QUESTION 1 The Purchasing Department often wasted time going back to company's managers who gave them order forms which could not be used for some reason or another. So they recorded the problems over

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Answer 1

The Purchasing Department can take several actions to address the issues and streamline the ordering process.

They can implement a standardized order form template that includes all the necessary fields and prompts managers to provide complete information. This can help reduce the instances of missing information on the order forms. The department can establish clear communication channels with managers to ensure accurate order quantities. They can set up a system where managers can easily communicate their requirements and any changes in quantities, minimizing errors in the ordering process. To address the issue of items being out of stock, the Purchasing Department can work closely with the inventory management team to improve stock monitoring and replenishment processes. They can implement a real-time inventory tracking system to have better visibility of stock levels and ensure timely restocking to meet demand.

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Related Questions

Who watches stocks and bonds (and equivalent of bills, or for that manner, mortgages) and gets paid for information on it?

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There are a lot of investors, traders, and financial analysts who monitor and analyze stocks, bonds, and other financial securities to gain information about them. These people get paid for their analysis and information on them.

What are Stocks? Stocks are ownership stakes in publicly-traded companies that are bought and sold on stock exchanges. When someone buys a stock, they become a part-owner in the company and are entitled to a portion of its profits. Stock prices fluctuate based on various factors, including the company's performance and overall market conditions.

What are Bonds? Bonds are debt securities issued by companies or governments to raise funds. When someone buys a bond, they are essentially loaning money to the issuer. The issuer promises to pay back the principal plus interest at a later date. Bond prices also fluctuate based on various factors, including the issuer's creditworthiness and changes in interest rates.

Who watches stocks and bonds? There are many people and organizations that watch stocks and bonds. Some of these include:

Investors: Individual investors and institutional investors (such as mutual funds and hedge funds) monitor stocks and bonds to make investment decisions.

Traders: People who buy and sell securities for profit monitor stocks and bonds to find opportunities to make money.

Financial Analysts: Analysts who work for investment banks, brokerage firms, and other financial institutions monitor stocks and bonds to provide information and recommendations to clients.

Regulatory Authorities: Government agencies such as the Securities and Exchange Commission (SEC) monitor stocks and bonds to ensure that companies are complying with regulations and that investors are protected.

Financial Media: News outlets such as Bloomberg and CNBC monitor stocks and bonds to report on market trends and provide analysis to their audiences.

In conclusion, there are many people who watch and monitor stocks and bonds, and they get paid for their analysis and information on them.

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Question 2 (answer all parts of the question) Energy Ltd is a wholesaler and distributor of electrical components. The most recent draft financial statements of the business included the following: Income Statement for the year £m £m 14.2 Sales revenue Cost of Sales: I Opening inventories Purchases Cost of goods available for sale Less: Closing inventories Cost of goods sold (7.8) Gross profit 6.4 Administration expenses (3.0) (2.1) Distribution expenses Operating profit 1.3 Finance costs (0.8) Profit before taxation 0.5 Tax (0.2) Profit for the period 0.3 ASSETS Non-current assets Property, plant and equipment Land and buildings Equipment Motor vehicles Current assets Inventories Trade receivables Cash at bank 3.2 8.4 11.6 3.8 7.8 Statement of Financial position as at the end of the year £m 3.8 0.9 0.5 5.2 3.8 mmon 8615 3.6 0.1 7.5 The business has produced the following estimates: 1. Sales revenue for June will be £8,000 and will increase at the rate of £3,000 a month until September. In October, sales revenue will rise to £22,000 and in subsequent months will be maintained at this figure. 2. The gross profit percentage on goods sold will be 25 per cent. 3. There is a risk that supplies of trading inventories will be interrupted towards the end of the accounting year. The business, therefore, intends to build up its initial level of inventories (£22,000) by purchasing £1,000 of inventories each month in addition to the monthly purchases necessary to satisfy monthly sales requirements. All purchases of inventories (including the initial inventories) will be on one month's credit. 4. Sales revenue will be divided equally between cash and credit sales. Credit customers are expected to pay two months after the sale is agreed. 5. Wages and salaries will be £900 a month. Other overheads will be £500 a month for the first four months and £650 thereafter. Both types of expense will be payable when incurred. 6. 80 per cent of sales revenue will be generated by salespeople who will receive 5 per cent commission on sales revenue. The commission is payable one month after the sale is agreed. 7. The business intends to purchase further equipment in November for £7,000 cash. 8. Depreciation will be provided at the rate of 5 per cent a year on property and 20 per cent a year on equipment. (Depreciation has not been included in the overheads mentioned in 5 above). Required: i) Prepare a cash budget for Garment Ltd for the six-month period to 30 November. (70 marks) ii) State why a cash budget is required for a business. (Maximum six valid points and 250 words. Each point will be awarded 5 marks) (30 marks) Total 100 marks

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The cash budget is required to help a business plan for and manage its cash flows effectively.

i) The cash budget for Energy Ltd for the six-month period to 30 November is as follows: Jun Jul Aug Sep Oct Nov Cash receipts Cash sales 4,000 7,000 10,000 22,000 22,000 22,000 Credit sales (80% of monthly sales) 4,800 8,400 12,000 26,400 26,400 26,400 Total cash receipts 8,800 15,400 22,000 48,400 48,400 48,400 Cash payments Credit purchases (6,000) (6,000) (6,000) (6,000) (8,000) (6,000) Wages and salaries (900) (900) (900) (900) (900) (900) Other overheads (500) (500) (500) (500) (650) (650) Equipment purchase - - - - (7,000) - Commissions (400) (700) (1,000) (2,200) (2,200) (2,200) Increase in inventory (1,000) (1,000) (1,000) (1,000) (1,000) (1,000) Interest (80) (80) (80) (80) (80) (80) Total cash payments (9,880) (9,880) (9,880) (10,680) (20,130) (9,830) Net cash flow (1,080) 5,520 12,120 37,720 28,270 38,570 Opening cash balance 3,800 2,720 8,240 20,360 58,080 86,350 Closing cash balance 2,720 8,240 20,360 58,080 86,350 125,920ii) The purpose of a cash budget is to ensure that the company has sufficient cash on hand to meet all of its financial obligations. A cash budget is an important tool for forecasting future cash flows and managing liquidity. The following are the key reasons why a business should have a cash budget:1. Helps in proper allocation of funds2. Helps in assessing the cash position3. Helps in making cash payments4. Helps in planning future cash flows5. Helps in managing liquidity6. Helps in forecasting future cash needs. Thus, the cash budget is required to help a business plan for and manage its cash flows effectively.

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Cash Budget for Energy Ltd for the Six-month period to 30 November. A cash budget is a financial statement that highlights the inflow and outflow of cash within an organization, and it aids in the efficient management of cash resources.

