which implications are offered by house's revised path-goal theory? (choose every correct answer.) multiple select question. effective leaders will possess and likely use more than one style of leadership. leaders should help employees achieve their goals by clarifying the path to those goals and removing obstacles to achieving them. leaders should develop one style of leadership and master it so that it can be used effectively in any situation. leaders should modify their style to fit the employee characteristics and situational factors in the leadership situation.

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Answer 1

The revised path-goal theory suggests that effective leaders will possess and likely use more than one style of leadership and that leaders should modify their style to fit the employee characteristics and situational factors in the leadership situation.

The theory emphasizes the importance of adapting leadership styles to fit the needs and goals of individual employees and situations. It also suggests that leaders should be flexible and versatile in their approach to leadership, rather than relying on a single, fixed style. This can help them to be more effective in guiding and supporting their team members, and to achieve better outcomes overall. Additionally, the theory emphasizes the importance of providing clear direction and removing obstacles to help employees achieve their goals.

1. Effective leaders will possess and likely use more than one style of leadership.
2. Leaders should help employees achieve their goals by clarifying the path to those goals and removing obstacles to achieving them.
3. Leaders should modify their style to fit the employee characteristics and situational factors in the leadership situation.

House's Revised Path-Goal Theory suggests that successful leaders are those who can adapt their leadership styles based on the needs of their employees and the specific situation. They should be versatile and able to use multiple leadership styles to support and guide their team members. This includes providing clear directions, removing obstacles, and adjusting their approach based on the unique characteristics and circumstances at hand.

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Related Questions

You, as the sales manager, are presenting to the CEO, the sales results of this quarter and the last three quarters. Which of the following charts would you use to present this result? Vertical Bar Chart Pie chart Line chart Bar Chart

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As a sales manager presenting the sales results of this quarter and the last three quarters to the CEO, the most appropriate chart to use would be a Vertical Bar Chart.

A Vertical Bar Chart, also known as a column chart, would effectively display the sales data for each quarter in a visually clear and easy-to-understand manner. This chart type is best suited for comparing data across categories, which in this case are the different quarters.

To create a Vertical Bar Chart, follow these steps:

1. Label the horizontal axis (x-axis) with the names of each quarter (e.g., Q1, Q2, Q3, Q4).
2. Label the vertical axis (y-axis) with the sales figures, typically using a consistent scale.
3. Draw vertical bars for each quarter, with heights corresponding to their respective sales figures.
4. Assign a unique color or pattern to each bar for better visual distinction and understanding.
5. Optionally, add data labels above each bar to display the exact sales figures.

The other charts mentioned, such as Pie charts and Line charts, are not ideal for this scenario.

A Pie Chart is used to display proportions within a whole, making it difficult to compare data across multiple quarters.

A Line Chart is best suited for displaying continuous data over time, which may not accurately represent the discrete quarterly sales data.

In summary, a Vertical Bar Chart is the most suitable option for presenting sales results of this quarter and the last three quarters to the CEO, as it effectively compares data across the different quarters and allows for easy interpretation of the results.

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according to okun's law, if a country's recessionary output gap grows by 5 percent, then its cyclical unemployment rate will

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If a country's recessionary output gap grows by 5%, according to Okun's law, its cyclical unemployment rate could increase by around 2.5% to 7.5%.

Unemployment refers to the situation where individuals who are willing and able to work are unable to find employment opportunities that match their skills and qualifications. It is a key economic indicator that reflects the health of an economy and the availability of job opportunities for its citizens.

There are several types of unemployment, including frictional unemployment, which occurs when individuals are between jobs and searching for new employment opportunities, and structural unemployment, which results from a mismatch between the skills possessed by workers and the requirements of available jobs. Cyclical unemployment is another type of unemployment that occurs as a result of fluctuations in the overall economy. During economic recessions or downturns, businesses may lay off workers, resulting in higher levels of unemployment.

