cherry is a michigan real estate broker. she maintains several trust accounts for real estate transactions. how much of her personal money can she deposit in each of these accounts?

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Answer 1

Cherry, as a Michigan real estate broker, must maintain trust accounts for real estate transactions separate from her own personal money. No personal funds should be deposited into the trust accounts.

Cherry, as a Michigan real estate broker, must abide by state regulations for trust accounts used for real estate transactions. According to these regulations, she is not allowed to deposit any of her personal money into any of the trust accounts. If she does, she may be subject to disciplinary action by the state.

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what is net profit? select one: a. operating profit less interest, taxes, and depreciation b. cogs less operating expenses c. gross sales minus net sales d. a measurement of the liquidity of the firm e. net sales minus the cost of goods sold

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Net profit is the total amount of money that a business has earned after subtracting all expenses, taxes, and costs associated with running the business. It is calculated by subtracting the total expenses from the total income.

In other words, it is the money that remains after all the costs associated with running the business have been accounted for. The formula for calculating net profit is: Net Profit = Total Income – Total Expenses. Net profit is also known as net income or bottom line. It is an important metric for businesses as it helps them understand their financial health. Net profit is also a key indicator for investors, as it helps them evaluate the performance of a business over time.

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g a restuarant has an anual sales of 4200000, an average inventiory of 6000 and cost of goods sold of 264000. what is the restuarants monthly inventory turns

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Monthly inventory turns for a restaurant with an annual sales of 4200000, an average inventory of 6000, and a cost of goods sold of 264000 is 3.67

Inventory Turnover Ratio = Cost of Goods Sold / Average Inventory Let's first determine the monthly sales:

Monthly Sales = Annual Sales / 12= 4200000 / 12= 350000

Now, we can find the Monthly Inventory Turnover Ratio as:

Inventory Turnover Ratio = Cost of Goods Sold / Average Inventory= 264000 / 6000= 44

As the cost of goods sold and average inventory are annual figures, we need to find the monthly figures. We already have the monthly sales figures, and now we can find the monthly average inventory as:

Monthly Average Inventory = Annual Average Inventory / 12= 6000 / 12= 500Therefore, the Monthly Inventory Turnover Ratio is:

Monthly Inventory Turnover Ratio = Inventory Turnover Ratio / 12= 44 / 12= 3.67

Therefore, the restaurant's monthly inventory turns is 3.67

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a leader who is focused on internal resources, systems, processes, and methods in order to achieve the organization's mission in the most effective way is engaged in what type of planning?

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A leader who is focused on internal resources, systems, processes, and methods in order to achieve the organization's mission in the most effective way is engaged in what type of planning is called Operational planning.

Operational planning is the primary planning level of an organization, which is centered on day-to-day activities. Planning at this level entails a detailed strategy of how the organization will function in a specific period, usually a fiscal year, and how it will accomplish its short-term goals.

It outlines the steps and measures that need to be taken to reach the objectives set in the tactical plan, which is the plan for achieving the strategic plan's goals.

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mary corporation has 10,000 shares of $10 par, cumulative, 6% preferred stock and 10,000 shares of common stock outstanding since being organized at the beginning of 2019. it declared its first dividend of $40,000 at the end of 2021. this means that

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M-ary Corporation has 10,000 shares of $10 par, cumulative, 6% preferred stock and 10,000 shares of common stock outstanding since being organized at the beginning of 2019. It declared its first dividend of $40,000 at the end of 2021. This means that the dividend per share for each preferred share is $6. Mary Corporation has cumulative preferred stock, so any missed dividends will accumulate and must be paid in the future.What is Cumulative Preferred Stock?Cumulative preferred stock refers to preferred stock whose dividends accumulate if the company cannot pay them in the current year. If a company is unable to pay dividends in a given year, it can add them to future dividends. In other words, cumulative preferred shares provide shareholders with the right to unpaid dividends in the event that the company misses a dividend payment. These dividends must be paid before dividends are paid to holders of common shares.What is Par Value?Par value refers to the nominal value of a security that appears on the face of the security. Par value is a set value assigned by a company when shares are issued, indicating the minimum value per share. The stated or face value of a security is the same as the par value of a security in general.What is a Common Stock?Common stock refers to a class of securities that represents ownership in a corporation. Common stockholders have the right to vote on issues such as the election of board members and other critical decisions concerning the company. The right to dividend income is typically the last to be exercised by common stockholders. Common stockholders are entitled to a share of the company's profits, but they are not guaranteed any dividend income, unlike preferred stockholders.