The Energy Ltd cash budget for the six-month period to 30 November is presented below:JunJulAugSepOctNov

Sales Revenue £8000 £11000 £14000 £19000 £22000 £22000

Add: cash received for credit sales £4000 £5500 £7000 £9500 £11000 £11000

Total revenue £12000 £16500 £21000 £28500 £33000 £33000

Less: Cash paid for inventory £9000 £10000 £11000 £12000 £13000 £13000

Cash paid for salaries £900 £900 £900 £900 £900 £900

Cash paid for overheads £500 £500 £500 £500 £650 £650

Cash paid for equipment £0 £0 £0 £0 £0 £7000

Total expenditure £10400 £11400 £12200 £13300 £14350 £21450

Net Cashflow £1600 £5100 £8800 £15200 £18650 £11550

Opening balance £3750 £5350 £10450 £19250 £34450 £530100

Cash Inflow £1600 £5100 £8800 £15200 £18650 £11550Total cash balance £5350 £10450 £19250 £34450 £53000 £64550

A cash budget is required for the business for the following reasons:

Planning: It aids in planning and implementing effective business strategies. By predicting the inflow and outflow of cash, it ensures that sufficient resources are available to meet the demands of the business.

Overdraft reduction: A cash budget may also assist a business in avoiding unnecessary overdrafts by ensuring that there is always sufficient cash available to meet the demands of the business.

Over-expenditure prevention: A cash budget aids in the detection of excessive expenditure and enables the business to plan its expenses in a more informed manner.

Credit control: By forecasting the collection of outstanding debts, the cash budget ensures that there is sufficient cash flow to meet business obligations.

Tax compliance: A cash budget is an essential tool for businesses to monitor their tax liabilities. It assists the business in ensuring that it has enough cash on hand to meet its tax obligations.

Predictions: A cash budget is an essential tool for businesses to use in predicting future cash flows. It aids in predicting the amount of cash required to fund future business operations and invest in future growth opportunities.

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Discuss which DCF technique(s) is(are) better in case of an accept-reject (no mutually exclusive project) situation.

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The Net Present Value (NPV) technique is generally preferred in an accept-reject situation without mutually exclusive projects as it directly compares project profitability by assessing the net value generated.

NPV is the best Discounted Cash Flow (DCF) method for accept-reject situations with no mutually incompatible projects. NPV calculates the project's net value by comparing cash inflows to the initial investment. A discount rate is used to account for the time value of money. NPV compares project profitability by net value. The project is regarded as acceptable if its NPV is positive. If the NPV is negative, the project is rejected since it will lose money. In an accept-reject situation, NPV is chosen over other DCF methods like the Internal Rate of Return (IRR) or Profitability Index (PI) because it quantifies project profitability and allows for project comparison.

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Question 4 Teoh, Meng and Chen are partners sharing profits and losses equally. The business performs has the following Statement of Financial Position as at 31 December 2021. Accumulated Non-current

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The partners, Teoh, Meng, and Chen, share equal profits and losses in their business. As of December 31, 2021, the business has accumulated non-current assets and liabilities.

The statement of financial position, also known as the balance sheet, provides a snapshot of a company's financial position at a specific point in time. In this case, as of December 31, 2021, the business owned non-current assets and had non-current liabilities. Non-current assets are long-term assets that are not expected to be converted into cash within one year. These assets include items such as property, plant, and equipment, investments, and intangible assets. The value of these assets represents the long-term investment and resources of the business. On the other hand, non-current liabilities are long-term obligations that are not due for payment within one year. These liabilities include items such as long-term loans, bonds, and deferred revenue. They represent the long-term financial obligations of the business.

Since the partners share profits and losses equally, the accumulated non-current assets and liabilities of the business are shared equally among Teoh, Meng, and Chen. This means that each partner is entitled to an equal portion of the value of the non-current assets and is responsible for an equal share of the non-current liabilities. In conclusion, as of December 31, 2021, Teoh, Meng, and Chen, as equal partners in the business, have accumulated non-current assets and liabilities. The non-current assets represent the long-term investment and resources of the business, while the non-current liabilities represent the long-term financial obligations. These values are divided equally among the partners as per their profit-sharing agreement.

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Suppose that economists observe than an increase in government spending of $6 billion raises total demand for goods and services by $16 billion.
(a) If these economists ignore the possibility of crowding out, what would they estimate the marginal propensity to consume (MPC) to be?
(b) Now suppose the economists allow for crowding out. Would their new estimate of the MPC be larger or smaller than the initial level? Explain your answer.

Answers

MPS equals to 1/1.67 – 1 = 0.4. Hence the economists' new estimate of the MPC is 0.6 because they allowed for crowding out.

MPC by using the formula, MPC = Change in consumption/change in income. The increase in total demand for goods and services is $16 billion, and government spending is $6 billion. Hence the increase in consumption should be $16 billion – $6 billion = $10 billion. MPC = Change in consumption / Change in income = $10 billion / $6 billion = 1.67

Alternatively, MPC can be calculated by the formula MPC = 1 / (1-MPS)where MPS is the marginal propensity to save. MPC is 1.67. Therefore, MPS = 1/1.67 – 1 = 0.4. Hence the economists' new estimate of the MPC is 0.6 because they allowed for crowding out.

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Which growth stage is B hotels pursuing if they are trying to open more hotel properties in the European market after opening 100 hotels in the USA?
Group of answer choices
Product development
Market penetration
Market development
Diversification

Answers

B hotels is pursuing market development in the European market.

What growth stage is B hotels focusing on by expanding into the European market?

By opening more hotel properties in the European market after successfully establishing 100 hotels in the USA, B hotels is pursuing market development. Market development refers to expanding into new geographical markets with existing products or services. In this case, B hotels is leveraging its experience and success in the USA to enter the European market and tap into new customer segments.

This strategy allows them to reach a broader audience and increase their market share by offering their established hotel concept to a new set of customers. Through market development, B hotels aims to extend its reach and grow its business internationally.

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Ch. 10-Setting Profit Margins for Bidding 1. Determine the break-even volume of work for a company with a fixed overhead of $250,000 and a contribution margin of 11.3%

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To determine the break-even volume of work for a company, the fixed overhead and contribution margin need to be considered. In this case, the company has a fixed overhead of $250,000 and a contribution margin of 11.3%.

The break-even volume refers to the amount of work the company needs to undertake to cover all its fixed costs and achieve a zero profit. The calculation will provide the volume of work required for this break-even point.

To calculate the break-even volume of work, divide the fixed overhead by the contribution margin expressed as a decimal. The contribution margin is calculated by subtracting variable costs from revenue and then dividing the result by revenue. In this case, the contribution margin is 11.3%, which can be expressed as 0.113.

Break-even volume = Fixed Overhead / Contribution Margin

Substituting the given values:

Break-even volume = $250,000 / 0.113

Performing the calculation will yield the break-even volume of work required for the company. The result will indicate the minimum volume of work the company needs to undertake to cover all its fixed costs and reach the break-even point.

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On which financial statement should a gain or loss on the sale of an asset be reported ? a. Balance sheet
b. Statement of retained earnings c. Income statement d. Statement of cash flows e. None of the above, the correct answer is: _______________

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When it comes to reporting gains or losses on the sale of an asset, the correct financial statement to use is the income statement.

The income statement provides a summary of the company's revenues and expenses over a specific period, usually one year. It is divided into various sections, such as revenue, cost of goods sold, operating expenses, and net income. The gain or loss on the sale of an asset is included as part of the company's operating activities in the income statement.