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Complete Question:

according to okun's law, if a country's recessionary output gap grows by 5 percent, then its cyclical unemployment rate will increase by 8%.

an extranet is a private network, such as a school or company network, in which the devices and servers are available only to users connected to the internal network.
T
F

Answers

True. An extranet is a private network that allows authorized users to access specific resources or services from outside the organization.

It is usually set up for business partners, suppliers, or customers to access certain information or systems. However, access is still restricted and only available to those who have been granted permission by the organization.

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describe the internal control principle of dividing responsibility for related transactions by selecting the correct statements below. (check all that apply.)

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The following principles of internal control are commonly recognized:

Perform regular and independent reviews, Separate recordkeeping from the custody of assets, Apply technological controls, Maintain adequate records, and Establish responsibilities. Options 1, 5, 6, 7, and 8 are correct.

Internal control principle:

It is a framework of controls designed to minimize risks and provide reasonable assurance that the organization's objectives will be achieved.

These principles are commonly found in internal control frameworks such as the COSO (Committee of Sponsoring Organizations of the Treadway Commission) framework.

Other principles, such as matching revenues with expenses in the same accounting period and recording assets at cost, are related to accounting principles but may not be specifically classified as principles of internal control. Insuring assets can be a risk management strategy rather than an internal control principle.

Therefore, the correct options are 1, 5, 6, 7, and 8.

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Describe the internal control principle of dividing responsibility for related transactions. (Check all that apply.)

Perform regular and independent reviews.Match revenues with expenses in the same accounting period.Record assets at cost.Insure assets.Separate recordkeeping from the custody of assets.Apply technological controls.Maintain adequate records.Establish responsibilities.

access to a bank's roa without any other information reveals when its performance is not up to par and the reasons for its poor performance.group of answer choicestruefalse

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True, Accessing a bank's return on assets (ROA) without any other information can reveal whether its performance is not up to par.

A low ROA may indicate that the bank is not generating enough profits from its assets, which could be due to a variety of factors such as low interest rates, high operating expenses, or bad loans. However, without additional information such as the bank's financial statements or management reports, it may be difficult to pinpoint the exact reasons for its poor performance.
Access to a bank's Return on Assets (ROA) without any other information does not reveal when its performance is not up to par nor the reasons for its poor performance. While ROA is a useful metric, it alone is insufficient for a comprehensive analysis of a bank's performance.

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rainbow corporation plans to sell 34,000 units during august. if the company has 10,500 units on hand at the start of the month, and plans to have 12,500 units on hand at the end of the month, how many units must be produced during the month?

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To find out how many units Rainbow Corporation must produce during August, we need to calculate the total units required for sale and subtract the units on hand at the beginning and end of the month.

First, we add the units on hand at the beginning of the month to the units planned for sale during August:

10,500 + 34,000 = 44,500

This means that Rainbow Corporation needs a total of 44,500 units for the month of August.

Next, we subtract the units on hand at the end of the month from the total required units:

44,500 - 12,500 = 32,000

Therefore, Rainbow Corporation needs to produce 32,000 units during the month of August to meet its sales target and maintain its desired inventory level.

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to maximize profit, a firm will hire workers when the in revenue from hiring an additional worker the worker's wage. decrease; is less than or equal to increase; is less than or equal to increase; is greater than decrease; is greater than

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"To maximize profit, a firm will hire workers when the increase in revenue from hiring an additional worker is greater than or equal to the increase in the worker's wage."

This is because firms are profit-maximizing entities, and they will only hire workers when the additional revenue generated from that worker is greater than or equal to the cost of hiring that worker.


A firm aims to maximize its profit by increasing its revenue while minimizing its costs. When the additional revenue generated by hiring a new worker (known as the marginal revenue product) is greater than the cost of paying that worker's wage, it is profitable for the firm to hire the worker.

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the _____ was established in 1933 to help stop bank failures throughout the country during the great depression.

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The federal deposit insurance corporation was established in 1933 to help stop bank failures throughout the country during the great depression.

