2 teams of workers were scheduled to produce 680 parts in a month. the first team produced 20% more parts than planned, and the second team produced 15% more than planned. the 2 teams together produced 118 parts than planned. how many parts was each team supposed to produce according to the plan/

Answers

Answer 1

According to the plan, the first team was supposed to produce 520 parts and the second team was supposed to produce 160 parts.

To solve this problem, we need to use algebra. Let's call the number of parts that the first team was supposed to produce "x" and the number of parts that the second team was supposed to produce "y".

According to the problem, the total number of parts that the two teams were supposed to produce together was 680:
x + y = 680

However, the first team produced 20% more parts than planned, which means they produced 1.2x parts:

The second team produced 15% more parts than planned, which means they produced 1.15y parts:
1.2x + 1.15y = 680 + 118

Simplifying this equation, we can combine like terms:
1.2x + 1.15y = 798

Now we have two equations:
x + y = 680
1.2x + 1.15y = 798

We can solve this system of equations using substitution or elimination. I'll use substitution:

From the first equation, we can solve for y:
y = 680 - x

Now we can substitute this expression for y into the second equation:
1.2x + 1.15(680 - x) = 798

Simplifying and solving for x, we get:
0.05x = 26
x = 520

So the first team was supposed to produce 520 parts. To find the number of parts that the second team was supposed to produce, we can substitute this value for x into either equation:
y = 680 - x
y = 680 - 520
y = 160

So the second team was supposed to produce 160 parts.

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Related Questions

what do economists call the business practice of selling the same good at difference prices to different customers? price discrimination collusion compensating differential both a and b are correct

Answers

Economists call the business practice of selling the same good at different prices to different customers "price discrimination." This practice allows businesses to capture more consumer surplus and increase their revenue by charging different prices based on customers' willingness to pay.

The business practice of selling the same good at different prices to different customers is called price discrimination. This practice is common in industries where there are varying levels of demand for the same product or service. By charging higher prices to customers who are willing to pay more, businesses can increase their profits. However, price discrimination can also be seen as unfair or discriminatory, as it can result in some customers paying more than others for the same product or service. It is important to note that price discrimination is not the same as collusion, which involves companies conspiring to fix prices. Additionally, compensating differentials refer to differences in pay or benefits that compensate workers for differences in working conditions or job requirements. Therefore, the correct answer to this question would be "A. Price discrimination."

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what is the direction of movement of the pacific plate over the last 42 million years?

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The direction of movement of the Pacific Plate over the last 42 million years has been towards northwest. his movement is part of the larger tectonic activity that is responsible for the formation of the Pacific Ocean basin and the associated geological features, such as subduction zones, volcanic arcs, and oceanic trenches.

The Pacific Plate is one of the largest tectonic plates on Earth, and its movement is primarily driven by the process of seafloor spreading at divergent boundaries and subduction at convergent boundaries. The movement of the Pacific Plate is caused by the convection currents in the Earth's mantle, which cause the plates to move on the surface. Over the last 42 million years, the Pacific Plate has been moving in a northwesterly direction at an average rate of about 4 centimeters per year, although this rate has varied over time. The plate's motion has caused it to interact with other plates, resulting in geological phenomena such as the formation of the Ring of Fire, a zone of intense seismic and volcanic activity that surrounds the Pacific Ocean.

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the point in the supply chain that separates the push system from the pull system is called the

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The point in the supply chain that separates the push system from the pull system is called the "push-pull boundary."

The push-pull boundary is the point in the supply chain where products are produced based on anticipated demand (push system) and where products are produced based on actual customer demand (pull system).

Before the push-pull boundary, the production process is driven by a push system, where products are produced based on forecasts and anticipated demand. After the push-pull boundary, the production process is driven by a pull system, where products are produced based on actual customer orders and demand.

The push-pull boundary is an important concept in supply chain management as it helps to determine how much inventory should be held at each stage of the supply chain. By understanding the push-pull boundary and managing inventory levels accordingly, companies can improve supply chain efficiency, reduce waste, and improve customer satisfaction by providing products that meet actual demand.

