1) a formal statement that defines how an organization expects and requires employees to resolve ethical questions is a(n) . a) securities and exchange commission (sec) b) occupational safety and health administration (osha) c) false claims act d)product liability e) code of conduct

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Answer 1

A formal statement that defines how an organization expects and requires employees to resolve ethical questions Code of conduct.

Which of the following laws mandates that employers maintain a workplace that poses no risk to the health and safety of their workers?

To avoid worker fatalities or other workplace harms, the Occupational Safety and Health Act of 1970 (OSH Act) was created. Employers must ensure that the working environment is free of known risks for their employees in order to comply with the law.

Is it ethical for an employee to tell company officials, government officials, or the media about their employer's illegal, immoral, or unethical practices?

An individual who discloses information about activity inside a private or public organization that is thought to be illegal, immoral, illicit, unsafe, or fraudulent is known as a whistleblower (also written as whistle-blower or whistle blower).  This individual is frequently an employee.

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why do firms outsource project work? a different firm can do the work better. a different firm can do the work for lower cost. a different firm can use the outsourcing firm's people more effectively. the outsourcing firm has the technology and resources.

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Firms outsource project work because outsourcing different firms can do the work better than the firm itself.

Outsourcing is a practice of the business of hiring a company or firm outside the firm itself in order to work on certain services or goods needed by the company for its smooth conduction of production or servicing. Outsourcing is generally done for IT (Information Technology) sectors, Calling centers, Ed-tech companies, and so on.

For instance, X company's core job is to produce and manufacture phones, now after selling that phone to customers, if customers found anything wrong or on cost, he/she cannot call to direct manufacturer, so, in order to hear the customer's queries - X company has to outsource another Y company which is expert in giving customer services 24/7 and solve customer's queries because Y firm can do the work better than the core firm X.

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positioning strategy is concerned with , , and distinctive differences?

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Positioning strategy is therefore concerned with choosing, creating, and communicating distinctive differences that will be noticed and valued by those customers with whom the firm would most like to develop a long-term relationship.

There are four essential sorts of positioning strategy: competitive positioning, product positioning, situational positioning, and perceptual positioning.

There are 8 varieties of product positioning primarily based on distinctive components of the product. Those may be based totally upon; excellent, variety, overall performance, performance, aesthetic, reliability, sustainability, and DIY.

Positioning refers to the capacity to persuade patron notion of a brand or product. The goal of positioning in marketing is to establish the photograph or identification of a logo or product in order that consumers to perceive it in a certain way.

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on april 1, 2022, aggie company borrowed $120,000 on a bank note for 7 months. the bank discounted the note at 4%. the entry to record the payment of this note on october 31, 2022 would include a

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$8400 will be recorded as the entry of cost of interest .

What is a cost of interest?

Interest expenditure is the cost a company pays for borrowing money. Interest expense in the income statement is a non-operating item. The term refers to the interest owed on all outstanding borrowings, including bonds, loans, convertible debt, and credit lines. In essence, it is determined by multiplying the interest rate by the debt's outstanding principal. Instead of the amount of interest paid over the reporting period, interest expense on the income statement shows interest accrued during that time. While interest costs are tax deductible for businesses, they may not be in the case of an individual, depending on their jurisdiction and the purpose of the loan.

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bob, a senior production manager at an it firm, is required to prepare a report about a newly implemented production workflow. the report should consist of the differences between the new and the old workflow, the advantages of the new workflow over the previous workflow, and the effectiveness of the new workflow in improving production. which organizing principle should bob use in his report to structure data clearly and concisely? a.) cause and effect b.) classification c.) definition d.) compariso

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Bob should utilize comparison as the organizing principle in his report to organize the material simply and succinctly.

What constitutes the fundamental organizing idea?

An organizing principle is a fundamental presumption from which everything else can infer a classification or value based on its closeness. It is frequently utilized in conceptual frameworks as something like to a core reference point that makes it possible to locate all other items.

What does comparison mean as the organizing principle?

The comparison organizing principle states that after describing a product, an argument on one side of an issue, or a potential route of action, the writer compares it to another product, argument, or potential course of action.

Alphabetical ordering (arranging materials according to their names) and chronological ordering are more detailed and widely utilized organizing methods (resources can be arranged according to the date of creation or another significant occasion in their existence.).

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in what sense is a reinvestment rate assumption embodied in the npv, irr, and mirr? what is the assumed reinvestment rate of each method?