A bank run is a scenario in which bank customers or depositors withdraw their funds simultaneously from banks out of fear that the depository institution would run out of money (file for bankruptcy) and become insolvent. The Federal Deposit Insurance Corporation, or FDIC as it is more often known, is a New Deal initiative tha was launched by President Franklin D. Roosevelt in 1933 with the goals of preventing bank collapses and bank runs and reestablishing public confidence in the banking system. So, on June 16, 1933, the Federal Deposit Insurance Corporation (FDIC) was created to address or lessen the issue of bank runs.

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big mike, a very generous man, has given his granddaughter, jordan, a gift equal to $5.45 million last year and paid any relevant taxes. he now wants to give his grandson, colin, a gift of $5.45 million plus the annual exclusion of $14,000 on his birthday and wants to know what his total outflow will be for the gifts and any other related taxes. the amount of his cash flows related to the gift to colin is? group of answer choices $5.464 million. $7.644 million. $9.824 million. $10.696 million.

Answers

The total amount of cash outflow related to the gift to Colin is $5.464 million. This is calculated by adding the gift amount of $5.45 million to the annual exclusion amount of $14,000, which results in a total gift of $5.464 million.

Big Mike has already paid any relevant taxes on the gift to Jordan, so there should be no additional taxes to pay on the gift to Colin. Based on the information provided, Big Mike wants to give his grandson Colin a gift of $5.45 million plus the annual exclusion of $14,000. To determine the total outflow for the gifts and any related taxes, we need to add the gift amount and the annual exclusion.

Step 1: Add the gift amount to the annual exclusion.
$5,450,000 (gift amount) + $14,000 (annual exclusion) = $5,464,000.
The total cash flow related to the gift to Colin is $5.464 million. Your answer: $5.464 million.

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The sequence for the approval of the federal budget is:.

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The sequence for the approval of the federal budget is as follows. The President submits a budget proposal to Congress in February of each year. The House and Senate Budget Committees develop a budget resolution outlining spending and revenue priorities.

The House and Senate Appropriations Committees allocate specific amounts of funding to federal agencies and programs. The House and Senate vote on their respective versions of the budget resolution and appropriations bills. If both chambers pass their versions, a conference committee is formed to resolve any differences between the bills.

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On January 1 of Year 1, a borrower signed a long-term note, face amount of $340,000; time to maturity is three years; stated rate of 8%. The market rate is 10%. The note will be paid in three equal annual installments of $131,930 on each December 31 (which is the accounting year-end for the borrower).
Required
Note: Round your answer to the nearest whole dollar.
a. Compute the cash received by the borrower.b. Prepare a debt amortization schedule.

Answers

a)  The cash received by the borrower on January 1 of Year 1 is $326,092.47.

b) debt amortization schedule.  1 $340,000.00 $131,930 $27,200.00 $104,730.00 $235,270.00

2 $235,270.00 $131,930 $23,527.00 $108,403.00 $126,867.00

3 $126,867.00 $131,930 $12,686.70 $119,243.30 $7,623.70

a. The cash received by the borrower is calculated as the present value of the note, which is the sum of the present values of the three annual payments:

PV = [tex]131,930 x [(1 - 1/ (1 + 0.10)^3) / 0.10] = $326,092.47[/tex]

Therefore, the cash received by the borrower on January 1 of Year 1 is $326,092.47.

b. The debt amortization schedule is as follows:

Year Beginning Balance Payment Interest Principal Ending Balance

1 $340,000.00 $131,930 $27,200.00 $104,730.00 $235,270.00

2 $235,270.00 $131,930 $23,527.00 $108,403.00 $126,867.00

3 $126,867.00 $131,930 $12,686.70 $119,243.30 $7,623.70

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Colwood Corp needs to raise funds to finance a plant expansion and has decided to issue 25-year zero coupon bonds to raise the money. The required return on the bonds will be 8.03%.
a. If the face value is $1,000, what will the bonds sell for at issuance?
b. How many zero coupon bonds will they have to issue to raise $2,175,000?
c. Suppose an investor is willing to purchase a 25 year maturity zero coupon bond with a face value of $1,000 for $250. What is the required return?