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Which one of the following statements is true of competitive intelligence as a means of environmental scanning?
A) The Competitive Espionage Act makes it a crime in the United States to engage in competitive intelligence.
B) It is unethical to use competitive intelligence to make strategic business decisions.
C) Competitive intelligence is ethical if competitor-related information is collected from sources accessible and available to the public.
D) Buying competitors' products and asking their own employees to evaluate them to learn about new technical innovations is an example of the unethical practices followed in competitive intelligence.

Answers

Answer:

C Competitive intelligence is ethical if competitor-related information is collected from sources accessible and available to the public.

Explanation:

Competitive intelligence involves gathering and analyzing information about competitors to gain insights into their strategies, capabilities, and market position.

The ethics surrounding competitive intelligence can vary depending on the methods used to obtain information.

However, collecting competitor-related information from sources that are accessible and available to the public, such as public records, industry reports, published articles, and websites, is generally considered ethical.

Option A is incorrect because there is no specific law called the Competitive Espionage Act related to competitive intelligence in the United States.

Option B is a general statement that does not accurately reflect the ethics of using competitive intelligence.

It can be ethical to use competitive intelligence to make strategic business decisions if it is obtained through legal and ethical means.

Option D is incorrect because buying competitors' products and evaluating them is a common practice in competitive intelligence and does not necessarily constitute unethical behavior.

It becomes unethical if the evaluation involves illegal actions or breaches confidentiality agreements.

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a 25-year mbb is issued. the bond has a par value of $10,000 and promised to pay an 8 percent annual coupon. assume that 20 years after the bond is used, bond market investors now required 11.3% yield on the bond. the bond is said to be selling at a discount. what is initial price on bond?

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The initial price of the bond with par value of $10,000 and annual coupon of 8% is equal to $6,114.69.

Par value of the bond = $10,000

Annual coupon = 8 percent

To calculate the initial price of the bond,

Determine the present value of its future cash flows.

The bond has a par value of $10,000 and promises to pay an 8% annual coupon.

This means that the bond will pay ,

8% of $10,000 = $800 as an annual coupon payment.

The bond matures in 25 years, so it will make 25 coupon payments of $800 each, plus the par value of $10,000 at maturity.

To calculate the present value of these cash flows,

Use the formula for the present value of an annuity,

PV = C × (1 - (1 + r)⁻ⁿ) / r

Where,

PV = Present Value

C = Coupon payment

r = Yield to maturity

n = Number of periods

Here, the coupon payment (C) is $800,

the yield to maturity (r) is 11.3% (or 0.113 as a decimal),

and the number of periods (n) is 25.

Plugging in these values, calculate the present value,

PV = $800 × (1 - (1 + 0.113)⁻²⁵) / 0.113

⇒ PV ≈ $800 × (1 - 0.1363) / 0.113

⇒ PV ≈ $800 × 0.8637 / 0.113

⇒ PV ≈ $6,114.69

Therefore, the initial price of the bond is approximately $6,114.69.

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When BMW, a German company, purchases a welding machine that was made inToronto, the purchase is
A) both a German and a Canadian import.
B) a German import and a Canadian export.
C) a German export and a Canadian import.
D) neither an export nor an import for either country.

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When BMW, a German company, purchases a welding machine that was made in Toronto, the purchase is a German import and a Canadian export. The correct option is B).

This is because the welding machine was made in Canada and then sold to Germany, which means that Canada has exported a good to Germany, and Germany has imported a good from Canada.

An import is defined as the purchase of goods or services from a foreign country, while an export is the sale of goods or services to a foreign country.

In this case, the welding machine was produced in Canada, making it a Canadian product, and it was purchased by BMW, a German company, making it an import for Germany.

At the same time, the welding machine was sold by a Canadian company to a German company, making it an export for Canada.

It's important to note that imports and exports are not necessarily equal in value, as the value of imports can exceed the value of exports, or vice versa, resulting in a trade deficit or a trade surplus.

However, in the case of a single transaction like the purchase of a welding machine, the value of the import and the export should be equal.

In summary, when BMW, a German company, purchases a welding machine that was made in Toronto, the transaction is considered a German import and a Canadian export. Therefore, the correct option is B).