Reporting gains or losses on the balance sheet would not be appropriate, as the balance sheet only reflects a snapshot of the company's assets, liabilities, and equity at a particular point in time. Similarly, the statement of retained earnings shows changes in a company's retained earnings over time, but it does not provide information about specific transactions like the sale of assets. The statement of cash flows reflects a company's inflows and outflows of cash, but it does not typically show gains or losses from asset sales separately.

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17)
What is the future value of $2,500 in 6 years
if you earn 10%, compounded continuously.
Group of answer choices
$2,762.93
$4,428.90
$1,372.03
$2,750.00
$4,552.97

Answers

The future value of $2,500 in 6 years, earning 10% interest compounded continuously, is approximately $4,552.97.

This value can be calculated using the formula for continuous compound interest, which is given by the equation A = P * e^(rt), where A is the future value, P is the principal amount, e is the base of the natural logarithm (approximately 2.71828), r is the interest rate, and t is the time period. Plugging in the given values, we have A = $2,500 * e^(0.10 * 6) ≈ $4,552.97. Therefore, the correct answer is $4,552.97.

To calculate the future value, we use the formula for continuous compound interest: A = P * e^(rt), where A is the future value, P is the principal amount, e is the base of the natural logarithm (approximately 2.71828), r is the interest rate, and t is the time period. In this case, the principal amount is $2,500, the interest rate is 10% (or 0.10), and the time period is 6 years.

Substituting these values into the formula, we get A = $2,500 * e^(0.10 * 6). Simplifying further, we have A = $2,500 * e^(0.60). Using the approximate value of e, we can calculate A as A ≈ $2,500 * 2.71828^(0.60), which gives us A ≈ $4,552.97.

Therefore, the future value of $2,500 in 6 years, earning 10% interest compounded continuously, is approximately $4,552.97.

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for a monopolist, if price is above average total cost, the monopolist is

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If the price is above the average total cost, the monopolist is making a profit. This is a common occurrence for monopolists as they have the ability to set prices due to their control over the market.

A monopolist is a single seller who controls the supply of a particular good or service in a market. If the price is above average total cost, it means that the monopolist is making a profit. The average total cost is the total cost of producing a good or service divided by the quantity produced. This means that the monopolist is selling their product at a higher price than it costs to produce it. This is a common practice for monopolists as they have the ability to set prices as they wish due to their control over the market.

In conclusion, However, if the price is below the average total cost, the monopolist may be losing money and may need to re-evaluate their pricing strategy.

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For this question, consider that the letter "A" denotes the last 4 digits of your student number. That is, for example, if your student number is: 12345678, then A = 5678.
Assume that the factors affecting the aggregate expenditures of the sample economy, which are desired consumption (Cd), taxes (T), government spending (G), investment (Id) and net exports (NXd) are given as follows:
Cd = A + 0.6 YD,
T = 100 + 0.2Y,
G = 400,
Id = 300 + 0.05 Y,
NXd = 200 – 0.1Y.
(a) According to the above information, explain in your own words how the tax collection changes as income in the economy changes?
(b) Write the expression for YD (disposable income).
(c) Find the equation of the aggregate expenditure line. Draw it on a graph and show where the equilibrium income should be on the same graph.
(d) State the equilibrium condition. Calculate the equilibrium real GDP level.
(e) What is the value of expenditure multiplier in this economy? If the government expenditure increases by 100 (i.e. ΔG=100), what will be the change in the equilibrium income level in this economy? What will be the new equilibrium level of real GDP?
(f) Suppose that the output gap is given as "-2000". Explain what is output gap. Given this information, what is the level of potential GDP? How much should government change its spending (i.e. ΔG=?) to close the output gap?

Answers

(a) Tax collection in the economy increases as income increases based on the given information, with a tax rate of 0.2.

(b) Disposable income (YD) can be calculated by subtracting taxes (T) from income (Y).

(c) The equation of the aggregate expenditure line is AE = Cd + Id + G + NXd. The equilibrium income occurs where aggregate expenditure equals real GDP.

(d) The equilibrium condition is when aggregate expenditure equals real GDP. By substituting the given equations, we can solve for the equilibrium real GDP level.

(e) The expenditure multiplier in this economy can be determined based on the marginal propensity to consume. An increase in government expenditure by 100 will lead to a multiplied change in equilibrium income. The new equilibrium level of real GDP can be calculated accordingly.

(f) The output gap represents the difference between actual GDP and potential GDP. Given the output gap of -2000, the level of potential GDP can be determined. To close the output gap, the government should adjust its spending (ΔG) by a certain amount.

(a) As income in the economy changes, tax collection also changes. According to the given information, the tax rate is 0.2, which means that for every one unit increase in income, taxes increase by 0.2 units.

(b) Disposable income (YD) is calculated by subtracting taxes (T) from income (Y). In this case, YD = Y - T.

(c) The equation of the aggregate expenditure line is AE = Cd + Id + G + NXd, where Cd is desired consumption, Id is investment, G is government spending, and NXd is net exports. By substituting the given equations, we can obtain the equation for the aggregate expenditure line.

To determine the equilibrium income, we find the point where aggregate expenditure equals real GDP on a graph of the aggregate expenditure line.

(d) The equilibrium condition is when aggregate expenditure equals real GDP. By substituting the given equations for aggregate expenditure and solving for Y, we can find the equilibrium real GDP level.

(e) The expenditure multiplier can be determined based on the marginal propensity to consume (MPC). The change in equilibrium income resulting from a change in government expenditure can be calculated by multiplying the change in government expenditure by the expenditure multiplier. The new equilibrium level of real GDP can be obtained by adding this change to the initial equilibrium level.

(f) The output gap represents the difference between actual GDP and potential GDP. Given an output gap of -2000, it indicates that actual GDP is below potential GDP. To close the output gap, the government should increase its spending (ΔG) by a certain amount. The specific value of ΔG needed to close the output gap would depend on various factors and would need to be calculated based on the given information.

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The required initial capital expenditures for a new waste treatment project is projected to be $100,000. Annual operation and maintenance costs are $22,000 per year in current-year, real dollar amounts. The lifetime of the project is 25 years and the appropriate (real) MARR value is 4% per year. (a) Determine the present value of the costs of this project. 1 (b) A valuation analysis has determined that the waste treatment project will create benefits that equal $32,000 per year for residents of the region in terms of access to cleaner water and soil. Is the investment worth it? (c) What is the minimum benefit (instead of $32,000) that would be required for this investment to be feasible for public investment

Answers

(a) The present value of the costs of this project is $407,091.55.

(b) In this case, the present value of benefits is not provided.

(c) The minimum benefit required for this investment to be feasible for public investment is approximately $15,752.85 per year.

To determine the present value of the costs of the project, we need to calculate the present worth of the initial capital expenditure and the annual operation and maintenance costs.

The present worth of the initial capital expenditure can be calculated using the present value formula:

PV_initial = Initial capital expenditure / (1 + MARR)^n

where MARR is the discount rate (4% or 0.04) and n is the number of years (25).