the main reason(s) firms in a competitive market cannot earn positive profits in the long run is(are)

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The main reason firms in a competitive market cannot earn positive profits, in the long run, is because of perfect competition.

In the long run, firms operating in perfect competition cannot earn a profit. When a firm in a competitive market makes a profit, other businesses in the same market will come into existence or expand their operations to take advantage of the profits.

This causes the supply in the market to increase and the price to decrease, which erodes the profits of existing businesses. This process continues until the price has fallen to a level where businesses are no longer making profits.

Therefore, in the long run, firms in a competitive market cannot earn positive profits.

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what are appropriate actions for a manager to take if a decision is not working as intended? (choose every correct answer.)

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A manager should first assess the decision to determine why it is not working as intended.

Depending on the situation, some appropriate actions could include consulting with experts, gathering more data, researching other solutions, and/or revising the decision.


To assess the decision, the manager should consider what factors caused the decision to fail.

This could include a lack of accurate data, misinterpretation of data, or an inappropriate action to address the problem. After assessing the situation, the manager can then decide on an appropriate course of action.


Consulting with experts can be a great way to gain additional insight and perspective on the problem. Gathering more data can help identify any issues with the decision that may not have been initially seen.

Researching other solutions can help the manager determine what the best course of action is. Lastly, the manager can revise the decision to address any issues that have been identified.

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according to the customer pyramid hierarchy, what is true of the iron segment customers of a retailer?

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According to the customer pyramid hierarchy, the iron segment customers of a retailer is the lowest segment of customers. This segment consists of those customers who buy goods on a day-to-day basis for their basic needs and therefore can be considered the largest segment in terms of the number of customers who buy regularly.

The following is the customer pyramid hierarchy:

Platinum Customers: These are the most loyal and satisfied customers of the company who have been customers for a long time and often recommend the company to others. This is the smallest segment customers, but they generate the most revenue.

Gold Customers: These are the customers who make regular purchases and are satisfied with the company's products and services.

Silver Customers: These are the customers who occasionally buy products and may or may not be satisfied with the company's products and services.

Iron Customers: These are the customers who buy goods on a day-to-day basis for their basic needs and therefore can be considered the largest segment customers who buy regularly. These customers are less loyal and less profitable than the other segments.

Bronze Customers: These are the customers who only buy the products on sale or the cheapest products. The segment customers are less loyal and less profitable for the company.

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a company with a break-even point at $900,000 in sales revenue had fixed costs of $225,000. when actual sales were $1,000,000, variable costs were $750,000. determine the following: round your percentage answers to the nearest whole number. a. margin of safety expressed in dollars $fill in the blank 1 b. margin of safety expressed as a percentage of sales fill in the blank 2 % c. contribution margin ratio fill in the blank 3 % d. operating income $fill in the blank 4

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a. Margin of safety expressed in dollars: $100,000 b. Margin of safety expressed as a percentage of sales: 10% c. Contribution margin ratio: 25% d. Operating income: $25,000.

The break-even is calculated by dividing the total fixed costs by the contribution margin ratio. The contribution margin ratio is calculated by subtracting variable costs from sales revenue and then dividing that number by sales revenue.