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Selected information from Jet Company's 2013 financial statements is shown below (in millions):
- Inventory decreased $6.4
- Accounts payable increased by $7.4
- Cost of goods sold $36.90
- Salaries expense $24.8
- Salaries payable decreased $6.4
- Accounts receivable increased by $10.4
- Sales $57.2
What is the amount of cash paid for purchases by Jet during 2013?

Answers

To determine the amount of cash paid for purchases by Jet during 2013, we need to use the formula for cash flow from operating activities which is:


Net cash flow from operating activities = Cash receipts from customers - Cash paid to suppliers
First, we need to calculate the cash receipts from customers which can be derived from the sales figure given in the financial statements.

Therefore, cash receipts from customers = Sales + Decrease in accounts receivable
= $57.2 + (-$10.4) = $46.8 million
Next, we need to calculate the cash paid to suppliers which is the cash outflow for purchases. This can be calculated using the cost of goods sold figure and the changes in inventory and accounts payable. Therefore, cash paid to suppliers = Cost of goods sold - Decrease in inventory + Increase in accounts payable
= $36.9 - (-$6.4) + $7.4 = $50.7 million
Finally, we can calculate the net cash flow from operating activities by subtracting the cash paid to suppliers from the cash receipts from customers. Therefore, the amount of cash paid for purchases by Jet during 2013 is:
Net cash flow from operating activities = Cash receipts from customers - Cash paid to suppliers
= $46.8 million - $50.7 million
= -$3.9 million (negative cash flow)
This indicates that Jet Company paid out more cash for purchases than they received from customers during the year 2013.

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for the most part, tactical planning is done at what level of management?

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For the most part, tactical planning is done at middle and top level of management.

The process of breaking down a company's strategic plan into more manageable, shorter-term plans in order to accomplish outcomes is known as tactical planning. Both top-level and middle-level management employ tactical planning to achieve their objectives.

After a team or corporation develops a strategic plan, tactical planning is the next step taken to divide that plan into more manageable objectives and goals. Goals are laid forth in a tactical plan together with the activities and tasks necessary to attain them. Most tactical plans provide a detailed description of the precise procedures or actions that will be followed to accomplish the objectives of the bigger strategic plan.

Option C is the correct answer.

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The complete question is, "Tactical planning usually involves which level of management?

a. middle

b. top

c. middle and top

d. operational"

assuming that this is the venture capitalist's first investment in your firm, the post-money valuation of the angel investor's shares is closest to: group of answer choices $12.5 million. $4.0 million. $5.0 million. $2.5 million.

Answers

The post-money valuation of the angel investor's shares would depend on the amount of investment made by the venture capitalist.

If the venture capitalist invests a significant amount of money, it would increase the overall valuation of the company and subsequently increase the post-money valuation of the angel investor's shares. However, based on the given answer choices, it is not possible to determine the exact amount of investment made by the venture capitalist. Therefore, we cannot accurately calculate the post-money valuation of the angel investor's shares. It is important to note that the post-money valuation refers to the value of the company after the investment has been made, taking into account the new funds added by the venture capitalist. The angel investor's pre-money valuation would be the value of the company before the investment was made, and their post-money valuation would be calculated by adding the investment amount to the pre-money valuation. In conclusion, without knowing the amount of investment made by the venture capitalist, it is not possible to determine the post-money valuation of the angel investor's shares.

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eddie corporation is considering the following three investment projects (ignore income taxes.): project c project d project e investment required $ 36,000 $ 41,000 $ 85,000 present value of cash inflows $ 39,960 $ 47,560 $ 92,650 the profitability index of investment project d is closest to:

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The profitability index of Investment Project D is approximately 1.16. To calculate this, divide the present value of cash inflows by the investment required.

The profitability index (PI) is a financial metric used to evaluate the attractiveness of an investment project. It's calculated by dividing the present value of cash inflows by the investment required. In the case of Eddie Corporation's three investment projects, we want to find the profitability index for Project D. The investment required for Project D is $41,000, and the present value of cash inflows is $47,560.