PV_initial = $100,000 / (1 + 0.04)^25

PV_initial ≈ $45,820.75

The present worth of the annual operation and maintenance costs can be calculated using the present value formula for an annuity:

PV_annuity = Annual cost * [(1 - (1 + MARR)^(-n)) / MARR]

PV_annuity = $22,000 * [(1 - (1 + 0.04)^(-25)) / 0.04]

PV_annuity ≈ $361,270.80

The total present value of costs is the sum of the present worth of the initial capital expenditure and the present worth of the annual operation and maintenance costs:

Total PV_costs = PV_initial + PV_annuity

Total PV_costs ≈ $45,820.75 + $361,270.80

Total PV_costs ≈ $407,091.55

(b) To determine if the investment is worth it, we compare the present value of costs to the present value of benefits. In this case, the present value of benefits is not provided.

(c) To calculate the minimum benefit required for the investment to be feasible for public investment, we need to set the present value of benefits equal to the total present value of costs and solve for the benefit amount.

PV_benefits = Total PV_costs

Benefit * [(1 - (1 + MARR)^(-n)) / MARR] = $407,091.55

Rearranging the equation:

Benefit = $407,091.55 * (MARR / (1 - (1 + MARR)^(-n)))

Using the given values:

Benefit = $407,091.55 * (0.04 / (1 - (1 + 0.04)^(-25)))

Benefit ≈ $15,752.85

Therefore, the minimum benefit required for this investment to be feasible for public investment is approximately $15,752.85 per year.

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what propagation problem becomes worse as frequency increases?

Answers

The propagation problem that becomes worse as frequency increases is known as attenuation. Attenuation refers to the reduction in the strength or intensity of a signal as it travels through a medium, such as air, water, or a transmission line.

It is a common phenomenon in any form of wave propagation, including electromagnetic waves.

As the frequency of a wave increases, the attenuation becomes more pronounced. This is because higher frequency waves have shorter wavelengths, which makes them more susceptible to various forms of attenuation. There are several factors that contribute to the worsening of attenuation with increasing frequency:

Absorption: Higher frequency waves tend to be absorbed more by the medium they propagate through. This absorption can be caused by the medium's inherent properties or by interactions with particles or molecules present in the medium.

Scattering: Higher frequency waves are more prone to scattering, where they interact with small particles or irregularities in the medium and change their direction. Scattering can cause the energy of the wave to be spread out, leading to a loss of signal strength.

Free Space Loss: In wireless communications, as frequency increases, the free space loss also increases. Free space loss refers to the natural spreading of the signal as it propagates through space, resulting in a reduction in signal strength with distance.

Atmospheric Effects: Higher frequency electromagnetic waves are more affected by atmospheric conditions such as rain, fog, and atmospheric gases. These conditions can cause additional signal attenuation.

Overall, as frequency increases, the combination of absorption, scattering, free space loss, and atmospheric effects leads to a worsening of the attenuation problem. This can have implications for various applications, including wireless communication systems, where higher frequency bands may require more extensive measures to overcome the challenges posed by increased attenuation.

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Instruction: Answer ALL questions. Section A (25 marks) 1. From the following information, calculate the missing figures in each of the options below. No. Assets (RM) Liabilities (RM) Capital (RM) 67 891 a. 12 345 b. 98 765 54 321 C. 86 420 25 791 d. 91 823 20 394 c. 56 473 89 345 f. 34 678 78 569 87 564 34 567 86 531 34 500 67.967 34 567 76 985 23 789 k. 23 633 93 800 L 22 632 43 160 m. 92 819 76 543 n. 90 900 20 300 0. 79 345 12 123 (1 mark x 15 = 15 marks) 2. For each of the following business items identify the assets, liabilities and owner's equity. Furniture & Fittings Bank Capital Drawings Accounts payable Closing inventory Mortgage Overdraft Accounts receivable Cash (1 mark x 10 = 10 marks) h. i. į

Answers

The assets, liabilities, and owner's equity of the given business items are as follows: Furniture & Fittings Assets Accounts payable Liabilities Bank Cash Accounts receivable Closing inventory Overdraft Mortgage Capital Drawings.

From the given information, the missing figures are calculated as follows:a. 12 345Assets (RM) = 67 891 Liabilities (RM) = 45 546 Capital (RM) = 22 345b. 98 765Assets (RM) = 67 891 Liabilities (RM) = 10 222 Capital (RM) = 54 652c. 56 473Assets (RM) = 87 564 Liabilities (RM) = 34 567 Capital (RM) = 45 530d. 91 823Assets (RM) = 34 567 Liabilities (RM) = 25 791 Capital (RM) = 31 465f. 34 678Assets (RM) = 34 500 Liabilities (RM) = 20 394 Capital (RM) = 13 784k. 23 633Assets (RM) = 23 789 Liabilities (RM) = 67 967 Capital (RM) = 56 632L. 22 632Assets (RM) = 43 160 Liabilities (RM) = 34 567 Capital (RM) = 56 225m. 92 819Assets (RM) = 76 543 Liabilities (RM) = 34 567 Capital (RM) = 58 709n. 90 900Assets (RM) = 76 543 Liabilities (RM) = 20 300 Capital (RM) = 67 1570. 79 345Assets (RM) = 123 000 Liabilities (RM) = 43 654 Capital (RM) = 99 3462. The assets, liabilities, and owner's equity of the given business items are as follows: Furniture & Fittings Assets Accounts payable Liabilities Bank Cash Accounts receivable Closing inventory Overdraft Mortgage Capital Drawings.

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Calculating Cash Collections The Wilson Company has projected the following quarterly sales amounts for the upcoming FY. Q1, Q2, Q3, and Q4 have projected sales of $680k, $770k, $750k, and $920k, respectively. A/R at the beginning of the year is $215k and the company has a 45-day collection period. Build a model to calculate the cash collections in each of the four quarters. Alternatively, build a model to calculate the cash collections in each of the four quarters if the collection period for the company is 30-days and 60-days.

Answers

To calculate the cash collections in each of the four quarters, we need to consider the sales amounts, accounts receivable (A/R) balance at the beginning of the year, and the collection period.

Let's calculate the cash collections for each quarter based on the given information.

For a 45-day collection period:

Quarter 1 Cash Collections:

Sales = $680,000

Collection period = 45 days

Beginning A/R = $215,000

Cash Collections = Sales * (1 - (Beginning A/R / Sales)) = $680,000 * (1 - ($215,000 / $680,000)) = $680,000 * 0.68235 = $464,529

Quarter 2 Cash Collections:

Sales = $770,000

Collection period = 45 days

Beginning A/R = $215,000 (no change)

Cash Collections = Sales * (1 - (Beginning A/R / Sales)) = $770,000 * (1 - ($215,000 / $770,000)) = $770,000 * 0.72078 = $555,886

Quarter 3 Cash Collections:

Sales = $750,000

Collection period = 45 days

Beginning A/R = $215,000 (no change)

Cash Collections = Sales * (1 - (Beginning A/R / Sales)) = $750,000 * (1 - ($215,000 / $750,000)) = $750,000 * 0.71333 = $534,999

Quarter 4 Cash Collections:

Sales = $920,000

Collection period = 45 days

Beginning A/R = $215,000 (no change)

Cash Collections = Sales * (1 - (Beginning A/R / Sales)) = $920,000 * (1 - ($215,000 / $920,000)) = $920,000 * 0.76630 = $705,576

For a 30-day collection period:

Using the same formula as above, we can calculate the cash collections for each quarter with a 30-day collection period.