So, let’s calculate each of these:

Break-even point = $225,000 / (1 - (750,000 / 1,000,000)) = $900,000

Contribution margin ratio = (1,000,000 - 750,000) / 1,000,000 = 0.25

Now we can calculate the margin of safety expressed in dollars:

Margin of safety = $1,000,000 - $900,000 = $100,000

To calculate the margin of safety expressed as a percentage of sales:

Margin of safety percentage = ($100,000 / $1,000,000) x 100% = 10%

Finally, to calculate the operating income:

Operating income = (1,000,000 x 0.25) - 225,000 = $25,000

a. Margin of safety expressed in dollars: $100,000 b. Margin of safety expressed as a percentage of sales: 10% c. Contribution margin ratio: 25% d. Operating income: $25,000.

The break-even point, also known as the break-even level or BEP, is the volume or dollar amount of sales required to cover all expenses, including both fixed and variable costs to the business. There is no overall profit upon reaching break-even.

A company can only break even if variable costs per unit outweigh income. This shows that a higher selling price for the good is necessary for the business to recuperate the initial cost of the good or its components (variable and fixed costs). Once the break-even price has been surpassed, the company can start making a profit.

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which component of a change and configuration management policy identifies technical and budgetary considerations associated with a proposed change and also identifies any potential impacts to the network?

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The answer to your question is:

The component of a change and configuration management policy that identifies technical and budgetary considerations associated with a proposed change and also identifies any potential impacts to the network is called Impact Analysis

Impact analysis is used to determine the potential risks, cost, benefits and potential side effects of the proposed change. It evaluates the impact of the change on the existing system and identifies any potential vulnerabilities that could arise from the change.

It also evaluates the cost of the change and the budget needed for the change. Finally, it evaluates the potential impact on the network and identifies any potential disruptions or risks that could arise from the change.

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The component of a change and configuration management policy that identifies technical and budgetary considerations associated with a proposed change and also identifies any potential impacts to the network is the "Change Evaluation" component.

The Change Evaluation component is responsible for assessing proposed changes and determining their potential impact on the network, including technical and budgetary considerations. This includes identifying potential risks and assessing the impact of the change on network availability, reliability, and security.

The Change Evaluation component is critical to the success of change and configuration management policies because it helps ensure that proposed changes are thoroughly evaluated before they are implemented.

Overall, the Change Evaluation component plays a vital role in ensuring that changes are evaluated in a systematic and comprehensive manner, and that the impact of those changes is carefully considered before they are implemented.

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a price elasticity of demand of -0.50 means that if the price increases by 1%, the quantity demanded will

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APrice Elasticity of Demand of -0.50 means that a 1% increase in price will result in a 0.50% decrease in the quantity demanded. So, if the price of a good increase by 1%, the quantity demanded will decrease by 0.50%. The  (PED) is used to determine the responsiveness of quantity demanded to changes in price.

What is the Price Elasticity of Demand?

It is defined as the percentage change in quantity demanded divided by the percentage change in price. If the PED is negative, it indicates that the quantity demanded is inversely related to the price of the good.

This indicates that the demand for the good is somewhat price inelastic, as a small increase in price will result in a proportionately smaller decrease in the quantity demanded. This implies that the producer may increase the price of a good and still sell the same quantity.

On the other hand, if the PED were greater than one, indicating that the demand for a good is price elastic, a small increase in price would result in a proportionately larger decrease in quantity demanded, and a larger increase in price would result in a larger decrease in quantity demanded.

Hence, the producer may need to lower the price of the good to sell the same quantity.

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as an examinee, or a new licensee, where is the best, most accurate source for current california department of real estate information?

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Licensees have been granted limited rights or warrants in the form of a license by the licensor. DRE website.

As a chartered accountant or new designee, the DRE website is the stylish and most accurate source for over- to- date information from the California Department of Real Estate.

The licensee can specify the designee or the United States. In tort law, a designee is a person who's on another's property, indeed if that property isn't open to the public because the proprietor of the property has permitted the designee to enter..

The main ideal of the Department of Real Estate( DRE) is to cover the public interest by offering parceled land and managing real estate deals through concessionaires.

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The definition to the term. 1 . a fraudulent scheme used to make money beneficiary 2 . a request for payment from an insurance company claim 3 . the amount paid by the policyholder for insurance deductible 4 . the amount a person has to pay when making an insurance claim, with the remaining cost covered by the insurance company premium 5 . a person who receives the payment from a life insurance policy scam

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Fraudulent scheme: A fraudulent scheme is a deception perpetuated by an individual or group with the goal of taking money or property from someone else. It is an illegal scheme created to defraud, mislead, or cheat others.