Calculation steps:
1. Identify the investment required and present value of cash inflows for Project D.
  Investment Required (IR) = $41,000
  Present Value of Cash Inflows (PVCI) = $47,560
2. Calculate the profitability index for Project D.
  Profitability Index (PI) = PVCI / IR
  PI = $47,560 / $41,000
  PI ≈ 1.16

Thus, the profitability index of Investment Project D is closest to 1.16, indicating that it is an attractive investment opportunity.

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Which of the following is typically NOT included in a​ full-featured financial management​ system? A. General ledger. B. Payroll C. Cash management

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Typically, payroll is not included in a full-featured financial management system. However, it can be integrated with the system as an add-on feature. The general ledger and cash management are usually included as core components of a financial management system. The correct option is B.

A full-featured financial management system is a software package that helps businesses manage their financial operations. It typically includes a range of functions such as accounts payable, accounts receivable, general ledger, cash management, and payroll.

The general ledger module records all financial transactions and provides the basis for producing financial statements, while the accounts payable module manages the payment of bills and invoices owed by the business. The accounts receivable module tracks money owed to the business by customers and helps to manage the collection of payments. The cash management module tracks cash balances and transactions, including bank deposits and withdrawals.

The payroll module manages employee salaries, benefits, and taxes. It typically includes functions such as calculating employee pay, generating paychecks, and filing tax reports. While all of these functions are typically included in a full-featured financial management system, some businesses may choose to use specialized software for certain functions, such as payroll processing.

The correct option is B.

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a situation in which firms choose their best strategy given the strategies chosen by the other firms in the market is called a competitive equilibrium. an open-market solution. a socially-optimal solution. a nash equilibrium.

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A Nash equilibrium is the situation in which firms choose their best strategy given the strategies chosen by the other firms in the market. In other words, a Nash equilibrium is a stable state where no player has an incentive to deviate from their current strategy.

In this equilibrium, no firm can improve its payoff by unilaterally changing its strategy, assuming that all other firms keep their strategies unchanged.

However, it is important to note that a Nash equilibrium may not necessarily lead to a socially-optimal solution. A socially-optimal solution is a situation where the total welfare of the society is maximized. This may require firms to cooperate and choose a strategy that benefits the society as a whole, rather than just themselves.An open-market solution is a term used to describe a situation where the market is allowed to operate freely, without any government intervention or regulation. This can lead to a competitive equilibrium, where firms compete with each other to maximize their profits.In summary, a Nash equilibrium describes a situation in which firms choose their best strategy given the strategies chosen by the other firms in the market. While a Nash equilibrium may be stable, it may not necessarily lead to a socially-optimal solution. An open-market solution describes a market that operates freely, without government intervention.

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how do i calculate profit maximizing quantity and price using total revenue relating to intermediate business microeconomics?

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The profit maximizing quantity (Q) and price (P) can be calculated using the following formula:

Q = MR = MC and P = D(Q)

In order to calculate profit maximizing quantity and price using total revenue relating to intermediate business microeconomics, the following steps should be followed:

1: Determine the total revenue (TR) curve of the firm using the data given in the question. This can be done by multiplying the quantity (Q) by the price (P) of the product.

2: Identify the point at which the slope of the TR curve is equal to zero. This is the point where the marginal revenue (MR) curve intersects the horizontal axis. The MR curve can be calculated by taking the first derivative of the TR curve with respect to Q.

3: Determine the quantity (Q) at which the MR curve intersects the marginal cost (MC) curve. This is the profit maximizing quantity of the firm. The MC curve can be calculated using the data given in the question.

4: Determine the price (P) at which the profit maximizing quantity (Q) can be sold. This can be done by looking at the demand curve of the product and finding the price that corresponds to the profit maximizing quantity (Q).

The demand curve can be calculated using the data given in the question

.The profit maximizing quantity (Q) and price (P) can be calculated using the following formula:

Q = MR = MC and P = D(Q)

Where:

Q = Quantity

MR = Marginal revenue

MC = Marginal cost

P = Price

D(Q) = Demand curve

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propeller blade tracking is the process of determining

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Propeller blade tracking is the process of determining the exact position and orientation of each blade of a propeller in relation to one another and the hub.

