the acquisition of the machine.
Present value factor of 8% at 3 yrs = (1/1.08)^3 = 0.793
=downpayment + present value of payment made at end of 3rd year 8 % interest factor
=50000+(250000* 0.793)
-50000+198250
=248250
A machine is a bodily machine using energy to apply forces and manipulate motion to carry out an motion. The time period is commonly implemented to artificial gadgets, which include those using engines or motors, but also to herbal biological macromolecules and molecular machines.
The machine is any device that makes paintings simpler. With the assist of machines we are able to do paintings through expending less energy and pressure. Our frame components act as machines. as an instance, our fingers can be notion of as a machine which may be used for lifting up objects easily.
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in business law, a lawyer’s primary job is to represent the client in contract litigation.
The statement is false , A lawyer's main responsibility in company law is not to represent the client in contract disputes.
He asserts that the enforcement of the parties' agreement is the main objective of contract law. A significant agreement must exist for there to be a contract, and the parties must have freely meant to be legally bound. Once a company contract has been established, both parties are free to depend on its terms and organize their company operations appropriately. A business person must understand when to keep things simple. A contract is any express or implied agreement that is enforceable under law.
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which method for monitoring a social brand captures mentions of brands across most social network sites and has a search engine that monitors over 100 platforms, allowing it to isolate relevant keywords in order to measure a brand's impact online?
The term "social mention" refers to the process of tracking mentions of brands across the majority of social networking platforms. It is able to extract relevant terms in order to quantify the influence that a brand has online because it has a search engine that monitors more than one hundred different platforms.
Social media posts that make a reference to your organisation or product are known as mentions, and they may be found on various social media platforms. This includes posts in which your business is referenced by name in the caption, as well as posts in which your brand is tagged.
If a social media user tags your company with the at symbol, they are likely doing so in an effort to get your company's attention. They are making untagged mentions of your brand, but they are not drawing your attention to the fact that they are doing so explicitly. They are talking about your brand. There is a possibility of both positive and negative social mentions occurring with each sort of social mention.
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Which of the following is not an example of a computer used as a target of crime? Illegally accessing stored electronic communication Accessing a computer system without authority Threatening to cause damage to a protected computer Knowingly accessing a protected computer to commit fraud Breaching the confidentiality of protected computerized data
The Answer is A. Illegally accessing stored electronic communication, computer Fraud used as a target of crime.
The principal legal tool for prosecuting online criminals is the Federal Computer Fraud and Abuse Act (CFAA), which imposes severe fines on violators. Unauthorized use of a computer to access federal or state secrets. Unauthorized access to a computer utilised for international trade and unauthorised use of the data. Unauthorized entry into a personal computer used by the US Government. Intentionally breaking into a computer that has been encrypted.
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With an interest-bearing note, the amount of assets received upon issue of the note is generally Select one: A. equal to the note's maturity value plus interest. B. greater than the note's face value. C. less than the note's face value. D. equal to the note's face value.
The correct answer is D) equal to the note's face value. When a note bears interest, the assets obtained at the time of issuance typically match the note's face value.
the process through which a government or bank prints a certain amount of fresh paper money and makes it usable: No law, not even the Federal Reserve Act, has ever specifically declared that the federal government has a monopoly on note issuance in the United States.
Our investment is backed by the underlying mortgage rather than the underlying property in a note-on-note transaction.
Because they reflect the value that a company is owed in promissory notes, notes receivable are considered an asset. Accounts Receivable vs. Accounts Payable is a subject that is closely related.
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As sports audiences transitioned from the old to new forms of communication, they became:
a. more willing to stay home and watch the game on television than attend a game in person
b. more fragmented and specialized
c. more male-oriented, especially in terms of advertising
d. more attached to traditional outlets such as newspaper and television
The correct response is A. more fragmented and specialized. The most common definition of fragmentation is the act of breaking or being separated into parts.
Fragmentation in urban sociology refers to a society's lack of or underdeveloped links with the grouping of some of its members. These ties could be based on shared interests, income level, occupation, nationality, race, or culture. The narcissist looks to be broken or discontinuous to those around them. Dissociative identity disorder has been related to pathological narcissism (formerly the Multiple Personality Disorder). The narcissist must have at least two selves by definition. He has a very simple and disorganized demeanour. Fragmentation is the breakdown of an organism into several pieces. Each piece grows into a unique person who is a replica of the original creature. Fragmentation is exhibited by annelid worms, sea stars, fungi, and plants.
