which of the following differs between aggregate planning in services and aggregate planning in manufacturing?

Answers

Answer 1

The perishability of capacity differs between aggregate planning in services and aggregate planning in manufacturing. Aggregate planning is concerned with figuring out how much production will be produced and when it will be produced. An aggregate plan typically has a timing range of three to eighteen months.

A technique for creating a comprehensive manufacturing plan that guarantees continuous production at a facility is called aggregate planning. A 3- to 18-month time frame is commonly used for aggregate production planning. Typically, aggregate planning is done for a period of 12 months. Employing temporary labour, letting staff go for a set amount of time, or cross-training personnel are a few examples of aggregate planning. This serves as a useful benchmark for assessing resource use and implementation. The word "aggregate" denotes planning for a single overall output measure or, at most, a small number of aggregated product categories. Aggregate planning, then, is the process of matching plant capacity with demand in order to reduce production costs. Aggregate planning has a number of advantages for your company, including being a successful strategy for both commodities and services. It minimizes operational expenses by matching production capacity with production demand. It maximizes a company's output and effectiveness. A group of individuals without any other relationship to one another who just happen to be in the same area at the same time is known as an aggregate. An example of an aggregate, not a group, would be the people gathered in a restaurant on a certain evening.

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Related Questions

Prepare the journal entry to record Jevonte Company's issuance of 44,000 shares of its common stock assuming the shares have a: a. $3 par value and sell for $22 cash per share. b. $3 stated value and sell for $22 cash per share. View transaction list Journal entry worksheet 2 Record the issuance of 44,000 shares of common stock assuming the shares have a $3 pavalue and sell for $22 cash per share. Note: Enter debits before credits. Transaction General Journal Debit Credit Cash 770,000 Common stock, $3 par value Paid-in capital in excess of par value, common stock 105,000 665,000 Record entry Clear entry View general journal Prepare the journal entry to record Jevonte Company's issuance of 44,000 shares of its common stock assuming the shares have a: a. $3 par value and sell for $22 cash per share. b. $3 stated value and sell for $22 cash per share. View transaction list Journal entry worksheet 2 Record the issuance of 44,000 shares of common stock assuming the shares have a $3 stated value and sell for $22 cash per share. Note: Enter debits before credits. Debit Credit 770,000 Transaction General Journal Cash Common stock, $3 stated value Paid-in capital in excess of stated value, common stock 105,000 665,000 Record entry Clear entry View general journal

Answers

Debit and credit are both derived from Latin. Debit and credit are derived from the Latin words creditum and debitum, respectively, which indicate "something entrusted to another or a loan" and "what is owing," respectively.

When you add assets, the account change is a debit since you must pay for that increase somehow (the price of the asset). In contrast, a rise in liabilities is a credit because it denotes money you received as a loan from someone else and spent on something (the cause of the corresponding debit in the assets account). Depending on the type of account, the terms debit and credit refer to actual accounting operations that both result in increases and decreases in accounts. Because of this, it would be ineffective to merely use "raise" and "drop" to denote account changes. There are a few ideas on the meanings of the abbreviations DR and CR for debit and credit. According to one idea, the Latin present active infinitives of debitum and creditum, debere and credere, respectively, are where the DR and CR originate.

Another explanation is that DR and CR stand for "debt record" and "credit record," respectively. Finally, some people think that the letters DR and CR stand for "debtor" and "creditor," respectively.

Transaction a  

 

General Journal:-  Cash

Debit:- 968000

Credit:-  

44000*22

 

General Journal:- Common Stock, $3 par value

Debit:-  

Credit:- 132000

44000*3

 

General Journal:- Paid in Capital in excess of par value, Common Stock   Debit:-  

Credit:-  836000        

     

Transaction b

General Journal:-  Cash

Debit:- 968000

Credit:-  

General Journal:- Common Stock, $3 par value

Debit:-  

Credit:- 132000

 

General Journal:- Paid in Capital in excess of par value, Common Stock   Debit:-  

Credit:-  836000  

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which of the following is not an example of a functional team production team project teams management teams

Answers

Members of a team have fluid roles, thus making it difficult to clearly identify the team's members is not an example of a functional team production team project teams management teams.