This is important for several reasons. First, any deviation from the correct position can cause vibration, which not only reduces efficiency but also can lead to damage or failure of the propeller or the engine. Additionally, a propeller that is not properly tracked can produce unequal thrust, which can cause the aircraft to veer off course or experience handling difficulties.

Therefore, it is crucial to ensure that all blades are properly aligned and balanced, and that any necessary adjustments are made to achieve optimal performance and safety. This is typically done by using specialized equipment to measure the position of each blade and make necessary adjustments until they are all in perfect alignment.

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which of the following assumptions is embodied in the percent of sales method? question 1 options: accounts payable and accruals are tied directly to sales. all balance sheet accounts are tied directly to sales. common stock and long-term debt are tied directly to sales. fixed assets, but not current assets, are tied directly to sales. last year's total assets were not optimal for last year's sales.

Answers

it is important to use multiple methods and sources of information when forecasting financial statements.

The assumption embodied in the percent of sales method is that accounts payable and accruals are tied directly to sales. The percent of sales method, also known as the income statement method, is a technique used to forecast financial statements by using a percentage of the previous year's sales. This method assumes that certain accounts, such as accounts payable and accruals, are directly related to the level of sales. As sales increase, the amount of these accounts also increases in proportion to the increase in sales. The percent of sales method is a commonly used technique in financial forecasting, as it is relatively simple to use and requires minimal information. However, it is important to note that this method is based on assumptions and historical data, and may not accurately predict future financial results. Therefore, it is important to use multiple methods and sources of information when forecasting financial statements.

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Which of the following is not one of the five main variables affecting project success? A) Risk B) Vendors C) Time D) Quality E) Cost.

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Answer: B) Vendors is not one of the five main variables affecting project success.

Explanation:

The five main variables affecting project success, often referred to as the "Project Management Triangle," are time, cost, quality, scope, and risk. Vendors are not typically considered one of the main variables affecting project success.

Time refers to the schedule or timeline for completing the project, cost refers to the budget or resources allocated to the project, quality refers to the level of excellence or standards for the project's deliverables,

scope refers to the objectives and goals of the project, and risk refers to the likelihood and potential impact of unexpected events or obstacles.

Effective project management involves balancing these five variables to ensure successful completion of the project. If any one of these variables is not managed effectively, it can negatively impact the overall success of the project.

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according to goal-setting theory, managers should assign challenging goals to motivate employees.

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According to goal-setting theory, managers should assign challenging goals to motivate employees.

This theory suggests that setting specific and challenging goals for employees can lead to increased motivation, engagement, and performance.

When goals are clear and challenging, employees are more likely to feel a sense of purpose and direction in their work, and they are more likely to be committed to achieving those goals.
However, it's important to note that simply assigning challenging goals is not enough.

To effectively motivate employees, managers need to ensure that these goals are achievable, relevant to the employee's job and skill set, and provide feedback and support throughout the process.

Without these elements, employees may feel overwhelmed, demotivated, or discouraged by goals that are too challenging or unattainable.
In addition, managers should also consider the individual needs and preferences of their employees when setting goals.

While some employees may thrive on high-pressure, challenging goals, others may feel more motivated by goals that are more attainable or aligned with their personal values and interests.

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josef went swimming. afterward, he was hungry and went out for a big dinner with friends. assuming that josef is a rational utility maximizer and that diminishing marginal utility holds true for him, which of the following must be true about the utility he attained from the decisions he made?

Answers

The marginal utility of having dinner with friends was higher than the marginal utility of going swimming. Option b is the correct choice.

This is because the principle of diminishing marginal utility suggests that as a person consumes more of a particular good or service, the additional satisfaction or utility that they derive from each additional unit consumed tends to decrease. Therefore, after going swimming and building up an initial level of satisfaction, Josef may have experienced a higher level of marginal utility from having a big dinner with friends compared to going for another swim. Option b is the correct choice.