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While virtually all time series exhibit a____ random component, not all time series exhibit other components.
The complete statement is "While virtually all-time series exhibit a random component, not all time series exhibit other components. "
What is a virtually all-time series exhibit?Generally, A time series is a collection of observations of discrete data points that are generated over the course of time by performing several measurements.
For the purposes of a time series, an example would be to compute the total amount of retail sales for each individual month of the year.
This is because the measurement of sales revenue is properly defined and done on a consistent basis at periods that are all the same distance apart. The data known as time series are distinguished from those that are gathered seldom or just once.
A time series observation may be broken down into three distinct components: the trend, which refers to the overall long-term direction; the seasonal, which refers to the systematic, calendar-related movements; and the irregular, which refers to the outliers.
A time series is a collection of data points that have been cataloged chronologically. This concept originates from the field of mathematics.
A time series is often defined as a sequence that was recorded at a number of different moments in time that is uniformly spaced out from one another.
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economy currently has an unemployment rate of 6%, inflation of 0%, and no expectation of future inflation. if the central bank decreases the money supply such that aggregate demand shifts to the left and unemployment rises to 8%, then inflation would:
The economy currently has an unemployment rate of 6%, inflation of 0%, and no expectation of future inflation. if the central bank decreases the money supply such that aggregate demand shifts to the left and unemployment rises to 8%, then inflation would: decrease to -2%.
A financial system is a system of inter-related manufacturing and intake sports that in the end decide the allocation of assets within a collection. The production and consumption of goods and offerings as an entire fulfill the wishes of these living and operating inside it.
There are three major kinds of economies: free marketplace, command, and mixed. The chart below compares loose-market and command economies; combined economies are a mixture of the two. people and groups make their very own economic decisions.
A prominent instance of a financial system is the traditional financial system that encompasses the customs and history of a country to manual production and distribution of products. conventional economies are on the whole primarily based on agriculture, fishing, and hunting.
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true or false: hyperinflation may cause stable currencies such as the u.s. dollar or the european euro to come into widespread use because a country might adopt a stable currency as its own official currency.
This is True. Hyperinflation may cause secure currencies such as the america greenback or the european euro to come into sizeable use because a usa might undertake a stable foreign money as its personal authentic currency.
What hyperinflation means?It refers to a situation where the expenditures of items and offerings upward jostle uncontrollably over a described length of time. In general, the term is used when the price of inflation will increase at greater than 50% a month. Typically, hyperinflation is prompted by a very rapid growth in the money supply.
Is hyperinflation Coming US?Not yet, at least. The Federal Reserve has carried out four rounds of quantitative easing due to the fact the international economic disaster in 2008, and the U.S. has yet to journey hyperinflation.
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https://brainly.com/question/29614998#SPJ4standards provide information for measuring performance. the purpose of using standards is to assess blame and responsibility. when actual results depart significantly from the standard, the reasons why should be investigated. standards are only used in managerial accounting. need help? review these concept resources.
When actual results depart significantly from the standard, the reasons why should be investigated and Standards provide information for measuring performance are the statements that are true.
By how much input should be used to create a good or deliver a service?Quantity Standards outline how much of an input must be used to produce a good or deliver a service. The amount that should be paid for each unit of the input is specified by price standards.
Should standards be used to determine who is to accountable for issues?Standards that are used to determine who is to blame for issues can engender animosity and lower morale. Standards shouldn't be used to assign responsibility for issues. A labor rate variance can be brought on by a number of variables besides the contractual wage rate given to employees.
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The fundamental goal of marketers when creating goods, services, or combinations of both, is to: defeat the competition. serve all consumers. operate according to government regulations. stimulate short-term sales. create value.
The fundamental goal of marketers when creating goods, services, or combinations of both, is to create value.
What is the fundamental goal of marketers?Marketers' primary objective when developing products, services, or hybrids of the two is to outperform the competitors. serve all clients. work in accordance with governmental rules, boost transient sales, adding worth. While generating income is marketing's primary objective, as opposed to other business units like sales or customer service, marketing accomplishes this goal in a distinctive way.
Awareness of brand and solution are known to the target market. Since they are truly working toward the same goal of marketing, increasing sale communication and cooperation between marketing and sales are essential. Sales close the deals after marketing has produced the leads. Increased conversions are what we mean when we say "raise sales" for this procedure.