Answers

The required return for the investor would be approximately 5.74%. To answer your question about Colwood Corp's zero coupon bonds, let's break it down into parts:

a. To determine the bonds' selling price at issuance, we need to calculate the present value (PV) of the bond's face value ($1,000) discounted at the required return (8.03%) over the bond's 25-year term. The formula for PV is:

PV = FV / (1 + r)^n

Where:
- FV = Face Value ($1,000)
- r = Required Return (0.0803)
- n = Bond Maturity (25 years)

Plugging in the values, we get:

PV = $1,000 / (1 + 0.0803)^25
PV ≈ $93.22

So, the bonds will sell for approximately $93.22 at issuance.

b. To raise $2,175,000, we need to calculate how many bonds Colwood Corp must issue. Divide the amount they want to raise by the price of each bond:

Number of bonds = Amount to be raised / Bond price
Number of bonds = $2,175,000 / $93.22
Number of bonds ≈ 23,329

Colwood Corp will need to issue approximately 23,329 zero coupon bonds to raise $2,175,000.

c. To find the required return for an investor purchasing a 25-year maturity zero coupon bond with a face value of $1,000 for $250, we can rearrange the PV formula to solve for the required return:

r = (FV / PV)^(1/n) - 1

Where:
- FV = Face Value ($1,000)
- PV = Purchase Price ($250)
- n = Bond Maturity (25 years)

Plugging in the values, we get:

r = ($1,000 / $250)^(1/25) - 1
r ≈ 0.0574 or 5.74%

The required return for the investor would be approximately 5.74%.

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Your pharmaceutical firm is seeking to open up new international markets by partnering with various local distributors. The different distributors within a country are stronger with different market segments (hospitals, retail pharmacies, etc.) but also have substantial overlap.
In Egypt, you calculate that the annual value created by ine distributor is $420 million per year, but woud be $560 million if two distributors carried your product line
Assuming a nonstrategic view of bargaining, you would expect to capture ... million of this deal

Answers

Assuming a nonstrategic view of bargaining, you would expect to capture around $140 million of this deal.

This estimate is based on the potential value created by having two distributors in Egypt, which increases the total value from $420 million to $560 million. The incremental value of $140 million is likely to be distributed among the various partners involved in the deal.

However, this estimate might vary depending on negotiation dynamics, distribution costs, and other factors that can influence the final allocation of value among the partners.

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using the national savings and investment identity, if private investment equals $2750 , inflow of foreign savings equals $3250 , and the government budget deficit equals $2950 , what does private savings equal?

Answers

The private savings equals $8950.

How to solve for private savings

According to the national savings and investment identity:

National Savings = Private Savings + Public Savings

National Savings = Private Investment + Inflow of Foreign Savings

where Public Savings is equal to the negative of the Government Budget Deficit.

We can use this identity to find the value of Private Savings:

Private Savings = National Savings - Public Savings

Private Savings = Private Investment + Inflow of Foreign Savings - (Government Budget Deficit)

Private Savings = $2750 + $3250 - (-$2950)

Private Savings = $2750 + $3250 + $2950

Private Savings = $8950

Therefore, private savings equals $8950.

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a company can sells its receivable to a finance company or bank. the buyer is called a

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When a company sells its receivables to a finance company or bank, the buyer is called a factor.

A factor is a financial intermediary that purchases accounts receivable from a company at a discount, providing immediate cash flow to the seller. The factor then assumes responsibility for collecting payment from the customers who owe money to the seller.

Factors can be an attractive option for companies that need to improve their cash flow. By selling their receivables, they can access funds more quickly than waiting for payment from their customers. This can be especially beneficial for companies that have long payment terms or seasonal sales cycles.

Factors may also provide additional services such as credit checks on potential customers, managing collections, and assuming the risk of non-payment.