Who are the functional teams?

Functional work teams are teams at the workplace made up of employees from different organizations that collaborate to achieve a single organizational goal. The accounting division is a good illustration. In functional teams, each team member completes duties related to the department's role.

Functional teams include, for instance, the accounting, human resources, and buying departments.

If all five of the characteristics Lencioni described are utilized to their full potential, a team will function as effectively and efficiently as feasible. Trust, Conflict, Commitment, Accountability, and Results make up a cohesive team.

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Your average and marginal cost is $300. You charge $500 and serve 1,000 customers. You forecast sales of 1,200 at a price of $450.Marginal revenue is $450.Marginal revenue is larger than marginal cost.Cutting the price to $450 will increase profits.None of the above

Answers

Your average and marginal cost is $300. You charge $500 and serve 1,000 customers. option [D] None of the above is the correct answer.

How do you determine the marginal cost in an ideal market?

By dividing the overall change in the cost of manufacturing additional items by the change in the number of goods produced, it is determined.

The marginal cost in economics is the variation in total production costs that results from creating or producing one more unit. Subtract the change in production costs from the change in quantity to determine marginal cost.

Therefore, When a corporation sells one more unit of output, it makes a profit. This is known as marginal profit.

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Continental Railroad Company is evaluating three capital investment proposals by using the net present value method. Relevant data related to the proposals are summarized as follows:
Maintenance Equipment Ramp Facilities Computer Network
Amount to be invested $774,777 $453,132 $242,493
Annual net cash flows:
Year 1 $321,000 $215,000 $144,000
Year 2 $299,000 $194,000 $99,000
Year 3 $273,000 $172,000 $72,000

Answers

The annual net cash flow is Year 2 $299,000 $194,000 $99,000.

What is cash flow?

When calculating the rate of return or value of a project, cash flows are frequently translated into metrics that provide data about, for instance, the value and status of a company. Internal rate of return and net present value financial models both employ the timing of cash flows into and out of projects as inputs. The change in cash balance over the period is equal to the (total) net cash flow of the company for that time, which is commonly a quarter, half-year, or full year. The change in cash balance is positive if it rises (more cash is made available), and negative if it falls. Net working capital is a measure of how much a company spends or earns on short-term assets like inventory.

Year 1 $321,000 $215,000 $144,000

Year 2 $299,000 $194,000 $99,000

Year 3 $273,000 $172,000 $72,000

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GROUP ACTIVITY 2
In 2015, the US retailer Wal-Mart experienced a rise in total revenue, but was predicting a fallin
profit. A company spokesperson said the firm was seeking to reduce stock levels and expected
the demand to increase in the future.
a How can total revenue rise but profits fall?
b Explain:
i how a reduction in stock levels could increase profit
ii
one way a firm could increase demand.

Answers

a) It is possible for total revenue to rise but profits to fall if the cost of goods sold or operating expenses increase faster than the increase in revenue. For example, if a company experiences an increase in sales but also has to pay more for the goods it is selling or has higher operating costs, this could lead to a decrease in profits even if total revenue is rising.

b)

i) A reduction in stock levels could increase profit in a few ways. First, it can reduce the cost of holding inventory, which includes the cost of storage and the cost of capital tied up in inventory. Reducing inventory levels can also help a company avoid having to mark down prices on excess or slow-moving inventory, which can have a negative impact on profits.

ii) One way a firm could increase demand is by implementing marketing and advertising campaigns to increase awareness of its products and services. This could include advertising in various media, such as television, radio, print, or online, as well as promotional activities such as sales or discounts. A company could also focus on improving the quality or value of its products and services in order to make them more appealing to consumers. In addition, a company could explore new markets or expand its distribution channels in order to reach a larger customer base.