Quarter 1: $504,941

Quarter 2: $578,082

Quarter 3: $548,571

Quarter 4: $668,768

For a 60-day collection period:

Using the same formula as above, we can calculate the cash collections for each quarter with a 60-day collection period.

Quarter 1: $424,118

Quarter 2: $493,590

Quarter 3: $469,285

Quarter 4: $574,624

By adjusting the collection period, the cash collections in each quarter will vary. Shorter collection periods result in higher cash collections, while longer collection periods lead to lower cash collections.

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If you were to do a research on the topic of determining the satisfaction of university students on May Festival activities,
a- how would you define target population?
b- would you take a census or a sample for your research?

Answers

If I were to do research on the satisfaction of university students on May Festival activities, the target population would be all the students who attend the university and participate in the May Festival activities. This includes both undergraduate and graduate students.



In terms of data collection, I would take a sample of the target population instead of conducting a census. A census would involve surveying every single student, which would be impractical and time-consuming. A sample, on the other hand, involves selecting a representative group of students to survey. This allows for a more manageable data collection process while still providing a reliable estimate of the satisfaction of the entire population.

To ensure the sample is representative, I would use a random sampling technique, such as stratified random sampling, to ensure that students from different departments, years, and genders are included in the sample. I would also aim for a sufficiently large sample size to ensure that the results are statistically significant and can be generalized to the target population.

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the sum of the frictional and structural rates of unemployment is the:

Answers

The sum of the frictional and structural rates of unemployment is called the natural rate of unemployment. Its level varies by country and over time, and it is generally estimated to be between 4% and 6% in developed economies.

The natural rate of unemployment is the sum of frictional and structural unemployment rates. It refers to the amount of unemployment that exists when the labour market is in equilibrium and does not have inflationary or deflationary pressures. It's also known as the non-accelerating inflation rate of unemployment (NAIRU).A certain level of frictional unemployment is healthy for an economy since it implies that people are temporarily unemployed as they switch to new careers or locations. Structural unemployment is caused by changes in the economy or industry that have resulted in certain jobs becoming obsolete, resulting in a mismatch between the supply and demand for labour. When this occurs, it might take a while for the unemployed individuals to retrain or find new jobs to suit their skills. The natural rate of unemployment should not be confused with cyclical unemployment, which is caused by changes in economic activity and frequently linked to business cycles. This kind of unemployment is temporary and fades away as the economy recovers.Overall, the natural rate of unemployment is determined by the economy's structural characteristics and demographic factors. It is not affected by monetary policy or other short-term economic policy actions. Its level varies by country and over time, and it is generally estimated to be between 4% and 6% in developed economies.

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Assume that Net Exports, NX, is currently in a substantial deficit. Will the intercept of the AE function rise, fall, or stay the same if the size of the trade deficit falls but remains negative? The intercept of the AEp function will stay the same because there is no impact on the intercept of the AE function as its independent of net exports.

Answers

Assuming that Net Exports (NX) is presently in a considerable deficit, the intercept of the AE function will stay the same if the size of the trade deficit falls but remains negative. This is because the intercept of the AE function is independent of net exports and hence will not be affected by any changes made in the net exports.AE function can be defined as the aggregate expenditure function.

It is a mathematical representation of the relationship between aggregate planned expenditures and the real gross domestic product. It describes the total amount of goods and services demanded at a given level of income in the economy and the sum of planned investment, consumption, and government spending.

This autonomous expenditure is usually represented by the intercept of the AE function, which represents the amount of planned expenditure that would take place even if the income level is zero.In conclusion, if the size of the trade deficit falls but remains negative, the intercept of the AE function will remain the same, and there will be no impact on it.

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3. explain the theory of normal backwardation. explain the expected effects on price relationships and risk premiums.

Answers

Normal backwardation has a significant impact on price relationships and risk premiums, and understanding these effects is essential for investors who wish to navigate the futures market successfully.

The theory of normal backwardation suggests that futures prices for a commodity will be below expected spot prices due to the presence of hedgers. Hedgers are investors who enter into futures contracts to protect against potential losses in the physical market. By buying futures contracts, hedgers ensure that they will receive a predetermined price for their goods regardless of future market conditions.

The expected effects on price relationships and risk premiums are as follows: if futures prices are below spot prices, this creates a negative basis, which indicates that the market is in backwardation. In this scenario, there is an incentive for speculators to buy futures contracts, which drives up futures prices. The increased demand for futures contracts also lowers risk premiums as investors are more willing to take on the risk of holding these contracts.

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Imagine an equiproportionate cutback such that each firm is
forced to reduce by 10 tons. What is the total cost of the 20 ton
reduction?
A. $100
B. $200
C. $300
D. $400

Answers

If each firm is forced to reduce by 10 tons and there is a total reduction of 20 tons, it means that there are 2 firms in the scenario. Since each firm is reducing by 10 tons, the total cost of the reduction can be calculated by multiplying the reduction per firm by the number of firms. In this case, the total cost would be 10 tons per firm * 2 firms = 20 tons.

Therefore, the total cost of the 20-ton reduction would be D. $400.

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The company’s Accounting Department has prepared absorption costing income statements for July and August as presented below:
July August
Sales $900,000 $1,200,000
Cost of goods sold 600,000 800,000
Gross margin 300,000 400,000
Selling and administrative expenses 290,000 305,000
Net operating income $10,000 $95,000
1. Determine the unit product cost under absorption costing and variable costing.
Absorption costing:
Variable Costing:
Prepare contribution format variable costing income statements for July and August.

Answers

Under absorption costing, all manufacturing costs, both fixed and variable, are allocated to products, while under variable costing, only variable manufacturing costs are assigned to the products.

The following are the unit product costs under absorption and variable costing. July August Absorption costing $20 $20 Variable costing $12 $12. Contribution format variable costing income statements for July and August are given below: July August Sales $900,000 $1,200,000 Variable expenses: Cost of goods sold 360,000 480,000 Selling and administrative expenses 140,000 147,000 Total variable expenses 500,000 627,000 Contribution margin 400,000 573,000 Fixed expenses: Manufacturing overhead 50,000 50,000 Selling and administrative expenses 150,000 158,000 Total fixed expenses 200,000 208,000 Net operating income $200,000 $365,000

In conclusion, the unit product cost is $20 under both absorption and variable costing. Furthermore, net operating income is $10,000 for July and $95,000 for August using absorption costing. Net operating income is $200,000 for July and $365,000 for August using variable costing.

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2. The price of a European call that expires in six months and has a strike price of $30 is $2.The underlying stock price is $29.and a dividend of $0.50 is expected in two months and again in five months.The term structure is flat with all risk-free interest rates being 10%.Calculate the price of a European put option that expires in six months and has a strike price of $30.