However, factors charge a fee for their services, which can range from 1-5% of the receivables' value, depending on various factors such as the creditworthiness of the customers, the volume of receivables being factored, and the length of the payment terms.

In conclusion, selling receivables to a factor can be a useful tool for companies that need to improve their cash flow. However, it is important to weigh the costs and benefits of this option carefully and to choose a factor that provides high-quality services at a reasonable cost.

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create an augmented matrix from a system of equations to help chris determine when he can use monthly payments and savings to pay off the total purchase price of the mattress.

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To create an augmented matrix from a system of equations , you can represent each equation as a row in the matrix, where the coefficients of the variables and the constant terms are the columns.

For example, let's say Chris purchased a new mattress for $1,399 and he plans to pay it off with monthly payments and savings.

He will need to pay $78 per month for a certain number of months and he is currently saving $50 per month with a starting balance of $250. We can represent this system of equations as follows:

In an expanded lattice, an upward line is put inside the grid to address a progression of equivalent signs and separating the network into different sides. In the above expanded framework, each column addresses a condition. The numbers in the left half of the framework address the coefficients of the factors in the arrangement of conditions.

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To create an augmented matrix from a system of equations, we first need to write out the equations. Let's say Chris needs to pay $1000 for a new mattress, and he plans to make monthly payments of $50 and save $100 each month. We can set up the system of equations as follows:

50x + 100y = 1000

x + y = n

where x is the number of months of payments, y is the number of months of savings, and n is the total number of months it will take for Chris to pay off the mattress.

To create the augmented matrix, we write the coefficients of the variables and the constant terms in a matrix with a vertical line separating them. In this case, the augmented matrix would be:

[50 100 | 1000]

[1 1 | n]

This matrix can then be manipulated using matrix operations to solve for the values of x, y, and n.

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using capital market history as a guide, it would appear the greatest reward would come from investing in

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Using capital market history as a guide, it would appear the greatest reward would come from investing in using capital market history as a guide, it would appear that the greatest reward would come from investing in stocks.

Over the long term, stocks have consistently outperformed other asset classes such as bonds, cash, and real estate. However, it's important to note that investing in stocks also comes with higher levels of risk and volatility. It's crucial for investors to diversify their portfolio and have a long-term investment strategy in place to navigate the ups and downs of the stock market. It's also important to conduct thorough research and analysis on individual stocks and companies before making any investment decisions. Overall, investing in stocks has the potential to provide significant long-term returns, but it's important to approach it with caution and a well-informed strategy.

Complete question:

using capital market history as a guide, it would appear the greatest reward would come from investing in capital markets. This statement is True or false?

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Which best describes the difference between preferred and common stocks?.

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Preferred and common stocks are both types of securities that investors can purchase in a company. The main difference between them is that preferred stocks generally have a higher priority in terms of receiving dividends and assets in the event of bankruptcy.

Preferred stocks are usually seen as more stable and less volatile than common stocks, and they typically pay a fixed dividend that is agreed upon at the time of purchase. In addition, preferred stocks often have a call feature, which allows the company to redeem the shares at a set price after a certain amount of time has passed.

On the other hand, common stocks represent ownership in the company and offer the potential for greater returns through capital appreciation. They do not typically pay a fixed dividend and are subject to more fluctuations in value based on market conditions and the company's performance.

In summary, preferred stocks are often viewed as a more conservative investment option, while common stocks offer the potential for higher returns but also carry more risk. It ultimately depends on an investor's goals and risk tolerance when deciding between the two types of stocks.

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Living at home while enrolled in post secondary school
or training can save money on.....
books but it raises costs for tuition.
room and board but it raises costs for
transportation.
transportation but it raise costs for books and
supplies.
books but it raises costs for transportation.

Answers

Living at home while enrolled in post-secondary school or training can save money on b. room and board but it raises costs for transportation.

Cost is the trade-off made, which is often quantified by the resources given up to fulfil a certain objective. It entails making a sacrifice in exchange for goods or services. A student can save money on post-secondary education if they live at home since room and board expenses are lower.