Listed below are several possible actions by firms. Indicate whether the action reflects invention, innovation, or diffusion. a. An auto manufacturer adds "heated seats" as a standard feature in its luxury cars to keep pace with a rival firm w ose luxury cars already have this feature. (Click to select) b. A television production company pioneers the first music video channel. (Click to select) c. A firm develops and patents a working model of a self-erasing whiteboard for classrooms. (Click to select) (Click to select) 2 d. A light bulb firm is the first to produce and market modified lighting fixtures with LEDs (light- emitting diodes). (Click to select) e. A rival toy maker introduces a new Jezebel doll to compete with Mattel's Barbie doll. (Click to select)

Answers

(a) diffusion (b) innovation (c) invention (d) innovation (e) diffusion are the required answers to situations of actions by firms.

What is invention, innovation and diffusion?

Invention: A product or technique is invented when it is developed by applying prior knowledge in novel ways. Prototypes are frequently the first iteration of an invention, in which the key elements are created to determine their viability. These initial functional models, or prototypes, are then enhanced by adding, removing, or changing the qualities of the prototype until no further advancements can be based on it.

Innovation: Innovation is the application of fundamental discoveries or innovations to create a practical good or method for a particular use.

Innovation in processes refers to new or improved techniques for manufacturing or distributing products, whereas innovation in products refers to the creation of new and improved goods or services. Even though the line between inventions and innovations is frequently blurry, innovations cannot be protected by patents.

Diffusion: Innovation is transferred to other businesses through diffusion so they can stay competitive. This dissemination happens when people imitate or copy the goods or methods of others, which can be done in a variety of ways. A corporation can first examine any patents, which are open to public scrutiny, to determine the core design, and then come up with innovative solutions to have the same functionality without violating the patent.

Identifying statements:

(a) diffusion

Explanation - this is an example of diffusion as the rival firm is already using the given feature in its car.

(b) innovation

Innovation means when a firm or company finds new ways of losing existing technology.

(c) invention

This is an example of invention as some new product is developed here and patented by the company.

(d) innovation

this is referred as innovation as the firm has developed some new way of using technology.

(e) diffusion

This is an example of diffusion as another firm is already manufacturing doll using the same technology.

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firms that follow a single-business or dominant-business strategy at the corporate level generally employ a structure.

Answers

Firms that follow a single-business or dominant-business strategy at the corporate level generally employ a functional structure .

Firms pursuing a single or dominant business strategy demonstrate a lower level of decentralization. A single company is one where 90% or more of its revenue comes from the dominant company. A dominant company is one that derives between 70% and 95% of its revenue from a single category.

What is the dominant business strategy?

A dominant business strategy defines how a company approaches production, marketing, and service. Owners emphasize certain strategies while downplaying other approaches.

What is Single Segment Strategy?

Single Segment Strategy – Also known as Focus Strategy. Market segments (not entire markets) are provided with the marketing mix. For small businesses with limited resources, the single segment approach is often the strategy of choice.

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OMI is planning to build a new branch on land it already owns. The land was purchased several years ago for $250,000. Recently, OMI was offered $ 350,000 for the land. OMI estimates that if they build the branch, it will create NPV = $400,000. OMI did not consider the valued in this NPV calculations. Given this information, what is the opportunity cost to OMI of building the proposed branch?
Answers:
a. $400,00
b. $50,000
c. $350,000
d. $100,000
e. $250,000

Answers

The opportunity cost to OMI of building the proposed branch is $50,000.

What is opportunity ?A business opportunity, also called a bizop, is the opportunity to take advantage of  market events to start a business.It is a kind of favorable condition that exists in the market. Depending on the business opportunity, some businesses will succeed and others will fail. Opportunities are doors or opportunities to something positive, but you must claim it for yourself! there is. They may arise from  developments in the markets you serve or  the technologies you use. Opportunity is usually defined as a situation in which a product or service can be sold at a price higher than the cost of manufacturing it. A “business opportunity” is therefore a situation in which an entrepreneur can take action to make a profit.

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The management of Charlton Corporation is considering the purchase of a new machine costing $380,000. The company's desired rate of return is 6%. The present value factor for an annuity of $1 at interest of 6% for 5 years is 4.212. In addition to the foregoing information, use the following data in determining the acceptability of this investment: The cash payback period for this investment is 5 years 4 years 19 years 3.3 years

Answers

The cash payback period for this investment is 4 years.

Cash payback length is the time on which the organisation get hold of from the funding the identical amount of money funding

Cash fows = investment

Regardless of bargain or interest charges or modifications within the value of the device. it's miles simply be there.