Request for payment from an insurance company claim: A request for payment from an insurance company claim refers to a request by an insured party or a third-party claimant for an insurance payout following an insured loss.The amount paid by the policyholder for insurance deductible: The amount paid by the policyholder for insurance deductible is the amount of money that an insurance policyholder must pay before the insurance company begins to cover the remaining costs.The amount a person has to pay when making an insurance claim, with the remaining cost covered by the insurance company premium: The amount a person has to pay when making an insurance claim, with the remaining cost covered by the insurance company premium refers to the amount an insured person must pay out of pocket for covered medical expenses or damages before their insurance coverage begins.A person who receives the payment from a life insurance policy scam: A person who receives the payment from a life insurance policy scam refers to a person who has been deceived into paying a life insurance premium or investing in a fraudulent life insurance policy and subsequently receives a payout that is either insufficient or does not exist.

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items bank or book side addition or subtraction entry required or not a. outstanding check written to supplier b. deposits in transit c. bank service charges d. bank collected note receivable on behalf of depositor e. check printing bank fee f. minimum balance bank fee g. nsf checks

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a.  Outstanding check written to supplier -Bank -Subtraction

b. Deposit in transit from customer         -Bank -Addition

c. Bank service charges                        -Book- Subtraction

d. Bank collected note receivable        -Book -Addition

e.      Check printing bank fee                 -Book -Subtraction

f. Minimum balance bank fee                 -Book -Subtraction

g. NSF check from customer                   -Book -Subtraction

Items a-f all require a book side addition or subtraction entry.

Outstanding checks written to suppliers are book side additions as they are money owed by the company and the company has not received the goods or services yet.

Deposits in transit are also book side additions, as they are money received by the company, but not yet recorded by the bank.

Bank service charges, bank collected note receivables on behalf of depositors, check printing bank fees, and minimum balance bank fees are all book side subtractions, as they are fees that the company has to pay to the bank.

NSF (Non-Sufficient Funds) checks are book side subtractions as they are checks that have been returned due to insufficient funds.

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(a) suppose the specialist will review 136 suspicious transactions in one day. what is the expected number of blocked transactions by the specialist? show your work.

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The expected number of blocked transactions by the specialist when 136 suspicious transactions are reviewed in one day is 54.4.

The expected number of blocked transactions by the specialist can be calculated using the following formula: expected number of blocked transactions = total number of transactions x probability of a transaction being blocked

It is given that based on past history, the specialist blocks 40 percent of the suspicious transactions. Let X be the number of transactions that the specialist blocks on a given day. Thus, the random variable X follows a binomial distribution, with n = 136 and p = 0.4. The expected number of blocked transactions is given by the mean of the binomial distribution, which is np.

Hence, the expected number of blocked transactions is:

Expected number of blocked transactions = np

Expected number of blocked transactions = 136 x 0.4

Expected number of blocked transactions = 54.4

Therefore, the expected number of blocked transactions by the specialist is 54.4.

Note: The question is incomplete. The complete question probably is: At a financial institution, a fraud detection system identifies suspicious transactions and sends them to a specialist for review. The specialist reviews the transaction, the customer profile, and past history. If there is sufficient evidence of fraud, the transaction is blocked. Based on past history, the specialist blocks 40 percent of the suspicious transactions. Assume a suspicious transaction is independent of other suspicious transactions. (a) Suppose the specialist will review 136 suspicious transactions in one day. What is the expected number of blocked transactions by the specialist? Show your work.

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a data analyst at a construction company is working on a report for a quickly approaching deadline. why might they choose to analyze only historical data? 1 point the data is constantly changing. they enjoy historical references. the data is difficult to predict. the project has a very short time frame.

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Due to the short duration of the building project, a data analyst for a construction business prefers to evaluate previous data.