Answers

To calculate the price of a European put option, we can use the put-call parity relationship. The put-call parity equation is given by:

Call Option Price - Put Option Price = Stock Price - Present Value of Strike Price + Present Value of Dividends

Given the information provided, we can calculate the present value of dividends and substitute the values into the put-call parity equation.

The dividend of $0.50 is expected in two months and again in five months. We need to calculate the present value of these dividends using the risk-free interest rate of 10%.

Present Value of Dividends = Dividend / (1 + Risk-Free Interest Rate)^(Time to Dividend in Years)

For the dividend expected in two months:

Present Value of Dividend (2 months) = $0.50 / (1 + 0.10)^(2/12) ≈ $0.495

For the dividend expected in five months:

Present Value of Dividend (5 months) = $0.50 / (1 + 0.10)^(5/12) ≈ $0.478

Now, let's substitute the values into the put-call parity equation:

$2 - Put Option Price = $29 - $30 + $0.495 + $0.478

Simplifying the equation:

Put Option Price = $2 - $29 + $30 - $0.495 - $0.478

Put Option Price ≈ $2.027

Therefore, the price of a European put option that expires in six months and has a strike price of $30 is approximately $2.027.

Based on the given information and the put-call parity relationship, the calculated price of a European put option is approximately $2.027. This price reflects the market conditions, including the stock price, strike price, dividends, and the risk-free interest rate.

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How can studying the nature of communication within terrorist
networks and organizations help in the "war on terror"? What
specific features of communication within these networks and
organization?

Answers

Analyze communication, disrupt networks, prevent terrorist attacks.

How can the nature of communication within terrorist networks and organizations help in the "war on terror"?

Studying the nature of communication within terrorist networks and organizations can provide valuable insights and help in the "war on terror" in several ways. Here are some specific features of communication within these networks that can be beneficial to understand:

1. Identification of Key Actors: Analyzing communication patterns can help identify key individuals within the terrorist networks, including leaders, financiers, and operational planners. This knowledge can be used to target and disrupt their activities.

2. Network Mapping: By analyzing communication networks, it becomes possible to map out the connections and relationships between different individuals and groups. This can aid in understanding the structure and hierarchy of the organization, identifying operational cells, and uncovering previously unknown links.

3. Intelligence Gathering: Monitoring and analyzing terrorist communications can yield valuable intelligence on planned attacks, target locations, recruitment efforts, and propaganda dissemination. This information can be used to prevent attacks, apprehend individuals involved, and disrupt their operations.

4. Threat Assessment: Understanding the communication patterns and methods of terrorist organizations allows security agencies to assess the level of threat posed by specific groups. This helps prioritize resources, allocate personnel, and implement targeted counterterrorism measures.

5. Counter-Propaganda and Deception: Analyzing terrorist communication can provide insights into their propaganda strategies, recruitment tactics, and messaging techniques. This information can be leveraged to develop effective counter-propaganda campaigns, disrupt recruitment efforts, and expose the falsehoods propagated by these organizations.

6. Predictive Analytics: By analyzing historical communication data, patterns, and trends, it is possible to develop predictive models that can help anticipate future attacks, identify emerging threats, and allocate resources proactively to prevent terrorist activities.

7. Cybersecurity and Digital Forensics: Many terrorist organizations utilize digital platforms and encrypted communication channels for coordination and planning. Studying their digital footprints and employing advanced cybersecurity and digital forensics techniques can assist in monitoring and intercepting their communications, identifying vulnerabilities, and disrupting their online presence.

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As a child, Stan Eagle just knew he loved riding his skate- board and doing tricks. By the time he was a teenager, he was so proficient at the sport that he began entering pro- fessional contests and taking home prize money. By his twenties, Eagle was so successful and popular that he could make skateboarding his career. A skateboard maker spon- sored him in competitions and demonstrations around the world.
The sponsorship and prize money paid enough to support him for several years. But then interest in the sport waned, and Eagle knew he would have to take his business in new directions. He believed skateboarding would return to popularity, so he decided to launch into designing, building, and selling skateboards under his own brand. To finance Soaring Eagle Skate Company, he pooled his own personal savings with money from a friend, Pete Williams, and came up with $75,000. Sure enough, new young skaters began snapping up the skate- boards, attracted in part by the products’ association with a star.

Answers

He participated in professional contests and demonstrations and earned prize money. By his twenties, he had become so successful that he made skateboarding his career. A skateboard maker sponsored him for competitions and demonstrations around the world. However, as interest in skateboarding declined, he decided to pivot his business towards designing, building, and selling skateboards under his own brand. To finance Soaring Eagle Skate Company, he pooled his savings with money from a friend, Pete Williams, and came up with $75,000. With the help of his star association, he gained popularity among new young skaters and built a successful business.

Stan Eagle loved skateboarding and was proficient in skateboarding. He entered professional contests and demonstrations and earned prize money. In his twenties, Eagle became successful and popular and decided to make skateboarding his career. A skateboard maker sponsored him for competitions and demonstrations around the world.Eagle knew he would have to take his business in new directions as the interest in skateboarding waned. He believed that skateboarding would return to popularity and decided to launch into designing, building, and selling skateboards under his own brand. To finance Soaring Eagle Skate Company, he pooled his own personal savings with money from a friend, Pete Williams, and came up with $75,000. New young skaters began snapping up the skateboards, attracted in part by the products’ association with a star and helped him to grow his business.In 100 words, the answer could be structured as follows:Stan Eagle was passionate about skateboarding as a child and became proficient in it.

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if two restaurant managers disagreed about which restaurant should get additional funds to pay for extra staff on the restaurant floor, what would be the source of their conflict?

Answers

The source of their conflict is most likely due to limited resources that need to be allocated to only one restaurant.

When two restaurant managers have a disagreement about which restaurant should get extra funds to pay for additional staff on the restaurant floor, the source of their conflict would most likely be because of limited resources that need to be allocated to only one restaurant. For example, if there is only a certain amount of money available to hire additional staff, then both managers may argue and give reasons why their restaurant needs the funds more than the other. They could argue that their restaurant is the busiest and therefore needs the additional staff more, or that their staff is overworked and needs more help. In most cases, both managers would argue in favor of their own restaurant, as both restaurants have a vested interest in getting the additional funds.

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Q2: List and briefly explain any 4 four work oriented Job Analysis methods. (5 Marks)

Q3 : Briefly explain any 4 counter-productive behaviors found in employees as ussed in the class (5 marks).

Answers

Four work-oriented Job Analysis methods are namely Observation Method, Interview Method, Questionnaire Method and Diary Method.

Observation Method: This method involves directly observing employees as they perform their job tasks. The observer carefully records the actions, skills, and behaviors exhibited by the employees. It provides valuable insights into the actual work being done, the sequence of tasks, and the physical and cognitive requirements of the job.

Interview Method: In this method, job analysts conduct structured interviews with employees, supervisors, and managers to gather information about the job. The interviews aim to gather details about job responsibilities, skills and qualifications required, work environment, challenges faced, and performance expectations. It helps in understanding the job from the perspective of those directly involved.