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Cash flows from interest received on loans are reported in the statement of cash flows as part of Multiple Choice Investing activities. This is not reported in the statement of cash flows. Operating activities. Financing activities Noncash activities
Cash flows from interest received on loans are reported in the statement of cash flows as part of Operating activities. Thus, the correct option is 'C'.
In the case when there is a receipts of the interest from the investment securities held so the same would be shown in the operating activities section of the cash flow statement as the cash inflow as the cash is coming also it would be shown in the positive amount.
Operating activities are events and transactions that produce income for a business. They are the normal business transactions of producing or purchasing merchandise, selling goods, and services to customers. They also include business administration and selling expenses.
Some Examples of incomes from operating activities are:
1. Collection from accounts receivables
2. Lawsuit settlements receipts
3. Interest received
4. Cash dividends received
5. Cash sales
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In a profit center, the department manager has responsibility for and the authority to make decisions that affect
a. not only costs and revenues, but also assets invested in the center.
b. the assets invested in the center, but not costs and revenues.
c. both costs and revenues for the department or division.
d. costs and assets invested in the center, but not revenues.
The manager of a profit center is in charge of the subunit's revenue production. They are also in charge of paying the charges and expenses incurred by the subunit during regular company operations. As a result, the profit of the component belongs to the profit center manager.
A profit center is the area of an organization in charge of managing the company's income and expenses. An organizational division in charge of expenses, income, and asset investments is known as an investment center. Decisions on the investment of assets are made by investment center managers. Investment centers are frequently handled as independent companies. The organization's performance is ultimately the responsibility of the top managers, who frequently hold positions with high levels of public exposure. Most top managers in businesses have advanced through the management ranks, either within their own organization or in another one. They also have a wealth of managing experience.
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a company has sales of $150 million, cost of goods sold of $100 million, and a before tax profit of 8%. if purchasing was able to reduce the cost of goods sold by $5 million, how much additional sales would be required to achieve the same impact on profit?
$62.5 million of additional sales will be required to achieve the same profit, a company has sales of $150 million, cost of goods sold of $100 million, and a before tax profit of 8%.
We presume that a before tax profit of 8% means “before tax profit = 8% of Sales value”
When cost of goods sold is reduced by $ 5 million , profit will go up by equal amount i.e. $5 million
Based of above formula ,
8% of Increase in sales value = Increase in profit ( i.e. $ 5 million)
Hence , Increase in sales value = $ 5 million / 8% = $5/0.08 = $62.5 million, Profits generated prior to paying taxes are taken into account when calculating a company's profitability (PBT). It compares all of the company's costs, such as operational and interest costs, to its receipts but leaves out the payout of income. A metric called "profit before tax" examines a corporation's earnings before the company is required to pay corporate income tax. In essence, it is all of a company's profits before taking any taxes into account. Operating profit less interest appears on the income statement as profit before taxes.
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what is a diversified portfolio? what type of risk is reduced through diversification? how many securities are necessary to achieve this reduction in risk? what characteristics must these securities possess?
A risk-management tactic called diversification combines a wide range of investments into a portfolio.
How diversification helps to reduce risk?To reduce exposure to any one asset or risk, a diversified portfolio combines a variety of different asset classes and investment vehicles. The process of investing across various markets and subcategories within a single portfolio is known as risk diversification. This guarantees that other parts of the portfolio linked to various sectors can make up the loss even if some assets perform poorly.
To reduce market volatility, diversification includes distributing your investing funds among various asset classes. All equities (or stock) investments and the majority of fixed income (or bond) investments, for instance, are prone to market fluctuations.
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Match the following sourcing goals to the appropriate sourcing strategy If you want to create transportation economies, you would choose? ^ No Supplier If you wanted to obtain the most information, you would choose? Multiple Suppliers If you want to reduce the risk of a supply disruption, you would choose? Single Supplier If you want to develop strong supplier relationships, you would choose? < If your purchase volume is very small, you would choose?
Answer:
I'll give you 5:
If you want to create transportation economies, you would choose: Multiple SuppliersIf you want to obtain the most information, you would choose: Multiple SuppliersIf you want to reduce the risk of a supply disruption, you would choose: Single SupplierIf you want to develop strong supplier relationships, you would choose: Single SupplierIf your purchase volume is very small, you would choose: No Supplier