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The return an investor anticipates receiving after reinvested investment cash flows is known as the reinvestment rate. The projected profit the investor expects to gain on the reinvestment of their money is represented by the return, which is given as a percentage.

How do the NPV and IRR algorithms incorporate a reinvestment rate assumption?

Reinvestment won't affect the project's NPV because there is no reinvestment rate assumption in NPV. Reinvestment rate assumption is taken into account by IRR. The IRR makes the assumption that the business will reinvest cash inflows at the rate of return over the project's lifespan.

What is the NPV method's reinvestment rate assumption?

Reinvestment won't affect the project's NPV because there is no reinvestment rate assumption in NPV. Reinvestment rate assumption is taken into account by IRR. The IRR makes the assumption that the business will reinvest cash inflows at the rate of return over the project's lifespan.

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a(n) profit simply indicates that the firm is doing just as well as it would have if it had chosen to use its resources to produce a different product or to compete in a different industry.

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A normal profit simply means that the business is performing as well as it would have if it had used its resources to manufacture a different product or enter a different market.

In order for a business to be justified, it must have a normal profit, which happens when all revenues and expenses are equal. It comprises the potential costs of passing up the next best option as well as the implicit and explicit prices.

When the revenue realized equals the sum of the explicit and implicit costs, or when the economic profit equals zero, normal profit occurs.

The company is in a state of normal profit if its total revenue equals its total costs, which indicates that its economic profit is equal to zero. For instance, a business that spends $200,000 annually on expenses needs to generate $200,000 in revenue in order to turn a typical profit.

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New york theater purchased the copyright of a famous play for $42,000. The remaining legal life of the copyright was 62 years, but the estimated useful life was 15 years. If the new york theater uses straight-line amortization, how much of the cost of the copyright should they amortize each year?.

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They should amortize 2,800$ per year with its useful life of 15 years versus the amount of copyright which is 42,000$.

What does copyright actually mean?

Copyright, a kind of intellectual property, protects original works of authorship as soon as the author fixes the work in a tangible form of expression. Copyright does not protect ideas, systems, or methods of doing something.

Is it required to register a copyright?

Most of the time, when you generate your original work, copyright is promptly applied to it. To prove your ownership of the protected work in court, you can utilize the certificate of registration you obtain when registering your copyright.

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a debtor borrowed $350,000 to finance the purchase of a house, and the bank recorded its interest on july 1. on july 15, the debtor bought $10,000 worth of replacement windows from window co.; window co. recorded its purchase-money security interest that day, and the windows were installed. four years later, the debtor, in hard financial times, declared bankruptcy. as between the bank and windows co., who will get paid first?

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In our situation, the Bank has the first priority because it has the legal authority to hold first mortgages. Bank will therefore be paid first.

What is a priority?

The general rule regarding priority states that the first lender's interest takes precedence over the interests of subsequent lenders, so the first lender's obligations are always paid in full if the property is sold. There are, however, some exceptions. In the event of bankruptcy, creditors can go to court and request that a public official conduct a judicial sale. power of sale refers to this. If the sale proceeds are more than the debt, the remaining money is given to the holders of the second and third mortgages, or junior mortgagees.

A bank is a type of financial institution that offers loans, creates demand deposits from public deposits, and accepts deposits from the general public. The bank can carry out lending operations directly or indirectly via capital markets.

Most jurisdictions regulate banks heavily because they are crucial to both the financial stability and the economy of a nation. A system known as fractional reserve banking, in which banks hold liquid assets equal to only a portion of their current liabilities, has been institutionalized in the majority of nations. Banks are typically required to maintain a minimum level of capital based on the Basel Accords, an international set of capital standards, in addition to other regulations aimed at ensuring liquidity.

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Toyota is a well-known manufacturer of cars, trucks, and suvs. Toyota dealers also provide service and financing to their customers. These products and services are part of toyota’s product.

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Toyota is a well-known manufacturer of cars, trucks, and SUVs and Toyota dealers also provide service and financing to their customers, these products and services are part of Toyota’s product mix.

What is a product?

A product can be defined as any physical object (tangible item) that is typically produced by a business firm (manufacturer or producer) in order to satisfy and meet the demands, needs or wants of every of his or her customer.

What is a product mix?

A product mix is also referred to as product assortment or product portfolio and it can be defined as the total number of complete product lines and services that are being offered by a business organization (company or firm).

In this context, we can reasonably infer and logically deduce that all of the aforementioned products and services are part of Toyota’s product mix.