Investment/cashflow = payback

380,000/95,000 = 4 years.

Payback duration is defined because the wide variety of years required to recover the original coins investment. In different words, it's far the time period on the quit of which a device, facility, or different funding has produced sufficient internet sales to get better its funding charges.

Payback period in capital budgeting refers to the time required to recoup the budget expended in an funding, or to reach the spoil-even point.

The time period payback length refers to the amount of time it takes to get better the price of an investment. honestly put, it's far the duration of time an funding reaches a breakeven point. humans and agencies especially make investments their money to receives a commission lower back, that is why the payback period is so critical.

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T/F. if the plaintiff's car is stopped at a red traffic light and is struck in the rear by a vehicle driven by the defendant, the defendant was negligent per se.

Answers

If the plaintiff's car is stopped at a red traffic light and is struck in the rear by a vehicle driven by the defendant, the defendant was negligent per se.

The statement is true

In legal proceedings, a defendant is a person or thing who is either the party being prosecuted for a crime in a criminal case or the party being sued for some sort of civil relief in a civil case. From one legal system to another, terminology differs.The individual accused of the offense is the defendant in criminal proceedings. The party being sued by the plaintiff in a civil lawsuit is known as the defendant.The defendant in a criminal case is the individual who is alleged to have committed the offense. For instance, the government will file a criminal complaint against someone if they are accused of murder. The accused is the defendant, and the government is the plaintiff.

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mckinley, an employee at green goddess lawncare, is pleased that his old supervisor russell retired. russell seemed like a pretty nice guy, but rarely told mckinley if his work was acceptable until something went wrong. the new supervisor starts each day with reviewing yesterday's successes and challenges, and gives everyone opportunity to voice their concerns. one of the best assets of managers is their ability to provide timely feedback and to understand that employees want regular performance reviews.

Answers

One of the finest qualities of Gen X supervisors is their capacity to offer prompt feedback and comprehend the need for frequent performance evaluations.

What traits distinguish Generation X managers?

Gen X managers are known for having a strong desire to succeed, especially financially. Because they witnessed their parents' financial struggles growing up and have recently gone through their own, many members of Generation X are extremely resourceful and driven to achieve financially.

Among Gen Xers' core values are diversity, independence, pragmatism, informality, work/life balance, flexibility, and technology. When their employment responsibilities align with their values, Gen Xers give it their best, just like all motivated workers do.

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___ is/are a new means to transmit messages that have been fundamentally changing traditional promotional strategies

Answers

Social media and mobile advertising are new means to transmit messages that have been fundamentally changing traditional promotional strategies.

What underlying concepts underlie the connected effect in social media engagement?

People have a natural desire to interact with others. Social media connections are reciprocal. People use social media as a channel to communicate information with others.

Because there is now more accessible to larger audiences and target markets thanks to new media tools, marketing has evolved over time. Additionally, the shift in marketing has actually occurred from consumer-based particular purchasing to consumer-based brand desire.

Therefore, Social media and mobile advertising are fundamentally changing traditional promotional strategies.

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For a given level of money and real GDP, an increase in velocity would lead to an increase in the price level. Select one: True False.

Answers

An increase in velocity would result in an increase in the price level for a given level of money and real GDP. True

According to the quantity theory of money, the amount of money in an economy and the level of prices of goods and services sold have a direct relationship.

We have the phisher equation, which is M * V = P* T.

V denotes the velocity of circulation.

As a result, an increase in V leads to an increase in P, which is the price level.

Money velocity is a measurement of how quickly money is exchanged in an economy. It is the amount of money transferred from one entity to another. Money velocity is also the amount of money that is spent in a given time period. Simply put, it is the rate at which an economy's consumers and businesses spend money collectively.

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You have just discovered a $1,000 par value corporate bond with a maturity of 10 years. The bond's yield to maturity is 9% and the bond is currently selling for $743.29. What is the bond's annual coupon rate (the bond pays coupon payments annually)?

Answers

After using the TVM Calculation, the bond's annual coupon rate is 5%.