A student may be required to pay for room and board, or lodging on the school's grounds when they enrol in postsecondary educational institutions or programs of study. However, if they choose to remain at home, they will not be required to pay for this room and board, allowing them to save money. Due to the daily requirement to visit the location, this might, however, raise transportation costs.

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Complete Question:

Living at home while enrolled in post secondary school or training can save money on.....

a. books but it raises costs for tuition.

b. room and board but it raises costs for transportation.

c. transportation but it raise costs for books and supplies.

d. books but it raises costs for transportation.

when originally purchased, a vehicle costing $24,840 had an estimated useful life of 8 years and an estimated salvage value of $2,600. after 4 years of straight-line depreciation, the asset's total estimated useful life was revised from 8 years to 6 years and there was no change in the estimated salvage value. the depreciation expense in year 5 equals: multiple choice $2,948.00. $5,728.00. $2,780.00. $5,560.00. $11,120.00.

Answers

When a vehicle is purchased, the cost of the vehicle is divided into two parts: the cost of the vehicle and the estimated salvage value. The cost of the vehicle is then spread out over its estimated useful life through a process called depreciation. In this case, the vehicle originally cost $24,840 and had an estimated useful life of 8 years and an estimated salvage value of $2,600.


After 4 years of straight-line depreciation, the asset's total estimated useful life was revised from 8 years to 6 years. This means that the remaining useful life of the vehicle is now only 2 years instead of 4. However, there was no change in the estimated salvage value.
To calculate the depreciation expense in year 5, we need to first calculate the total depreciation expense for the first 4 years. The depreciation expense for each year is calculated by subtracting the salvage value from the cost of the vehicle and then dividing by the estimated useful life. In this case, the total depreciation expense for the first 4 years is:
($24,840 - $2,600) / 8 years * 4 years = $7,310
Now that the estimated useful life has been revised to 6 years, we need to calculate the depreciation expense for years 5 and 6. The depreciation expense for each year is calculated by subtracting the salvage value from the remaining value of the vehicle and then dividing by the remaining useful life. In this case, the remaining value of the vehicle is:
$24,840 - $7,310 = $17,530
The remaining useful life of the vehicle is 2 years, so the depreciation expense for year 5 is:
($17,530 - $2,600) / 2 years = $7,965
Therefore, the answer to the multiple-choice question is $7,965, which is not one of the given options.

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integrated waste management often ignores the benefits of composting. focuses on recycling waste. is a method of educating individuals about the best method of waste disposal. suggests that communities should have multiple options for waste disposal.

Answers

Integrated waste management D. suggests that communities should have multiple options for waste disposal.

What is integrated waste management ?

Integrated waste management is a comprehensive approach for dealing with all types of garbage, comprised of various approaches intended to reduce, reuse or recycle what can be recycled and properly discard unsalvageable remains.

It acknowledges that the best means of disposing of waste varies via locality, proposing multiple disposal methods - including composting, recycling, waste-to-energy conversion and landfilling - so as to cater to the specific concerns and requirements of each community.

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How many customers does walmart serve globally in one week.

Answers

Walmart serves approximately 265 million customers globally in one week.

Walmart is one of the largest retailers in the world with a massive global presence. According to Walmart's 2021 annual report, the company operates over 10,500 stores in 24 countries, serving millions of customers each day.

Based on the same report, Walmart reported serving approximately 265 million customers globally in one week. This means that across its numerous locations, Walmart serves a staggering number of customers each week. This number highlights the significant scale and impact of Walmart's business operations, making it one of the largest retail companies in the world.

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Rue co. ’s allowance for uncollectible accounts had a credit balance of $12,000 at december 31, year 1. During year 2, rue wrote off uncollectible accounts of $48,000. The aging of accounts receivable indicated that a $50,000 allowance for uncollectible accounts was required at december 31, year 2. What amount of uncollectible accounts expense should rue report for year 2?.