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we choose one product over another because we believe one choice to have more positive consequences for us than an alternate product. this is based on

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This is based on expectancy theory when we choose one product over another because we believe one choice to have more positive consequences for us than an alternate product.

When a corporation does not deliver what a customer expects, the customer is less satisfied. They could be happier than they would be if they had high hopes and were let down than they would be if they had low expectations of a corporation and are pleasantly pleased. According to the expectation confirmation theory, pre-buy or pre-adoption expectations have a direct impact on how people perceive their performance, which in turn has a direct impact on how people confirm their beliefs and how satisfied they are after making a purchase or adopting a child.

According to Expectancy Theory, "positive incentives" influence customer decisions. Consumers have a more satisfying outcome—such as a higher social status—when they choose a particular product over any other.

 

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Determine how the equilibrium price and equilibrium quantity in the market for coffee changes.

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Quantity will fall and pricing will rise. According to the scenario, when coffee-bean pickers' wages rise, so will the equilibrium price of the beverage.

It lowers the equilibrium quantity and raises the equilibrium price of coffee. The cost of producing the good goes up when taxes are levied on commodities or services.

If coffee's price drops, the demand curve for tea would move to the left. Therefore, new equilibrium would signify a decrease in both equilibrium quantity and equilibrium price. Farmers produce more because the price is high, increasing the supply. However, the additional supply on the market causes price pressure during the subsequent periods of constant demand.

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based on the following data, what is the cost of the land? land purchase price $174,350 broker's commission 16,953 payment for demolition and removal of existing building 4,576 cash received from sale of materials salvaged from demolished building 1,907

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The cost of the land, based on the land purchase price, the broker commission, and the demolition cost, is $195, 879

How to find the cost of the land?

The cost of the land will be all the costs that went into both acquiring the land and then getting it ready for use.

These costs include the purchase price, the commission paid to the broker, and the demolition costs.

The cost of the land is therefore:

= Purchase price of land + broker commission + demolition and removal cost

= 174, 350 + 16, 953 + 4, 576

= $195, 879

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el toro corporation declared a common stock distribution to all shareholders of record on june 30, 20x3. shareholders will receive 1 share of el toro stock for each 2 shares of stock they already own. raoul owns 440 shares of el toro stock with a tax basis of $93 per share. the fair market value of the el toro stock was $133 per share on june 30, 20x3. what are the tax consequences of the stock distribution to raoul?

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Raoul received a stock distribution with a tax impact of $62 on it.

A stock distribution is what?

To flood the market with sell orders for security and lower its price, distribution stock is the term for huge blocks of security that are deliberately sold into the market gradually in smaller chunks.

Traders also use the term "distribution" to describe the process of selling shares in this manner. Distribution stock specifically refers to the practice of selling off shares in general for a variety of reasons. Comparable examples include accumulation stock.

Calculation:

Raoul now owns (440 1/2) + 440 shares.

440 + 220 Equals the current number of shares Raoul owns.

660 shares total are currently owned by Raoul.

440 * 93 is the tax basis of 440 shares.

440 shares' tax basis is $40,920.

The tax basis in the new stock equals the tax basis of 440 shares/number of shares Raoul now owns.

The tax basis in the new stock is 40,920 divided by 660.

The new stock's tax basis is $62 per share.

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one advantage of debt financing over equity financing is the: multiple choice tax-deductible dividends. tax-deductible principal repayment. tax-deductible interest. tax-free interest income.

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As the commercial enterprise owner, you do not have to reply to investors. Terms – you might also be capable to negotiate fixed activity rates and flexible reimbursement options.

Tax deductions – unlike private loans, interest, prices and charges on a commercial enterprise mortgage are tax deductible.

Which is higher debt financing or equity financing?

Equity financing may also be less risky than debt financing because you don't have a loan to repay or collateral at stake. Debt additionally requires regular repayments, which can harm your company's money flow and its capability to grow.

A drawback of debt financing is that lenders often impose covenants on the borrower. A issue is a restrict lenders impose on debtors as a circumstance of imparting long-term debt financing.

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an accounting association established a code of ethics for all members. the most likely primary purpose for establishing the code of ethics was to

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The main purpose of a code of ethics is to establish basic principles in order to preserve the integrity of the business and its workers.

jobs 356, 357, 358, and 359 were completed. jobs 356 and 357 were sold at a profit of $500 on each job. what is the ending balance of work in process for adams company at the end of the first quarter?

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The ending balance of work in process for Adams company at the end of the first quarter.