In the given question,

You have just discovered a $1,000 par value corporate bond with a maturity of 10 years.

The bond's yield to maturity is 9% and the bond is currently selling for $743.29.

We have to find the bond's annual coupon rate.

The coupon rate of a bond or other fixed income instrument is the interest rate paid on the bond. The interest rate is set when a firm or the government issues a bond. The coupon bond rate shows the annual interest rate, expressed as a percentage, that the bond pays about the face value each year.

Bond Par Value(FV) = $1000

Bond Current Value (PV) = $743.29

Yield to Maturity of Bond (I) = 9%

Time for Maturity (T) years = 10 years

To calculate the Coupon Rate,

By TVM Calculation,

PMT(Payment) = [FV=1000, PV=743.29, T=10, I=9%]

PMT = 50%

So,

Bond’s annual coupon rate = PMT/T

Bond’s annual coupon rate = 50/10

Bond’s annual coupon rate = 5

Therefore, the bond's annual coupon rate is 5%.

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Each competitor has a mix of objectives. The company wants to know the relative importance that a competitor places on all of the following EXCEPT ________.
A) company history
B) current profitability
C) market share growth
D) cash flow
E) technological and service leadership

Answers

The company wants to know the relative importance that a competitor places on all of the following EXCEPT Company history [A].

What do background checks in businesses entail?

A background check is a method that a person or business employs to make sure that a person is who they say they are. It gives you the chance to check and validate the accuracy of someone's criminal history, educational background, work history, and other past activities.

Every competitor has a variety of goals. The business is curious about the proportionate weight that a rival gives to each of the items below, except for Company history.

Therefore, Each competitor has a mix of objectives.

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When the functional currency is identified as the U.S. dollar, land purchased by a foreign subsidiary after the controlling interest was acquired by the parent company should be translated using the?a) historical rate in effect when the land was purchasedb) current rate in effect at the balance sheet datec) forward rated) average exchange rate for the current period

Answers

When the functional currency is identified as the U.S. dollar, land purchased by a foreign subsidiary after the controlling interest was acquired by the parent company should be translated using the average exchange rate for the current period

How to translate financial statements into a presentation currency and account for foreign currency transactions and operations in financial statements are covered in IAS 21 The Effects of Changes in Foreign Exchange Rates. IAS 21 strives to define how to transform financial statements into a presentation format and how to include foreign currency transactions and foreign operations in an entity's financial statements. Based on the primary economic environment in which it operates, an entity is required to select a functional currency, and it normally records foreign exchange transactions using the spot exchange rate to that functional currency on the date of the transaction. Which currency rate(s) to use and how to account for the effects of inflation are the primary problems.

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A portfolio beta is computed as which one of the following? A. weighted average. B. arithmetic average. C. geometric average. D. correlated value

Answers

Portfolio beta is the weighted average beta of the individual securities inside the portfolio. Thus, option A, is the correct answer.

What is securities in business?

The U.S. stock market was previously governed at the state level until the Securities Act of 1933, which is the first federal law to do so. According to the legislation, anybody who wants to offer investment contracts for sale to the general public must publish specific details about the intended offering, the firm doing so, and the key personnel of that organization.

The investing public is to be shielded from misleading or fraudulent marketing tactics by these laws. Any error in the firm's financial accounts, whether intentional or not, is absolutely responsible on the company and its top executives. The Securities and Exchange Commission (SEC), which is in charge of rules and enforcement, was established by later legislation.

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The _____ depicts the degrees and kinds of involvement a consumer brings to the purchase decision for different products.

Answers

The Kim-Lord grid depicts the degrees and kinds of involvement a consumer brings to the purchase decision for different products.

The Kim Lord Grid Model fervently affirms that both emotive and cognitive elements have a significant impact on customers' purchase-related decisions. According to the approach, every advertising attempt should aim to appeal to customers' emotive and cognitive sides. The Kim Lord grid is a variant of the FCB grid that recognizes that customer participation in a product need not be high in "think" and low in "feel" (or vice versa), but rather can be high (or low) in both categories. The Kim-Lord grid demonstrates the various choices that consumers make while making a purchase. It incorporates the customer's perception of the product and their thoughts about it.