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--The complete question is, Which of the following must be true about the utility Josef attained from his decisions of going swimming and having a big dinner with friends, assuming that he is a rational utility maximizer and that diminishing marginal utility holds true for him?

a. The marginal utility of going swimming was higher than the marginal utility of having dinner with friends.

b. The marginal utility of having dinner with friends was higher than the marginal utility of going swimming.

c. The marginal utility of going swimming was equal to the marginal utility of having dinner with friends.

d. The total utility Josef attained was not affected by the marginal utility of going swimming and having dinner with friends.--

assume a corporation has earnings before depreciation and taxes of $82,000, depreciation of $45,000, and that it has a 25% combined tax bracket. what are the after-tax cash flows for the company?multiple choice$72,750$82,000$42,000$127,000

Answers

The after-tax cash flows for the company is found as: $72,750. The correct option  is $72,750.

The after-tax cash flows for the company can be calculated using the given information: earnings before depreciation and taxes (EBDT) of $82,000, depreciation of $45,000, and a 25% combined tax bracket.

First, we need to calculate the earnings before taxes (EBT) by subtracting depreciation from EBDT:
EBT = EBDT - Depreciation = $82,000 - $45,000 = $37,000

Next, we need to determine the taxes paid by multiplying EBT by the tax bracket:
Taxes = EBT * Tax Bracket = $37,000 * 0.25 = $9,250

Now we can calculate the earnings after taxes (EAT) by subtracting taxes from EBT:
EAT = EBT - Taxes = $37,000 - $9,250 = $27,750

Finally, to calculate the after-tax cash flows, we need to add back the depreciation since it is a non-cash expense:
After-Tax Cash Flows = EAT + Depreciation = $27,750 + $45,000 = $72,750

Therefore, the correct option  is $72,750.

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a restaurant manager visits another restaurant similar in concept and sees that they have started offering valet service. the manager decides to begin offering valet service at their restaurant. this decision was made based on

Answers

The restaurant manager decided to offer valet service at their restaurant is because they observed another similar restaurant offering the service.

Decision could be that the manager recognized the potential benefits of offering valet service, such as providing convenience for customers and improving the overall dining experience.

Additionally, the manager may have seen an increase in business and revenue at the other restaurant and believed that offering valet service could have a similar positive impact on their own restaurant.



In summary, the restaurant manager decided to offer valet service at their restaurant after observing another similar restaurant offering the service and recognizing the potential benefits it could bring to their own business.

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what is the effect of an insurance policy being a contract of adhesion? a.the insurer can refuse to pay claims unless the insured has complied with all policy provisions. b.the insured cannot assign the policy without the insurer's consent. c.the insurer can require the insured to pay any premiums. d.the insured gets the benefit of the doubt if a policy contains any ambiguities or uncertainties.

Answers

An insurance policy being a contract of adhesion means that it is a standardized agreement that is offered on a "take it or leave it" basis, with little room for negotiation.

This can have several effects on the insured. Firstly, the insurer can refuse to pay claims unless the insured has complied with all policy provisions. This means that if the insured fails to follow any of the policy requirements, the insurer can deny the claim. Secondly, the insured cannot assign the policy without the insurer's consent, which limits their ability to transfer ownership or rights to the policy. Thirdly, the insurer can require the insured to pay any premiums, and the insured cannot negotiate the premium amount. However, there is one potential benefit to the insured in a contract of adhesion. If a policy contains any ambiguities or uncertainties, the insured typically gets the benefit of the doubt. This means that in cases of uncertainty, the courts will generally interpret the policy in favor of the insured.

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marks corporation has two operating... marks corporation has two operating departments, drilling and grinding, and an office. the three categories of office expenses are allocated to the two operating departments using different allocation bases. the following information is available for the current period: office expenses total allocation basis salaries $ 43,000 number of employees depreciation 32,000 cost of goods sold advertising 70,000 percentage of total sales department number of employees sales cost of goods sold drilling 1,400 $ 380,000 $ 133,000 grinding 2,100 570,000 217,000 total 3,500 $ 950,000 $ 350,000 the amount of the advertising cost that should be allocated to grinding for the current period is: multiple choice

Answers

The amount of advertising cost that should be allocated to the Grinding department for the current period is $42,000.