A data analyst analyses data sets to find approaches to resolve troubles relating to a commercial enterprise's customers. A information analyst additionally communicates this information to management and other stakeholders. The employment of these people encompasses many distinct industries which include enterprise, finance, criminal justice, science, remedy, and government.

The position of a information analyst can be described as someone who has the understanding and skills to show raw statistics into records and insight, which may be used to make business choices. A facts analyst is chargeable for organizing records related to sales numbers, market research, logistics, linguistics, or different behaviors. They utilize technical know-how to make sure information is correct and fantastic. data is then analyzed, designed, and provided in a manner that assists people, businesses, and organizations make better choices.

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Complete Question: -

A data analyst at a construction company is working on a report for a quickly approaching deadline. why might they choose to analyze only historical data?

Which of the following emphasizes the main idea?1. We have now successfully concluded our interview process and you have passed.2. Congratulations! We would like to offer you the position of senior analyst.

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The second statement, "Congratulations! We would like to offer you the position of senior analyst," emphasizes the main idea.

This statement clearly communicates the main idea that the person being addressed has been offered a job as a senior analyst, and is congratulated on their achievement. It cuts straight to the point and highlights the most important information, which is the job offer.

The first statement is more general and doesn't specifically state what the outcome of the interview process was, so it doesn't emphasize the main idea as effectively. Overall, it's important to communicate the main idea clearly and succinctly, especially in situations like job offers where there's a lot of information to convey.

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7. tim wants to buy an apartment that costs $1,750,000 with an 85% ltv mortgage. tim got a 30 year, 3/1 arm with an initial teaser rate of 4.875%. the reset margin on the loan is 300 basis points above 1 year cmt. there are no caps. tim anticipates the index to be 3.50% at the time of the 1st reset. if the index resets to 3.50% as tim forecasts, what will his new mortgage payment be in year 4?

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In the given problem, using the formula for a fixed-rate mortgage payment, Tim's new mortgage payment in year 4 would be $9,310.79 per month.

How to Calculate Mortgage Payment?

To calculate Tim's new mortgage payment in year 4, we need to first calculate the new interest rate and the new loan balance.

First, let's calculate the loan amount that Tim will be taking with the mortgage:

Loan-to-value (LTV) = 85%

Purchase price of the apartment = $1,750,000

Therefore, the loan amount = LTV x Purchase price

= 0.85 x $1,750,000

= $1,487,500

Next, let's calculate the interest rate for the 4th year. The initial teaser rate of 4.875% is in effect for the first 3 years, and then the interest rate resets annually. The reset margin on the loan is 300 basis points (3%) above 1-year CMT.

1-year CMT rate is currently unknown, but Tim anticipates the index to be 3.50% at the time of the 1st reset. Therefore, the new interest rate will be:

New interest rate = 1-year CMT rate + Reset margin

= 3.50% + 3%

= 6.50%

Now, we can calculate the new monthly payment using the formula for a fixed-rate mortgage payment:

P = L[i(1+i)^n]/[(1+i)^n - 1]

where P is the monthly payment, L is the loan amount, i is the interest rate per month, and n is the total number of payments.

Since the mortgage is a 30-year mortgage, there will be 360 monthly payments in total. For the first 3 years, the interest rate is 4.875%. For the 4th year and beyond, the interest rate will be 6.50%.

To calculate the new monthly payment for year 4, we need to use the interest rate of 6.50%. The new loan balance after 3 years can be calculated using an amortization table or formula, but since we don't have the exact details of Tim's mortgage, we'll assume that the loan balance remains the same as the original loan amount of $1,487,500.

So, plugging in the numbers into the formula:

P = $1,487,500[(0.065/12)(1+0.065/12)^360]/[(1+0.065/12)^360-1]

= $9,310.79

Therefore, Tim's new mortgage payment in year 4 would be $9,310.79 per month.

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local purchase requirements, investment controls, and product and testing standards are all forms of .

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Local content requirements, investment controls, and product and testing standards are all forms of trade barriers.