Working: Ending balance of WIP for Adams company at the end of the first quarter: Job no 360 = $456

The Roberts & Langworthy Iron Works, positioned at fifty seven South Main Street in Dubuque, had been producers of "great mild castings"[2] like grave crosses and park benches.  Eugene Adams invested withinside the organisation in June 1883 whilst Roberts determined to retire, and Adams took the location of a secretary and manager. A extrade of the organisation call to Langworthy and Adams Iron Works observed in 1885. When Langworthy retired in 1892, Eugene's brother Herbert offered his proportion and the organization changed into re-prepared as The Adams Company, a foundry and device shop.

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someone who purchases a ticket to the zoo has the right to a specific use of the zoo property for a limited time, subject to good behavior. this purchase of a ticket is a type of

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Someone who purchases a ticket to the zoo has the right to a specific use of the zoo property for a limited time, subject to good behavior. This purchase of a ticket is a type of license.

Property is anything over which a person or a company has legal ownership. Property can refer to either intangible items with the potential for future value, such as stock and bond certificates, or tangible items like homes, automobiles, or appliances. a permit issued by a competent authority allowing one to carry out a legal activity or engage in a legal business. A hunting license is a paper, plate, or tag that certifies that one has been issued.

The nation's driver's licenses come in three varieties: student, non-professional, and professional.

The noun is spelled license in American English, just like the verb. The noun is spelled license in British English, though.

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When analyzing assets, which analysis method assigns financial values to assets?.

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Quantitative analysis assigns a financial value or assignment of real numbers and the cost required to recover from a loss to the asset.

By focusing on mathematical and statistical analysis, quantitative analysis is a technique used in finance to determine the value of a financial asset, such as a stock or option. Quantitative trading analysts (commonly referred to as "quants") use a variety of data, including past investment and stock market data, to construct trading algorithms and computer models.

These computer models' data help investors analyze potential investment opportunities and develop trading methods they believe will be profitable. The entry and exit points, expected risk, and expected return are typically very explicitly stated in this trading strategy.

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planned real investment is determined by the part 2 a. money supply. b. rate of interest. c. the marginal propensity to save. d. the marginal tax rate.

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The interest rate determines planned real investment.

What influence does interest rate have on investment?

Bonds and interest rates are inversely correlated:Bond prices decrease when interest rates rise, and vice versa.After rates rise, newly issued bonds will have coupons that are higher. This will make bonds with low coupons that were issued in an environment with lower rates worth less.

What factors influence planned real investment?

The primary factors that influence planned investment are the interest rate, business expectations, productive technology, and business taxes. The point at which the C, I, G, and X schedule crosses the 45-degree line is where equilibrium national income occurs.

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an economy is at full employment and real gdp is $1,000 billion. the inflation rate is 3.0 percent a year, the price level is 1.2, and the velocity of circulation is 8.0. what is the quantity of money?

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The quantity of money if the the inflation rate is 3.0 percent a year, the price level is 1.2, and the velocity of circulation is 8.0 would be $150.

The Quantity of money can be described as the common price degree of items and services is directly proportional to the number of money in circulation, or money supply. Quantity of money may be defined as money supply and price level in an economy are in direct proportion to one another. To calculate the quantity of money we can use the this formul:

money supply × velocity of money = price level × real GDP.

money supply x 8.0 = 1.2 x $1000

8 x money supply = 1,200

Divide two side by 8

money supply = $150

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security: aaa corporate aa corporate a corporate bbb corporate bb corporate yield (%) 5.6 5.7 6.1 6.4 7.0 a mining company needs to raise $100 million in order to begin open-pit mining of a coal seam. the company will fund this by issuing 30-year bonds with a face value of $1,000 and a coupon rate of 6.5%, paid annually. the above table shows the yield to maturity for similar 30-year corporate bonds of different ratings. if the company's bonds are rated aa, what will be their selling price? group of answer choices

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If the company's bonds are rated aa, $1,054.48 will be their selling price.

=6.5%*1000/6.1%*(1-1/1.061^30)+1000/1.061^30

=$1,054.48.

A bond is a debt security, analogous to an IOU. Borrowers issue bonds to raise plutocrats from investors willing to advance them, plutocrats, for a certain quantum of time. When you buy a bond, you're advancing to the issuer, which may be a government, megacity, or pot. In simple terms, a bond is a loan from an investor to a borrower similar to a company or government. The borrower uses the plutocrat to fund its operations, and the investor receives interest on the investment. The request value of a bond can change over time.