Answers

The uncollectible accounts expense that Rue Co. should report for year 2 can be calculated by subtracting the ending allowance balance from the beginning allowance balance and adding any write-offs made during the year. In this case, the beginning allowance balance was $12,000, $48,000 was written off during the year, and the ending allowance balance was $50,000. Therefore, the uncollectible accounts expense for year 2 would be calculated as follows:

Beginning allowance balance: $12,000
Write-offs during the year: $48,000
Ending allowance balance: ($50,000)

Uncollectible accounts expense for year 2: $10,000

So, Rue Co. should report an uncollectible accounts expense of $10,000 for year 2.
To determine the amount of uncollectible accounts expense Rue Co. should report for year 2, follow these steps:

1. Begin with the credit balance of the allowance for uncollectible accounts on December 31, year 1: $12,000.
2. Subtract the number of uncollectible accounts written off during year 2: $12,000 - $48,000 = -$36,000.
3. Determine the required allowance for uncollectible accounts on December 31, year 2, based on the aging of accounts receivable: $50,000.
4. Calculate the difference between the adjusted balance and the required allowance for uncollectible accounts: -$36,000 + $50,000 = $14,000.

Therefore, Rue Co. should report an uncollectible accounts expense of $14,000 for year 2.

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Which of the following is true regarding the relationship between the current ratio and the acid-test ratio?
The current ratio will always be equal to or larger than the acid-test ratio for a specific company.
The acid-test ratio will always be equal to or larger than the current ratio for a specific company.
Either the current ratio or the acid-test ratio could be larger for a specific company.
One ratio will always exceed 1.0, while the other will always be less than 1.0.

Answers

The current ratio will always be equal to or larger than the acid-test ratio for a specific company. Option A is correct

This is because the current ratio includes all current assets in the calculation (including inventory and prepaid expenses), while the acid-test ratio only includes the most liquid current assets (cash, marketable securities, and accounts receivable). Therefore, the current ratio provides a broader view of a company's liquidity position, while the acid-test ratio provides a more conservative measure.

The current ratio measures a company's ability to pay off its current liabilities using its current assets. It's calculated by dividing current assets by current liabilities. A current ratio of 1 or higher indicates that a company has enough current assets to cover its current liabilities, while a ratio below 1 indicates that a company may have difficulty meeting its short-term obligations.

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for 12 percent of the products in a category, a firm fails to satisfy all demand during the month. what is its in-stock probability?

Answers

The in-stock probability for the firm is the percentage of products that satisfy all demand during the month. Since 12% of the products fail to satisfy demand, the in-stock probability would be 100% - 12% = 88%. Therefore, the firm's in-stock probability is 88%.

To calculate the in-stock probability for the given scenario, we need to first find out the percentage of products that are in stock. If 12% of the products are out of stock, then the probability of a product being in stock is:

P(in-stock) = 1 - P(out-of-stock)

P(in-stock) = 1 - 0.12

P(in-stock) = 0.88

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________________________ Control is responsible for managing the overall Stock In Transit reconciliation, to ensure the other responsible groups are maintaining their reconciliation tasks to ensure the Stock In Transit is resolved in a timely manner.

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The role of Control is responsible for managing the Stock In Transit reconciliation , to ensure the other responsible groups are maintaining their reconciliation tasks to ensure the Stock In Transit is resolved in a timely manner .Control plays a crucial role in ensuring that the Stock In Transit is resolved in a timely manner by managing the overall reconciliation process.

To elaborate, Control is responsible for overseeing the reconciliation of Stock In Transit across all departments and ensuring that each responsible group is completing their assigned tasks. This includes monitoring the progress of reconciliation, identifying discrepancies, and taking corrective actions as necessary.
By effectively managing the Stock In Transit reconciliation process, Control can ensure that all outstanding Stock In Transit is accounted for and resolved in a timely manner. This can help prevent stock losses, improve inventory accuracy, and reduce the risk of financial losses due to unaccounted-for inventory.
Overall, the role of Control in managing the Stock In Transit reconciliation process is critical to the success of inventory management in an organization. By ensuring that all stakeholders are held accountable for their responsibilities, Control can help maintain the integrity of the inventory and ensure that the organization is operating efficiently and effectively.