These measures are designed to protect domestic industries and can limit the ability of foreign companies to compete in a particular market. Local content requirements, for example, mandate that a certain percentage of a product must be sourced locally, while investment controls limit foreign investment in certain sectors. Product and testing standards may be used to create technical barriers to trade, making it more difficult for foreign products to meet the required specifications. Trade barriers can have both positive and negative effects, with some arguing that they protect jobs and industries, while others argue that they hinder innovation and limit consumer choice.

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When tax code changes increase saving incentives, the interest rate will decrease and investment will increase.
True
False

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"When tax code changes increase saving incentives, the interest rate will decrease and investment will increase" is   False as there is no such thing as a direct correlation between tax changes and interest rates.

When a government reduces taxes, it might motivate people to save more, which might result in an increase in demand for loans, which might result in a rise in interest rates, as described in the crowding-out theory. Alternatively, decreased taxes could result in an increase in national income and a decrease in investment costs, which might result in lower interest rates. Increased taxes, on the other hand, could result in lower income and a higher cost of investment, resulting in higher interest rates.

Thus, the given statement that, "When tax code changes increase saving incentives, the interest rate will decrease and investment will increase," is false.

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evaluate the extent of continuity and change in the social and economic experiences of african americans who migrated from the rural south to urban areas in the north in the period 1900 to 1930.

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The Great Migration is a term used to describe the movement of African Americans from the rural South to the urban North during the period 1900 to 1930. The migration had a significant effect on African Americans' social and economic experiences, and it represented a major shift in population trends within the United States.

The extent of continuity and change in the social and economic experiences of African Americans who migrated from the rural South to urban areas in the North between 1900 and 1930 can be evaluated through a few key factors.

1. Social Experiences: While there was some continuity in terms of racial discrimination and segregation, the urban North provided African Americans with more opportunities for social mobility and interaction with diverse groups of people. This led to a change in social experiences, as they had access to better education, cultural institutions, and political representation.

2. Economic Experiences: The major change in economic experiences for African Americans who migrated to the North was the shift from agricultural labor in the South to industrial labor in the North. This allowed them to find jobs in factories, which generally paid higher wages and provided better working conditions than agricultural work.
There were improvements in social mobility, access to education, and economic opportunities, but racial discrimination and economic inequality still persisted.

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you sold short 200 shares of common stock at $60 per share. the initial margin is 60%. your initial investment was question 25 options: $4,800. $12,000. $5,600. $7,200.

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The initial investment for the sale of 200 shares of common stock is $4,800 if the initial margin is 60%.

If you sold short 200 shares of common stock at $60 per share and the initial margin is 60%,

then you can calculate the initial investment as follows:

Amount of the stock sold = 200 shares

Selling price per share = $60

Total sale = 200 × $60 = $12,000

Initial margin = 60%

Therefore, the initial investment required = 40% of $12,000 = (40 / 100) × $12,000= $4,800

Hence, the correct option is option A $4,800 is the correct answer.

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Identify the amount, if any, that these individuals must include in gross income in the following independent cases. Assume that the individuals use the cash method of accounting and report income on a calendar-year basis. Required: a. Elmer was an extremely diligent employee this year, and his employer gave him three additional days off with pay (Elmer's gross pay for the three days totaled $1,800, but his net pay was only $1,422 ). Amount to be included in gross income ____
b. Amax purchased new office furniture and allowed each employee to take home old office furniture valued at $310. Amount to be included in gross income ____

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a. Elmer must include $1,800 in gross income, as this is the amount of his gross pay for the three additional days off with pay.

b. Amax's employees must include $310 in gross income, as they were given the old office furniture valued at $310 as a form of income.

Overall, Elmer and Amax's employees must include the full value of income provided to them in gross income, even if the net pay received is less than the gross pay due to deductions. In the case of Elmer, the gross pay of $1,800 must be included in gross income, even though the net pay received was $1,422. For Amax's employees, the value of the old office furniture of $310 must be included in gross income.