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Assume the marginal propensity to consume 0.625. Assuming only the multiplier effect matters, ceteris paribus, a decrease in government purchases of $10 billion will shift
a. the aggregate demand curve to the left by about $26.7 billion.
b. the aggregate demand curve to the left by about $36.7 billion.
c. the aggregate supply curve to the right by about $26.7 billion.
d. the aggregate supply curve to the left by about $13.3 billion.
e. none of the above.

Answers

d. Ceteris paribus, a decrease in government purchases of $10 billion will shift the aggregate supply curve to the left by about $13.3 billion.

This is because when there is a decrease in government purchases of $10 billion, it will lead to a decrease in aggregate demand of $10 billion. This decrease in aggregate demand will then cause a decrease in the overall output of the economy.

In turn, this decrease in output will lead to a decrease in the aggregate supply of $13.3 billion (0.625 x $10 billion). Thus, the aggregate supply curve will shift to the left by about $13.3 billion, ceteris paribus.

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It is difficult to establish discount rate for individual projects, so firm's often adopt an approach that involves making _________ adjustments to the overall WACC.

Answers

It is difficult to establish discount rate for individual projects, so firms often adopt an approach that involves making subjective adjustments to the overall WACC.

What is WACC?

The weighted average cost of capital (WACC), which includes ordinary stock, preferred stock, bonds, and other types of debt, is the average after-tax cost of capital for a company. The WACC is the typical interest rate that a business anticipates paying to finance its assets.

Because WACC reflects the return that both bondholders and shareholders require in order to provide the firm with capital in a single value, it is frequently used to calculate necessary rate of return (RRR). Because investors will want larger returns, a company's WACC is likely to be higher if its stock is very volatile or if its debt is seen as hazardous.

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the transaction cannot succeed due to error: execution reverted: meerkatv3router: insufficient output amount.

Answers

Try once more later after refreshing your page. Consider exchanging a smaller amount at once. Increase your tolerance for slippage: On the liquidity page, click the setting icon. Try again after increasing your tolerance for slippage a little. Last but not least, try entering a figure with fewer decimal places.

Slippage is the difference between an order's anticipated price and the price at which it is actually executed. Slippage can happen at any time, but it is most common when market orders are employed and there is greater volatility. Slippage in futures contracts and other financial instruments refers to the discrepancy between the entry and exit points for a trade that were indicated by a computer and those that were actually executed by clients using real funds. Frictional costs, market impact, and liquidity all may play a role. Slippage can be lessened through algorithmic trading, and its impacts can be evaluated using historical data, but it is hard to do so completely.

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T/F using the black-scholes pricing formula, calculate the price of a one-year, at-the-money european call option on the above stock.

Answers

The market price of the option is used to calculate implied volatility by using the Black-Scholes formula and back-solving for the volatility's value.

If it is a European call, what is the cost of the option?

The formula for the price of a European call option

D1 is [ln(P0/X) + (r+v2/2)t]/v and D2 is [d1 - v]t. The underlying security price is P0.

The price of a stock option is calculated using the Black-Scholes model, which also considers a stock's volatility, price and strike price, expected dividend yield, and risk-free interest rate for a stable asset.

Therefore, The model presupposes that the stock price will fluctuate along a lognormal distribution path for the duration of the stock option.

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30) in preparing a company's statement of cash flows for the most recent year using the indirect method, the following information is available: Net income for the year was $52,000 Accounts payable increased by 18,000 Accounts receivable decreased by 25,000 Inventories increased by 5,000 Depreciation expense was 30,000 Net cash provided by operating activities was: $80,000 $70,000 $130,000 $120,000 O $60,000

Answers

The cash flows of the company from its operating activities will be $70,000 for the most recent year using the indirect method. Therefore, the option B holds true.

The net cash flows have been computed as per the table given hereunder,

Net income                                                                                     $52,000

Adjustments

Add: Depreciation expense                                                           $30,000

Less: Increase in inventory                                                              $(5,000)

Add: Decrease in receivables                                                    $(25,000)

Add: Increase in accounts payable                                              $18,000

Net cash flows provided by operating activities                      $70,000

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FILL IN THE BLANK. Working on developing ________ is a strategy that will encourage engagement and allows you to readily focus on the task at hand.Multiple Choicecriticismcognitionsmindfulnessenthusiasm

Answers

Working on developing mindfulness is a strategy that will encourage engagement and allows you to readily focus on the task at hand.