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evan is single and has agi of $277,300 in 2021. his potential itemized deductions before any limitations for the year total $52,300 and consist of the following: medical expenses (before the 7.5%-of-agi limitation)$31,000 interest on home mortgage8,700 state income taxes9,500 real estate taxes3,600 charitable contributions2,500 after all necessary adjustments are made, what is the amount of itemized deductions evan may claim? do not round intermediate calculations. round medical deduction and final answer to the nearest dollar.

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Evan may claim a total of $24,033 in Itemized Deductions. Although the total potential itemized deduction was $52,300, this was restricted to $24,033.

What are the Deductions?

Medical and dental insurance, 401(k) retirement plans (for federal and most state income taxes), and group term life insurance are all pre-tax deductions. Federal and state income taxes, FICA taxes, and wage garnishments are all required deductions. Post-tax deductions include garnishments, charity contributions, and Roth IRA retirement plans.

Round intermediate calculations. round medical deduction and final answer to the nearest dollar. may claim a total of $24,033 in Itemized Deductions. Although the total potential itemized deduction was $52,300, this was restricted to $24,033.

Therefore, Evan may claim a total of $24,033 in Itemized Deductions. Although the total potential itemized deduction was $52,300

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How has vehicle demand in the united states influenced volkswagen’s global production strategy?.

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Volkswagen produces the Atlas SUV in the United States as a response to changing market conditions. Shondra frequently purchases tissues and paper towels in bulk from the warehouse club.

What is production strategy?

The various techniques a business uses to schedule the upcoming production of goods and materials at a manufacturing facility are known as production strategies, sometimes known as production planning strategies.

You may prioritize the right tasks by creating a compelling roadmap and high-level action plan. Without a defined plan and strategy, the team could prioritize activities incorrectly, use the incorrect KPIs, and waste time and money.

Thus, Volkswagen produces the Atlas SUV in the United States as a response to changing market conditions.

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Customer Name: Charlie Customer
Age: 69
Marital Status: Single - Widowed
Dependents: None
Occupation: Retired
Household Income: $31,000 (Social Security and Pension)
Net Worth: $130,000 (excluding residence)
Own Home: Yes $220,000 Value, No Mortgage
Investment Objective: Current Income
Risk Tolerance: Low
Investment Time Horizon: 20 years
Investment Experience: 0 years
Current Portfolio Composition: Cash in Bank: $130,000
After reviewing this customer's profile sheet, which recommendation would be most appropriate?
A. The customer should take at least $100,000 of cash from the bank and invest the proceeds in 20-year TIPS to meet the customer's desire for current income and his low risk tolerance requirements
B. The customer should take at least $100,000 of cash from the bank and invest the proceeds in 20-year STRIPS to meet the customer's desire for current income and his low risk tolerance requirements
C. The customer should mortgage his house for $100,000 at current market interest rates and use the proceeds to buy 20 year income bonds to provide current income
D. The customer should take at least $100,000 of cash from the bank and invest the proceeds in 20-year Treasury Bonds to meet the customer's desire for current income and his low risk tolerance requirements
The best answer is D.
This customer is age 69, with no current investments or investment experience. The customer has a fairly low retirement income and needs additional current income to live comfortably. This customer really only has 2 assets to tap for potential current income. He owns a fully paid house worth $220,000; and has $130,000 of cash in the bank.
One way to supplement income is for the customer to get a reverse mortgage on the house, but this is not a banking exam, so we will not go near that possibility! The other way to supplement income is to invest the cash in the bank in an investment that is safe and that gives current income. Treasury Bonds pay interest semi-annually at a higher rate than that earned on bank deposits, and are really safe, so these would be the best recommendation. STRIPS do not provide current income since they are a zero-coupon Treasury obligation so these will not work. TIPS give a lower current interest rate than regular Treasury bonds, in return for protecting the investor against inflation - however the inflation protection is not "paid" until maturity, so again, these will not give the greatest additional current income.

Answers

The customer should take at least $100,000 of cash from the bank and invest the proceeds in 20-year Treasury Bonds to meet the customer's desire for current income and his low risk tolerance requirements

The greatest additional current income of Charlie:
This client is 69 years old and has no current investments or financial expertise. The consumer has a low retirement income and requires more current money to live comfortably. This customer has only two assets to draw on for possible current income. He has a completely paid-for house worth $220,000 and has $130,000 in cash.

One option for supplementing income is for the customer to obtain a reverse mortgage on their home, but as this is not a banking test, we will not discuss that possibility! Another option for supplementing income is to put the cash in the bank in a safe investment that provides current income. Treasury bonds pay interest semi-annually at a greater rate than bank deposits and are quite safe, therefore these are the best option.