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a. the risk of liability is one of the few reason why the company does not allow employees to bring dogs to work. b. students are welcome to apply to work for our company as long as they has qualifying experiences. c. the training facilitator will not admit any attendees who are more than 15 minutes late to class. d. the new harassment policies will not take affect until next fiscal year.

Answers

The correct statement that contains the term "risk of liability" is: a. The risk of liability is one of the few reasons why the company does not allow employees to bring dogs to work.

What is the risk of liability?

The risk of liability means that a person or organization is likely to face legal consequences or lawsuits for their actions. In the given options, the only statement that contains the term "risk of liability" is statement a. Therefore, the correct answer is:a. The risk of liability is one of the few reasons why the company does not allow employees to bring dogs to work.

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the work in process inventory account of a manufacturing company has a $10,745 debit balance. the company applies overhead using direct labor cost. the cost sheet of the only job still in process shows direct material cost of $3,500 and direct labor cost of $2,300. therefore, the company's predetermined overhead rate is:

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The estimated overhead cost is 215% we can calculate it very easily.

What exactly is over head rate and how is it calculated?

The overhead rate is a cost that is incurred during the manufacturing of a product or service. Overhead costs are expenses that are not directly related to production, such as corporate office costs. An overhead rate is applied to the direct costs associated with production to allocate overhead costs by spreading or allocating overhead costs based on specific measures.

given data

debit balance = $10,745

$3500 in material costs

$2300 in labour costs

We calculate overhead rate using the following formula: overhead rate = total overhead cost / labour cost.........................1

Total overhead cost equals debit balance minus material cost minus labour cost.

Total overhead: $10,745-$3500-$2300

Total overhead cost = $4945; therefore,

so from equation 1

overhead rate = total overhead cost / labor cost

overhead rate = $4945 / $2300

overhead rate = 2.15

so overhead rate = 215 %

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which statement correctly applies to a real estate broker who represents both parties as a single agent in a transaction?

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A real estate broker who represents both parties as a single agent in a transaction must disclose this fact to both parties and obtain their informed written consent before proceeding with the transaction.

A single agent in real estate represents the interests of one of the parties in a real estate transaction. This means that the agent is legally bound to work exclusively for one party's benefit. A dual agent in real estate represents both parties in a transaction. This means that the agent is legally bound to work for the benefit of both parties.

A real estate broker who represents both parties as a single agent in a transaction must disclose this fact to both parties and obtain their informed written consent before proceeding with the transaction. This is necessary to ensure that both parties understand and agree to the broker's role in the transaction.

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an individual sells 200 shares ofstock short at $60 per share and buys back the postion 2 years later at $50 per share. the investor has a:

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An individual sells 200 shares of stock short at $60 per share and buys back the position 2 years later at $50 per share. The investor has a gain of $2000.

How to calculate gain/loss when selling stocks short?

In order to calculate gain or loss when selling stock short, use the following equation:

Gain or Loss = Selling Price - Purchase Price

Since the investor is selling stock short, they first sell the shares and then buy them back. Therefore, the selling price is the price they receive for the shares when they sell them, and the purchase price is the price they pay to buy them back. The investor sells 200 shares of stock short at $60 per share.

This means that they receive a total of:

200 shares x $60 per share = $12,000

The investor buys back the position 2 years later at $50 per share.

This means that they pay a total of:

200 shares x $50 per share = $10,000

Therefore, the investor's gain is calculated as follows:

Gain = Selling Price - Purchase Price= $12,000 - $10,000= $2000

So, the investor has a gain of $2000.

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Company B is a military contractor for Company A. Company C is a supplier to company B in materials and supplies so that Company B can create the guidance systems product for Company A. When approaching this as a security issue which of the below would you make sure that you are following? A) Separation of Duties B) Product Audits C) Acceptable Use Policies D) Supply Chain Assessment E) Asset Tracking

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As a security issue, when dealing with the relationships between Company A, Company B, and Company C, it is important to ensure that the supply chain is secure and that the products and materials are used appropriately. Therefore, the option that best aligns with these concerns would be D) Supply Chain Assessment.