To calculate this, we will use the following information:
- Total advertising cost: $70,000
- Drilling department sales: $380,000
- Grinding department sales: $570,000
- Total sales: $950,000
We will use the percentage of total sales as the allocation base for advertising cost. First, find the percentage of sales for each department:
Grinding department's sales percentage = (Grinding sales / Total sales) * 100
= ($570,000 / $950,000) * 100
= 60%
Next, allocate the advertising cost to the Grinding department:
Allocated advertising cost to Grinding = Total advertising cost * Grinding department's sales percentage
= $70,000 * 60%
= $42,000

In summary, the amount of advertising cost that should be allocated to the Grinding department for the current period is $42,000.

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All of the following are one of the four main categories of transactions in QuickBooks except?
Select one:
a. Chart of Accounts b. Customers
c. Vendors
d. Employees

Answers

The statement is incorrect. "Chart of Accounts" is not a transaction category in QuickBooks. Rather, it is a list of all the accounts that a business has set up to record its transactions.

These accounts are organized into categories such as assets, liabilities, equity, income, and expenses.

The four main transaction categories in QuickBooks are:

Customers: This category includes transactions related to sales to customers, such as invoices, sales receipts, and refunds.

transaction : This category includes transactions related to purchases from vendors, such as bills, checks, and purchase orders.

Employees: This category includes transactions related to payroll and employee expenses, such as paychecks, payroll tax payments, and expense reports.

Banking: This category includes transactions related to the business's bank and credit card accounts, such as deposits, withdrawals, and credit card charges.

Each transaction in QuickBooks is assigned to one of these categories to help organize and track the financial activity of the business.

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The total amount of stock that a corporation's charter allows it to issue is referred to as:
A) Issued stock
B) Outstanding stock
C) Common stock
D) Authorized stock

Answers

The total amount of stock that a corporation's charter allows it to issue is referred to as D) Authorized stock.

This term refers to the maximum number of shares that a corporation is allowed to issue according to its charter or articles of incorporation.

It is important to note that authorized stock is not necessarily the same as issued or outstanding stock, which refers to the actual number of shares that have been sold or are currently in circulation.

Therefore, the authorized stock represents the potential for future stock issuances if the corporation decides to do so.

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what is the dollar price of a zero coupon bond with 21 years to maturity, semiannual compounidng, and a part value of $1,000, if the ytm is:

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dollar price of the zero coupon bond with 21 years to maturity, semiannual compounding, and a par value of $1,000, with a YTM of 5% is $430.34.

To calculate the dollar price of a zero coupon bond with 21 years to maturity, semiannual compounding, and a par value of $1,000, we need to use the formula for present value of a bond:
PV = FV / (1 + r)^n
where PV is the present value of the bond, FV is the par value of the bond, r is the yield to maturity (YTM) of the bond, and n is the number of periods until maturity.Since the bond is a zero coupon bond, it does not make any coupon payments. Instead, it is purchased at a discount to its par value and the investor receives the full par value at maturity. Therefore, the PV of the bond is the price that the investor pays to purchase the bond.
Now, we are given that the YTM is unknown. To calculate the YTM, we need to use the trial and error method or a financial calculator. For simplicity, we will assume that the YTM is 5%.
The number of periods until maturity is 21 years with semiannual compounding. Therefore, the number of periods is 21 x 2 = 42.
Using the formula for PV, we get:
PV = $1,000 / (1 + 0.05/2)^42
PV = $1,000 / (1.025)^42
PV = $1,000 / 2.3228
PV = $430.34
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.Which dimension of self-concept refers to the individual's perception of who I am now?
A) actual self-concept
B) ideal self-concept
C) private self-concept
D) social self-concept
E) present self-concept

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The dimension of self-concept that refers to the individual's perception of who they are now is the present self-concept or E).

an employer has 3 employees, all of whom have exceeded the futa wage base. if the employer makes total payments to employees of $84,000 and enters $59,000 on line 5 of form 940, then $

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An employer has 3 employees, all of whom have exceeded the FUTA wage base. If the employer makes total payments to employees of $84,000 and enters $59,000 on line 5 of Form 940, then $25000 is entered on line 4 of Form 940.