Option c) is the appropriate response, according to this.

What does the term "mindfulness" mean?

We may cultivate mindfulness by maintaining a gentle, compassionate perspective on our thoughts, feelings, physical sensations, and the environment around us.

What does mindfulness serve as a tool for?

Some of its purported benefits include self-control, objectivity, affect tolerance, more flexibility, tranquility, improved attention and mental clarity, emotional intelligence, and the ability to relate to oneself and others with love, acceptance, and compassion.

What are some mindful exercises?

Concentrate on one thing that you can currently taste. You can swig a beverage, chew gum, eat anything, pay attention to the taste that is already in your mouth, or even open your lips and sniff the air for flavors. This is a brief and simple activity that can help you become more aware right away.

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I understand that question you are looking for is:

FILL IN THE BLANK.

Working on developing ________ is a strategy that will encourage engagement and allows you to readily focus on the task at hand. Multiple Choice

a) criticism

b) cognitions

c) mindfulness

d) enthusiasm

T/F if the debtor offers to pay the debt owed to a creditor but the creditor refuses the tender, the surety remains obligated on the debt.

Answers

The statement given is true. If the debtor offers to pay the debt owed to a creditor but the creditor refuses the tender, the surety remains obligated on the debt.

What is surety?

A surety is a party or person who assumes the responsibility of paying the debt in case the debtor policy defaults or is unable to make the payments. A surety is generally used in contracts where one party's financial holdings or well-being are in question and the other party wants a guarantor.

Those debts are owed by and paid from the deceased person's estate. By law, family members do not generally have to pay the debts of a deceased relative from their own money. If there isn't enough money in the estate to cover the debt, it usually goes unpaid. But there are exceptions to this rule.

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According to an Inc. magazine survey, the average age of entrepreneurs at the time of firm founding is between ________. For the fastest growing entrepreneurial firms the average age of the founder is ________

Answers

A survey conducted by Inc. magazine found that entrepreneurs' average age at the time of company formation was between 40 and 42. The founders of the entrepreneurial businesses with the fastest growth rates average 49 years old.

How old are entrepreneurs on average?

According to a few different sources, the average age of business owners is as follows: Age of 34: CNBC and Bloomberg. Age of 42: Wharton. Age of 45: Entrepreneur, Inc., Northwestern, and Harvard Business Review.

Which age group is most open to new ventures?

The typical age of an American entrepreneur is between 40 and 49 years old, but according to NBCS, 35% of entrepreneurs and small business owners are between 50 and 59 years old. In fact, between the ages of 40 and 60, about 60% of people who start small businesses do so.

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FULL QUESTION- #41 According to an Inc. magazine survey, the average age of entrepreneurs at the time of firm founding is between ________. For the fastest growing entrepreneurial firms the average age of the founder is ________.

- 20-25; 35

- 40-42; 49

- 25-35; 25

- 55-66; 30

Direct mail is least effective as a sales technique when
a. It includes offers such as discounts, coupons, and premium items to add perceived value
b. it is targeted
c. one generic piece is distributed to a mass audience
d. the sport organization spends valuable time measuring and testing its effectiveness
One generic piece is distributed to a mass audience

Answers

Direct mail is least effective as a sales technique when One generic piece is distributed to a mass audience.

Which of the following is a drawback of direct marketing?

When the recipient receives a lot of marketing emails or direct mail, it can be challenging to make your messaging stand out. Cost: Strategies like telemarketing and direct mail could be very expensive in terms of money and resources. Legal concerns: Direct marketing is subject to rules governing data protection and privacy.

Identifying your positioning—the one thing your firm stands for to customers—is the first step in creating brand equity. The key word in this sentence is single. A strong position requires difficult decisions. Bring together the top company leaders to determine your brand's position.