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Describe an outright sale of a venture. What are the four categories of possible buyers?

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An outright sale of a ventur whether it be a profit, relative value method cash flow, or other indicator, with the observed market value. In fact, it is thought to be the primary driver of this market value.

Based on a company's enterprise value, several frequently used multiples are available. These multiples are particularly significant in mergers, acquisitions.

And deals involving privately held businesses because they reflect a company's rating independent of its capital structure. Not all multiples are determined by factors affecting earnings or cash flow. A frequently used metric for comparing the market value and book value of a company's assets is the price-to-book (P/B) ratio. Measures of relative value to sales include the price-to-sales ratio and the EV-to-sales ratio. Because both sales and book value are less important value drivers, these multiples should be used with caution.

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the horizontal analysis of the balance sheet shows the changes in net sales and net income.

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The statement "The horizontal analysis of the balance sheet shows the changes in net sales and net income" is true because it shows changes in financial figures.

Horizontal analysis, also known as trend analysis, is a financial statement analysis technique that compares a company's financial performance over time.

When analyzing the balance sheet, horizontal analysis shows changes in financial figures such as net sales and net income between two or more accounting periods. By comparing these figures, a company can identify trends and patterns in their financial performance, which can help them make informed decisions about their business operations. For example, if net sales have increased over time, the company may consider expanding their marketing efforts or investing in new products or services to further boost their revenue. Similarly, if net income has decreased, the company may need to evaluate their expenses and find ways to reduce costs in order to increase profitability. Overall, horizontal analysis can provide valuable insights into a company's financial performance and help them make strategic decisions for the future.

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Calming Hotels, Inc. has opened two more hotels near the state park. The owner believes that he is not working as efficiently as he did when he had only one hotel. All of the management and maintenance tasks are not completed in a thorough and timely manner. Which of the following could be a cause associated with his company's growth?
a. Hotel employees are not performing like they should.
b. The growth in sales has caused issues that the previous structure can no longer handle
c. Poor marketing and commercialization strategies are in use.
d. The hospitality industry as a whole is declining.

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Calming Hotels, Inc. has opened two more hotels near the state park. Distributive fairness addresses the socially just distribution of resources. The correct answer is a. Hotel employees are not performing like they should.

Distributive fairness is concerned with results as opposed to just procedure, which is focused on the execution of the law. The social sciences and philosophy have both given this subject a lot of consideration.

Social psychology defines distributive fairness as the perceived equity of how benefits and expenses are divided by Members of the group can feel that distributive fairness has not been upheld if some employees put in greater hours but yet earn the same compensation. People typically check to see if distributive fairness has occurred by observing the behavioural expectations of their group. Distributive justice has taken place if benefits and expenses are distributed in accordance with the established distributive standards of the organisation.

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Activity-based costing information is primarily used to make decisions regardingA. distribution channel profitability.B. pricing and customer profitability.C. product costing and cost control.D. process improvement.

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Activity-based costing information is primarily used to make decisions regarding product costing and cost control. Option C is correct.

This methodology involves identifying the activities that go into producing a product or service and assigning costs to each activity based on its usage. This provides a more accurate picture of the true cost of producing a product, as it takes into account all of the activities that contribute to its production.

With this information, businesses can make more informed decisions about how to allocate resources and control costs. They can identify which activities are adding the most value to the product and which are not, and make adjustments accordingly. This can help to increase efficiency, reduce waste, and ultimately improve profitability.

While activity-based costing information can be useful in other areas such as distribution channel profitability and pricing and customer profitability, its primary use is in product costing and cost control. By using this methodology, businesses can gain a more accurate understanding of their costs and make better decisions about how to allocate their resources.

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