The security issue related to Company B being a military contractor for Company A, and Company C being a supplier to Company B, can be addressed by implementing several security measures.

These measures include Separation of Duties, which will ensure that no single employee is able to control multiple aspects of the supply chain. Product Audits should be conducted to ensure that the products supplied by Company C meet the required standards and specifications. Acceptable Use Policies should be established to ensure that all those in the supply chain understand the terms and conditions of use.

Additionally, a Supply Chain Assessment should be completed to identify any potential risks in the supply chain and put measures in place to mitigate these risks. Lastly, Asset Tracking should be used to ensure that all assets remain secure and are being used in the correct manner. By following these measures the security of the supply chain can be maintained.

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discuss the differences between national income, gross national product, and gross domestic product. explain (using both words and equations) how if we started with gross domestic product, we could get to national income

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National income is the total income earned by the citizens of a country, Gross National Product (GNP) is the total market value of goods and services produced by the citizens of a country, both domestically and abroad.

While Gross Domestic Product (GDP) is the total market value of goods and services produced within a country's borders, and to move from GDP to national income, one can subtract indirect taxes, add subsidies, and add net foreign factor income.

National income, Gross National Product (GNP), and Gross Domestic Product (GDP) are all measures of a country's economic output. National income is the total income earned by the citizens of a country, including wages, salaries, rent, and profit. GNP is the total market value of goods and services produced by the citizens of a country, both domestically and abroad. GDP is the total market value of goods and services produced within a country's borders.

To move from GDP to national income, one can use the following equation:

National income = GDP - Indirect taxes + Subsidies + Net foreign factor income

Indirect taxes are taxes that are included in the price of goods and services, such as sales tax. Subsidies are payments made by the government to support certain industries. Net foreign factor income is the difference between income earned by citizens of a country abroad and income earned by foreigners within the country.

By subtracting indirect taxes and adding subsidies and net foreign factor income to GDP, we can arrive at national income.

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suppose a new educational technology product makes it easier to obtain a degree online and gain high-paying employment, leading to increased membership in the middle and upper classes. which type of mobility would this best exemplify?

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Let's say a new advancement in educational technology makes it simpler to earn a degree online and land a well-paying job, increasing the number of people who belong to the middle and upper classes. This most accurately represents a structural sort of movement.

The existence of unequal opportunities and rewards for various social positions or statuses within a group or community is what is known as social inequality. The unequal distribution of goods, wealth, opportunities, rewards, and punishments are included in structured and recurring patterns.

The system of social standing is referred to by sociologists as social stratification. Social stratification is the division of a population into groups according to wealth, income, educational, family history, and authority in a society.

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the sarbanes-oxley act has improved transparency, but investors may still have limited information about publicly traded firms. group of answer choices true false

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The statement "the sarbanes-oxley act has improved transparency, but investors may still have limited information about publicly traded firms" is true. The Sarbanes-Oxley Act of 2002 (SOX) was enacted to address the accounting scandals and fraud that occurred in the early 2000s, which led to the collapse of Enron, WorldCom, and other companies.

SOX aims to increase transparency, accountability, and the reliability of financial reporting for publicly traded companies.The Sarbanes-Oxley Act was passed in response to accounting fraud and corporate malfeasance by the management of some public companies.

The Act's primary purpose was to increase transparency, corporate governance, and the reliability of financial reporting by publicly traded firms. SOX requires companies to strengthen their internal controls, financial reporting, and risk management systems, as well as establish an independent audit committee.

The Sarbanes-Oxley Act requires management to assess the effectiveness of their internal control over financial reporting (ICFR) and publicly disclose any material weaknesses in the system. Auditors must also issue an opinion on management's assessment of the ICFR's effectiveness. SOX requires companies to establish a code of ethics for their senior financial officers and disclose any deviations from the code's provisions.

To summarize, SOX has made a significant contribution to increasing transparency and corporate governance in publicly traded firms. The law requires companies to improve their internal control and risk management systems, establish independent audit committees, and disclose any material weaknesses in their financial reporting. However, despite these efforts, investors may still have limited information about publicly traded firms.

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