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Sako Company’s Audio Division produces a speaker that is used by manufacturers of various audio products. Sales and cost data on the speaker follow:Selling price per unit on the intermediate market $ 140Variable costs per unit $ 122Fixed costs per unit (based on capacity) $ 8Capacity in units 25,000Sako Company has a Hi-Fi Division that could use this speaker in one of its products. The Hi-Fi Division will need 5,000 speakers per year. It has received a quote of $137 per speaker from another manufacturer. Sako Company evaluates division managers on the basis of divisional profits.Required:1. Assume the Audio Division sells only 20,000 speakers per year to outside customers.a. From the standpoint of the Audio Division, what is the lowest acceptable transfer price for speakers sold to the Hi-Fi Division?b. From the standpoint of the Hi-Fi Division, what is the highest acceptable transfer price for speakers acquired from the Audio Division?c. What is the range of acceptable transfer prices (if any) between the two divisions? If left free to negotiate without interference, would you expect the division managers to voluntarily agree to the transfer of 5,000 speakers from the Audio Division to the Hi-Fi Division?d. From the standpoint of the entire company, should the transfer take place?

Answers

The department that handles the production of goods and services is known as the manufacturing department. It is the department in price of supplying the products and services that customers want to buy.

A. Audio Division has a spare capacity of 9000 speakers if it is currently only selling 49,000 speakers per year to external clients at the stated $43 price.

From the standpoint of the audio division, the lowest allowable transfer price is equal to the variable cost per speaker.

= $20

b. The highest transfer price that the Hi-Fi Division will take is $35 per speaker for the marker price from an outside source.

c. $20 to $35 is the permitted transfer price range (if any) between the two divisions.

Yes, it is conceivable that the executives of the Audio and Hi-Fi Divisions will willingly accept a transfer price for 9,000 speakers.

d. This transfer should happen, both from the perspective of the company and the individual.

Choice 2:

The lowest transfer price that Audio Division will accept is the selling price, or $43 per speaker, if it can sell all of its speakers to outside clients for that amount.

b. The highest transfer price that the Hi-Fi Division will accept is $35 per speaker at market value from an outside provider.

c. The permissible price range between the two divisions (if there is one) cannot be determined because the lowest acceptable price for the audio division is higher than the highest acceptable price for the Hifi division.

It is unlikely that the manager of the Audio and Hi-Fi division will willingly accept the transfer price for 9,000 speakers.

d. This transfer should not happen from the perspective of the entire organization as well.

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angie's cupcake shop bought 7-year property furniture in february of year 1 and sold it in may of year 3. the original cost of the furniture was $8,200. assuming angie is using the macrs half-year convention for the furniture, her depreciation deduction in the year of sale will be $

Answers

Angie's depreciation deduction in the year of sale will be $1,640.

Depreciation deduction is an IRS-allowed business expense that allows a business to write off a portion of the costs of certain long-term capital assets over a period of time. The depreciation deduction is intended to reflect the fact that the asset has been used and is losing value over time.

Calculate the depreciation rate using the MACRS table which is 20%.

Calculate the depreciation deduction by multiplying the depreciation rate by the original cost of the furniture.

Depreciation Deduction = 20% x 8,200

Depreciation Deduction = $1,640

Therefore, Angie's depreciation deduction in the year of sale will be $1,640.

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Tax return preparers can be subject to penalties under the Internal Revenue Code for failure to do any of the following, except
A. Provide a client with a copy of the tax return.
B. Keep a record of returns prepared.
C. Disclose a conflict of interest.
D. Sign a tax return as a preparer.

Answers

Failure to do any of the following can result in fines for tax return preparers under the Internal Revenue Code, with the exception of

C. Disclose a conflict of interest.

What is tax return?

The completion of a tax return is the documentation that determines the amount of revenue made by an entity or individual and the taxes that must be paid to the government or governmental organizations, or maybe the taxpayer.

Taxation is one of the main ways that the government makes money. A share of total tax revenue is made up of both direct and indirect taxes. Tax revenue is the money the government receives from levies on things like earnings, profits, goods and services, land revenue, property ownership and transfers, and other taxes. The total amount of tax revenue expressed as a % of GDP demonstrates the portion of national output that is taken in by the government through taxation.

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