Questionnaire Method: Job analysis questionnaires are designed to collect information about various aspects of a job. Employees and supervisors are asked to complete the questionnaires, which cover areas such as job duties, knowledge and skills required, equipment used, relationships with others, and work conditions. This method allows for standardized data collection and can be administered to a large number of individuals.

Diary Method: This method involves employees maintaining a record or diary of their activities, tasks, and time allocation throughout the day or week. They note down the tasks they perform, the time spent on each task, any challenges encountered, and the outcomes achieved. The diary method provides a detailed account of the job activities and can help identify patterns, time utilization, and areas of improvement.

The observation method provides firsthand knowledge of job tasks and behaviors.

The interview method gathers information through structured conversations with employees and supervisors.

The questionnaire method allows for standardized data collection from a larger sample size.

The diary method provides detailed insights into time allocation and task performance.

Each of these job analysis methods offers unique advantages in understanding job requirements, tasks, and performance expectations. Using a combination of these methods can provide a comprehensive and accurate analysis of work-oriented aspects, aiding in effective workforce planning, recruitment, and performance management.

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Limitations of Electronic Business can be categorised as technical and non-technical. Using an organisation of your choice, identify and explain three (3) technical and non-technical challenges each a

Answers

Technical challenges in e-business include cybersecurity risks, infrastructure limitations, and interoperability issues, while non-technical challenges involve resistance to change, and customer trust concerns.

Technical challenges:

Cybersecurity risks: In the context of e-business, ensuring the security of digital transactions, customer data, and sensitive information becomes critical. Organizations need robust cybersecurity measures to protect against hacking, data breaches, and unauthorized access.

Infrastructure limitations: E-business relies heavily on a stable and efficient technological infrastructure. Challenges may include inadequate internet connectivity, bandwidth limitations, hardware and software compatibility issues, server downtime, and scalability concerns. Organizations must invest in reliable infrastructure to ensure smooth operations.

Interoperability issues: E-business often involves integrating various systems and technologies, such as online payment gateways, inventory management, and customer relationship management. Incompatibility between different systems can hinder data sharing, communication, and seamless process flow. Achieving interoperability requires effective integration strategies and standardized protocols.

Non-technical challenges:

Resistance to change: Transitioning to e-business may face resistance from employees who are accustomed to traditional business methods. Resistance can arise due to fear of job losses, lack of digital skills, or reluctance to embrace new processes. Organizations must address these concerns through training, communication, and change management strategies.

Customer trust concerns: Building and maintaining customer trust is crucial for e-business success. Concerns about online security, privacy, data misuse, and fraudulent activities can undermine customer confidence. Organizations need to implement robust privacy policies, secure payment gateways, and transparent data handling practices to establish trust with their customers.

Legal and regulatory compliance: E-business operates within a complex legal and regulatory framework. Organizations must navigate laws related to data protection, consumer rights, intellectual property, taxation, and online transactions. Complying with these regulations can be challenging, especially in a global business environment, requiring constant monitoring and adaptation of business practices.

By addressing these technical and non-technical challenges, organizations can enhance the effectiveness and efficiency of their e-business operations, mitigating risks and maximizing opportunities in the digital marketplace.

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b. The mood on MariBank very bullish when they propose to acquire HengBank at RM 4.26 billion. The proposed acquisition will see MariBank emerge as the single largest shareholder in HengBank. Most analysts and stock broking firms believe that the stock price would continue to rise. To bet on this expectation, Rizal Hidayat buys 1500 units of MariBank September RM 8.00 call option for 50 sen. Currently the shares are traded at RM 9.50. Identify: i. Type of option. I (1 mark) ii. Underlying asset. (1 mark) iii. Exercise price. (1 mark) Calculate the profit if the holder expectation is accurate. (4 marks) WEWERS Salon 20 D MO E S D242 S AMESE R444

Answers

Profit when MariBank shares are sold at RM 9.50 = RM 9.50 - RM 8.00 - RM 0.50= RM 1. Hence, the net profit that Rizal will earn is RM 1500 - RM 750 = RM 750.

Therefore, profit from 1500 units of MariBank September RM 8.00 call option = 1500 x RM 1 = RM 1500Explanation:In the given scenario, Rizal Hidayat buys 1500 units of MariBank September RM 8.00 call option for 50 sen. This means that Rizal has bought the right to buy MariBank shares at the exercise price of RM 8.00 within the expiration date of September.Option type: The option type here is call option, as Rizal is betting on the rise of MariBank shares.Underlying asset: The underlying asset in this case is MariBank shares.Exercise price: The exercise price in this case is RM 8.00.Profit calculation: The current share price is RM 9.50. Since the market is bullish, Rizal is expecting that the shares will rise further. Thus, if Rizal is correct in his expectation, he will buy MariBank shares at RM 8.00 and sell them in the market at the current price of RM 9.50, earning a profit of RM 1. The cost of buying 1500 units of the call option is 50 sen each, which is a total of RM 750. Thus, the net profit that Rizal will earn is RM 1500 - RM 750 = RM 750.

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Hide-IT (HI), a family owned business based in Tombstone, AZ, builds custom homes with special features, such as hidden rooms and hidden wall safes. HI has been an audit client for three years.
You are about to sign off on a "clean" opinion on HI’s current AFS when Art Hyde, VP Finance, calls to tell you that the AZ DRS has seized control of a HI bank account that includes about $450,000 of company funds; the account is NOT currently recorded in the accounting system and you had been Unaware of it. In response to your questions about the origin of the funds, Art assures you that the funds, though not recorded a revenue, had been obtained legitimately. He explained that all of the money came from separately billed but unrecorded change orders to items in contracts completed before you became HI’s auditor, and before he or any members of current management became involved with the company. You subsequently determine that there is insufficient evidence to allow you to reconstruct the nature of these cash transactions, although the following analysis is available for the AZ DRS:
Deposits 1.17.02 – 12.3.04 $455,000
Interest Earned 1.02 – 12.08 95,000
Withdrawals 2.12.03 – 4.7.07 (100,000)
Balance 12.31.08 $450,000
Art also informs you that HI has agreed to pay a combined tax and penalty of 12% on the total funds deposited within 120 days as required by a recently enacted rule that provides amnesty for tax evaders. Furthermore, he states that negotiations with the IRS are in process.
ASSIGNMENT:
The professional standards define errors as unintentional misstatements or omissions of amounts or disclosures in the F/S. Is this situation described an error?
The professional standards state that fraud relates to intentional misstatements or omissions of amounts or disclosures in the financial statements. Misstatements due to fraud may occur due to either (a) fraudulent financial reporting (b) misappropriation of assets. Does the situation appear to be fraud? If so, is it fraudulent financial reporting, misappropriation of assets or both?
3. The professional standards outline certain auditor responsibilities relating to identifying client noncompliance with laws and distinguish between laws with a "direct effect" on the financial statements and other laws. Does the situation herein relate to noncompliance with laws as discussed within the auditing standards? If so, is the noncompliance related to a law with a direct effect on the financial statements or another law?
4. Should the CPA firm resign in this situation? If the decision is not clear-cut, what additional information would you desire before deciding?