More than half of workers start by reading the job description to assess the compensation they may expect before moving on to additional information about the job profile. Similar to this, it is the responsibility of the HR department to display accurate compensation information, distribute accurately calculated salaries, and guarantee that the workforce receives them. Several other payment methods are available, which we'll examine in more detail later.

Line 4 of Form 940 requires Payments exempt from FUTA Tax.

Hence Line 4 amount= 84000- 59000

=$ 25000

Different legislative regulations for paying employees exist in a large number of states and nations. Some of them provide pay-cards as a direct deposit substitute. The many payment methods are not known to every employee. Employees without bank accounts are not eligible for direct deposit. Mobile wallets cannot be used by those who don't own smartphones. Therefore, the employer must decide on the tactics to utilise in advance. To avoid legal repercussions, the company must pay the employees in accordance with official guidelines.

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Complete question;

An employer has 3 employees, all of whom have exceeded the FUTA wage base. If the employer makes total payments to employees of $84,000 and enters $59,000 on line 5 of Form 940, then $______ is entered on line 4 of Form 940.

Which of the following costs is NOT considered an inventory holdingâ (or carrying)â cost?
A.
inventory transportation costs
B.
inventory shrinkage costs
C.
inventory handling costs
D.
inventory storage costs

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The cost that is NOT considered an inventory holding or carrying cost is A) inventory transportation costs. While transportation costs are a necessary expense to move inventory from one location to another, they are not directly related to holding or carrying inventory over a certain period of time.

Inventory holding (or carrying) costs include costs associated with storing, handling, and managing inventory, as well as shrinkage costs due to theft or spoilage. However, transportation costs are considered a separate category and not included in inventory holding costs.

The other options, B) inventory shrinkage costs, C) inventory handling costs, and D) inventory storage costs, are all considered holding or carrying costs as they relate to the expenses associated with keeping inventory in stock.

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wheeler company can produce a product that incurs the following costs per unit: direct materials, $10.90; direct labor, $24.90, and overhead, $16.90. an outside supplier has offered to sell the product to wheeler for $49.04. if wheeler buys from the supplier, it will still incur 40% of its overhead cost. compute the net incremental cost or savings of buying.

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The cost difference between two alternatives or solutions is referred to as net incremental cost. More specifically, it refers to the extra expense involved in selecting one alternative over another. The net incremental cost or savings of buying from the outside supplier can be calculated by comparing the total cost per unit for Wheeler Company to produce the product versus the cost per unit offered by the outside supplier.

For Wheeler Company, the total cost per unit is the sum of the direct materials cost, direct labour cost, and overhead cost, which is $10.90 + $24.90 + $16.90 = $52.70 per unit.

If Wheeler buys from an outside supplier, it will incur 40% of its overhead cost, which is $6.76 per unit. Therefore, the total cost per unit for Wheeler to buy from the outside supplier would be $49.04 + $6.76 = $55.80 per unit.

To calculate the net incremental cost or savings of buying, we need to compare the two costs per unit. The cost per unit for Wheeler Company to produce the product is $52.70, while the cost per unit for buying from the outside supplier is $55.80.

Therefore, the net incremental cost of buying from the outside supplier is $55.80 - $52.70 = $3.10 per unit. In other words, if Wheeler Company buys from an outside supplier, it will save $3.10 per unit compared to producing the product in-house.

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jt let some else do most college presentations. they looked forward to full time employment and never having to make a speech again. will they be safe from speeches in their career?

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It depends on what career path they choose. While some jobs may require less public speaking than others, it's important to remember that almost every job requires some level of communication with colleagues, clients, or customers.

Even if they are not delivering formal presentations, they may still need to give informal updates or speak in meetings.
Additionally, as they progress in their career, they may be asked to represent their company at industry events or conferences, which could require giving speeches or presentations.
However, if public speaking truly causes them a great deal of anxiety or stress, they can work on improving their skills and comfort level through training, practice, and coaching.

There are many resources available, both online and in person, that can help individuals become more confident and effective public speakers.
Overall, it's important for them to recognize that while they may not be giving college presentations anymore, communication and public speaking skills are valuable assets in any career.

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