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fedex has divided operations by creating a division in each region of the world in which it operates. fedex uses a organizational structure.

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FedEx has divided operations by creating a division in each region of the world in which it operates. FedEx uses a geographical organizational structure.

Geographical organizational structure is used by companies that operate in different geographical locations or regions. This type of organizational structure has reporting and functional structure in the geographical regions where the company operates its branch.

It is more focused on local demands but the core policies of the company remain the same as in the main center of the company. Geographical organizational structure enables the company to closely interact with its consumers in various geographical locations.

A head is assigned to handle a dedicated collaborative team for the functions in these offices.

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which type of activity is generally considered to be the best measure of a company's ability to continue as a going concern

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Operating activities is generally considered to be the best measure of a company's ability to continue as a going concern.

A company, abbreviated as co., is a felony entity representing an association of human beings, whether or not herbal, felony or a mixture of both, with a selected objective. agency contributors share a common purpose and unite to gain unique, declared goals.

A company is a criminal entity fashioned by using a group of individuals to interact in and operate a commercial enterprise—business or commercial—agency. An employer can be organized in various methods for tax and economic liability functions depending at the company regulation of its jurisdiction.

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the differences between standard costs and actual costs are called a.cost variances. b.unattainable variances. c.applied errors. d.cost differences.

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Option a.) The cost variance is the difference between the amount budgeted for the project and the amount actually spent to complete the project is the correct answer.

Cost variances are most commonly tracked at the expense line, but can also be tracked at the order or project level, as long as you have a budget or calculation basis. These deviations are an integral part of many management reporting systems. Some cost variances are formalized in standard calculations. There are three main sources of budget variance- errors, changing business conditions, unmet expectations. A cost variance can be negative, positive, or zero. Cost variance (CV), also known as budget variance, is the difference between actual and budgeted costs, or between expected and actual expenditures. This formula helps project managers understand whether they are over or under budget.

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what rights does a third-party beneficiary to a contract hold in regard to that contract? if the third party is an incidental beneficiary, the third party has the right to become an intended beneficiary.

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The  rights that a third-party beneficiary to a contract hold in regard to that contract is D. If the third party is an intended beneficiary of the contract, the third party has the right to sue either the promisor or the promisee.

What is contract?

Contract can be defined as a form of legal agreement between two parties or between two or more people in which the parties involved in the contract tend to agreed and sign the terms and condition of the contract.

A third party  in a contract tend to have the right to sue either the promisor  which is the person that makes a promise or the promisee which is the person in which promise is been made to when the promisor failed to fulfil the promise he/she made to the third party.

Therefore we cam conclude that the correct option is D.

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The complete question is :

What rights does a third-party beneficiary to a contract hold in regard to that contract?

The third party has all the rights of the primary parties to the contract.

The third party has no rights because the third party does not have privity of contract.

If the third party is an incidental beneficiary, the third party has the right to become an intended beneficiary.

If the third party is an intended beneficiary of the contract, the third party has the right to sue either the promisor or the promisee.

a corporation issued 180 shares of its $5 par value common stock in payment of a $2,600 charge from its accountant for assistance in filing its charter with the state. the entry to record this transaction will include:

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A corporation issued 180 shares of its $5 par value common stock in payment of a $2,600 charge from its accountant for assistance in filing its charter with the state. the entry to record this transaction will include A $1,700 credit to Paid-in Capital in Excess of Par Value, Common Stock.

What Is Common Stock?

A security representing ownership in a corporation is common stock. Holders of the common stock vote on corporate policies and elect the board of directors. Long term, this type of equity ownership typically produces higher rates of return.

Common stock allows investors to participate in a company's long-term success, making it an excellent long-term investment. In general, common stock entitles holders to vote for corporate directors as well as policy changes and stock splits.

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Amazonians count their tenure by their number of peaks. How many peaks has amazon’s ceo of worldwide stores, doug herrington, been at amazon?.

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Amazonians count their tenure by their number of peaks. How many peaks has amazon’s CEO of worldwide stores, doug herrington, been at amazon Doug Herrington has served as CEO Worldwide Amazon Stores due to the fact July 2022.

He turned into formerly senior vice chairman and CEO of Amazon Web Services from 2003 to 2021, and turned into decided on via way of means of Jeff Bezos all through the 2020 fourth quarterly effects whilst Bezos have become govt chairman.

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