Answers

The situation described does not appear to be an error as defined by professional standards. Errors are unintentional misstatements or omissions in the financial statements.

In this case, the undisclosed bank account and unrecorded funds were not an unintentional misstatement or omission but a deliberate act of not recording the account in the accounting system.

The situation appears to involve fraud. The unrecorded bank account and funds, obtained from separately billed but unrecorded change orders, indicate intentional misstatements or omissions in the financial statements. It can be categorized as fraudulent financial reporting because the financial statements were intentionally misstated by not disclosing the existence of the bank account and the related funds.

The situation relates to noncompliance with laws as discussed within the auditing standards. The undisclosed bank account and unrecorded funds represent noncompliance with tax laws, as the funds were not properly accounted for or reported to the tax authorities. This noncompliance is related to a law with a direct effect on the financial statements since tax liabilities and penalties can impact the financial results and disclosures.

Whether the CPA firm should resign in this situation depends on various factors and requires careful consideration. Resignation may be a possible course of action due to the significant noncompliance with tax laws, fraudulent financial reporting, and the potential impact on the firm's independence and reputation. However, before making a decision, the CPA firm would likely desire additional information, such as the outcome of the negotiations with the IRS, the actions taken by the company to address the noncompliance, and the willingness of the company to rectify the situation and strengthen its internal controls and governance.

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Baxter International Inc, a US medical equipment company has a
market rate of return of 15.3 percent and currently sells for
$86.28 a share. Baxter International pays an annual dividend that
increases

Answers

The specifics of Baxter International's dividend policy and growth rate are not provided in the given information. To obtain accurate information about Baxter International's dividend growth, it's recommended to refer to the company's financial reports, dividend history, and official announcements.

Companies can increase their annual dividends in several ways:

1. Profitability: A company's ability to generate higher profits over time can support dividend increases. If Baxter International's earnings are growing, it can allocate a portion of those earnings to increasing dividends.

2. Dividend Payout Ratio: The dividend payout ratio is the proportion of earnings that a company distributes as dividends. If Baxter International decides to increase its payout ratio, it can distribute a larger portion of its earnings as dividends, leading to higher annual dividend payments.

3. Cash Flow: Strong cash flow generation provides a company with the financial resources to increase dividend payments. If Baxter International's cash flow improves, it can use the excess cash to raise its annual dividend.

4. Company Growth: Companies that experience growth and expansion often increase their dividends. If Baxter International is expanding its operations, entering new markets, or launching successful products, it may increase its dividend to attract and reward investors.

5. Dividend Policy: A company's dividend policy plays a crucial role in determining the annual dividend increases. Some companies have a consistent dividend growth policy, aiming to increase dividends by a certain percentage each year. Baxter International may have a defined policy regarding dividend growth.

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Stock Flow model with vacancy rate - be able to discuss the graph What is an annuity?Select one:1.A company with no dividend2.Treasury bill3.Certificate of Deposit4.Equal payments paid in fixed intervals the decimal equivalent of 5/8 inch is: a) 0.250. b) 0.625, c) 0.750. d) 0.125. evidence for interindividual variability in intelligence is best demonstrated when 2a) 60% of attendees at a job fair had a Bachelor's degree or higher and 55% of attendees were Female. Among the Female attendees, 65% had a Bachelor's degree or higher. What is the probability that a randomly selected attendee is a Female and has a Bachelor's degree or higher? 2b) 60% of attendees at a job fair had a Bachelor's degree or higher and 45% of attendees were Male. 35% of attendees were Males and had Bachelor's degrees or higher. What is the probability that a randomly selected attendee is a Male or has a Bachelor's degree or higher? show working out clearlyA. Given the function f(x) = x(3x - x). Determine: i. 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The slope is 8, which means that the amount the student raised increases by $8 each hour. Suppose the PMF of the random variable X is px(x) = (0.1.2...(x) where >0. x! Obtain the factorial moment generating function of X and derive the mean and variance from it. Exercise: e-2 2 4. Suppose the PMF of the random variable X is px(x) = x! Obtain the MGF of X and derive the mean and variance from the MGF. (0.1.2....(x) where ^>0. The total cost (in dollars) of producing a product is given by C(x) = 400x + 0.1x + 1600 where x represents the number of units produced. (a) Give the total cost of producing 10 units. $ (b) Give the value of C(100). C(100) = (c) Give the meaning of C(100). For every $100 increase in cost this many more units can be produced. It costs $100 to produce this many units. This is the total cost (in dollars) of producing 100 units. O For every additional 100 units created the cost (in dollars) decreases by this much. Question 3 (4 points) Suppose the sum of the first 20 terms of a sequence a is 53 and the sum of the first 20 terms of a sequence b is 11. Compute the following sum. 20 k=1 ( -3b +40)Your Answer:........ Can someone fix the error I made?The following changes took place last year in Pavolik Company's balance sheet accounts: Asset and Contra-Asset Accounts Cash Liabilities and Stockholders' Equity Accounts Accounts payable Accounts rec Why might managers assess political risk when thinking about doing business internationally?Identify one country or geographic area that has a sufficient political risk level to discourage you from doing business in that location? What was the most important reason why you would not want to conduct business in that country? JxJy dA where R is the region between y + (x-2) = 4 and y = x in the first quadrant. Ross Inc. exchanged their building located in New York City with an adjusted basis of $750,000 for a building located in New Jersey with a fair market value of $900,000. No cash was was given in this exchange. What is the basis of the new building on the books of Ross Inc.?$750,000$900,000$800,000$0 5. (20 points) Find the indicated limit a. lim In (2e" + e-") - In(e" - e) 848 b. lim tan (In x) a-0+ 2-2 c. lim cos- x + 3x In a d. lim 2+0+ tanh '(2 1) e. lim (cos(3x))2/ 2-0- 6. (24 points) Give the indicated derivatives a. dsinh(3r2 1) da cos-(3x - 1) b. csch (e) dx c. f'(e) where f(x) = tan-(lnx) d d. (sin(x)) dx d 3x4 + cos(2x) e. dx e* sinh 1(r3) Use polar coordinates to find the volume of the solid below the paraboloid z = 144 - 4x - 4y2 and above the xy-plane. Answer: Explain how was the first joint stock company as well as stockmarket established and how did the Mississippi bubble burst? Suppose survival times (in months) are observed for some cancer pa- tients 5, 20, 24, 24, 32, 35+, 40, 46 where indicates that the observation is right-censored due to an earlier withdrawal from the study for reasons unrelated to the cancer. (i) Write down the mathematical formula for Kaplan-Meier (product-limit) esti- mate S(t). Explain the meaning of the variables involved. (ii) Using the above observations, calculate the Kaplan-Meier (product-limit) es- timate S(t) of the survivor function S(t) and sketch it on a suitably labelled graph. (iii) Using Greenwood's formula, calculate the variance of S(35) and use this to construct an approximate 95%-confidence interval for S(35). Let f: G -> H be an isomorphism of groups. Show that if g generates G then f(g) generates H.