T/F a multiple predetermined overhead rate system is more accurate than a plant wide overhead rate system because itreflects differences in how overhead costs are incurred within departments

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Answer 1

The statement " A multiple predetermined overhead rate system is more accurate than a plant wide overhead rate system because it reflects differences in how overhead costs are incurred within departments" is true  This allows for a more accurate reflection of differences in the overhead costs incurred within each department.

In contrast, a plant-wide overhead rate system allocates overhead costs to all departments based on a single predetermined overhead rate, which assumes that all departments incur overhead costs in the same way. This can lead to distorted allocation of costs, particularly if different departments have different cost drivers or if they use resources in different ways.

Therefore, a multiple predetermined overhead rate system is generally preferred when there are significant differences in the way overhead costs are incurred within departments.

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Assignment ve Formulacet Version Compound into heaven Su 5 your client's objective is to have $10.500 in three years, how much should be invest today in a product earning compounded annually? (Do not round Intermediate calculations and round your final answers to 2 decimal places) Required investment

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To determine the required investment to reach your client's objective of having $10,500 in three years with interest compounded annually, we will use the compound interest formula:

Future Value (FV) = Principal (P) × (1 + Interest Rate (r))^Number of years (n)

We are given:
FV = $10,500
Number of years (n) = 3

We need to find the Principal (P) and are given the product earns interest compounded annually. However, the interest rate (r) is missing from the question. Please provide the annual interest rate, and I will help you calculate the required investment.

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Họ: > 15.7 H1 :μ < 15.7 Your sample consists of 32 values, with a sample mean of 14.7. Suppose the population standard deviation is known to be 2.97. a) Calculate the value of the test statistic, rounded to 4 decimal places. z = __________
b) At a = 0.07, the rejection region is O z > 1.8119 O z > 1.4758 O Z< -1.8119 or 2 > 1.8119 O z < -1.4758 or 2 > 1.4758 O Z< -1.8119 O Z< -1.4758 c) The decision is to Fail to reject the null hypothesis Accept the alternative hypotheis Accept the null hypothesis Reject the null hypothesis d) Suppose you mistakenly rejected the null hypothesis in this problem, what type of error is that?

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a) To calculate the value of the test statistic, we use the formula:

z = (sample mean - population mean) / (population standard deviation / square root of sample size)

Substituting the given values, we get:

z = (14.7 - 15.7) / (2.97 / sqrt(32))
z = -2.8284

Rounding to 4 decimal places, we get:

z = -2.8284

b) The rejection region is given as z > 1.8119 at a significance level of 0.07. Since our calculated value of z is -2.8284, it falls in the rejection region. Therefore, we can reject the null hypothesis.

c) The decision is to Reject the null hypothesis.

d) If we mistakenly rejected the null hypothesis, that would be a Type I error.

Jane Gilligan asks your help in understanding the essentials of effective budgeting. Identify the essentials for Jane.The essentials of effective budgeting are: (1) a sound organizational structure(2) research and analysis(3) acceptance by all levels of management

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To understand the essentials of effective budgeting, it is important to consider the following three elements:


1. Sound Organizational Structure: Effective budgeting requires a well-defined organizational structure that is clear and aligned with the goals and objectives of the organization. This structure should enable effective communication, collaboration, and decision-making across all levels of the organization.

2. Research and Analysis: The foundation of effective budgeting lies in thorough research and analysis. This involves gathering relevant data, conducting market research, analyzing trends, and evaluating potential risks and opportunities.

3. Acceptance by all levels of management: For a budget to be effective, it must be accepted and supported by all levels of management. This requires open communication, collaboration, and a shared understanding of the budget's purpose, goals, and objectives.

By focusing on these three essentials, organizations can create effective budgets that align with their goals and help them achieve long-term success.

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Create EDR for the scenario:
The company is organized into departments. Each department has a unique number, name and a number of employees. One of the employees is the manager of the department. The company keeps track of the date each department's manager was appointed.
Each department controls a number of projects. Each project has a unique number, name and is located at a single location and controlled by only one department.
The company stores each employee's ID_number, address, salary, sex, and Date_of_birth. Each employee works for one department but may work on several projects although some employees do not work on any project. The company records the date an employee starts to work on a project and the date she stops working on that projects.
Each employee may have a number of dependants but a dependant is associated with only one employee. For each dependant, the company records their name, sex, Date_of_birth, and relationship to employee.

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The company is organized by departments, each with a unique number, name, managers, and projects. Employee records include ID_number, address, salary, sex, and date of birth. Projects tracked with employee start/stop dates. Dependents are tracked with name, sex, date of birth, and relationship to the employee.

Entity-Relationship Diagram (ERD) for the scenario:

                +----------------+             +------------+

                |    Department  |             |   Project  |

                +----------------+             +------------+

                | department_no  |             | project_no |

                | department_name|             | name       |

                | manager_ID     |             | location   |

                | date_appointed |             | department |

                +----------------+             +------------+

                         |                            |

                         | controls                   | controls

                         |                            |

                +----------------+             +------------+

                |     Employee   |             |   Depend   |

                +----------------+             +------------+

                | ID_number      |             |  name      |

                | address        |             |  sex       |

                | salary         |             |  DOB       |

                | sex            |             |  relation |

                | DOB            |             |  employee |

                +----------------+             +------------+

                         |                            |

                         | works_on                   | associated_with

                         |                            |

                +----------------+             +------------+

                |  EmployeeProject|             | Dependant  |

                +----------------+             +------------+

                | start_date     |             | name       |

                | end_date       |             | sex        |

                | employee_ID    |             | DOB        |

                | project_no     |             | relation  |

                +----------------+             | employee  |

                                                +------------+

Explanation of the entities and relationships:

Department: Stores information about each department in the company, including its unique department number, name, and the number of employees it has. Each department has a manager, who is an employee in the company, and the department stores the date when the manager was appointed. A department controls a number of projects.Project: Stores information about each project, including its unique project number, name, and location. Each project is controlled by only one department.Employee: Stores information about each employee in the company, including their ID number, address, salary, sex, and date of birth. Each employee works for one department but may work on several projects. The company records the date when an employee starts to work on a project and the date when they stop working on that project.Depend Stores information about each dependant associated with an employee. For each dependant, the company records their name, sex, date of birth, and relationship to the employee.EmployeeProject: Represents the relationship between employees and projects. It stores the start date, end date, employee ID, and project number for each employee working on a project.

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The beginning inventory is expected to be 2,900 coses. Expected sales are 12,700 cases, and the company wishes to begin the next period with an Inventory of 1,900 cases. The number of cases the compan

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The company needs to purchase 11,700 cases to achieve its desired ending inventory of 1,900 cases, given the expected sales of 12,700 cases and beginning inventory of 2,900 cases.

Based on the given information, the company expects to sell 12,700 cases and wishes to end the period with 1,900 cases. Therefore, the total number of cases needed for the period is 14,600 cases (12,700 + 1,900).

To calculate the number of cases the company needs to purchase, we must subtract the beginning inventory from the total number of cases needed. Thus, the company needs to purchase 11,700 cases (14,600 - 2,900) to meet its expected sales and ending inventory goals.

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the debt-to-asset ratio is calculated by dividing total liabilities by total . (enter one word per blank.)

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The debt-to-asset ratio is a financial metric used to assess a company's leverage or its level of debt compared to its assets. It is calculated by dividing total liabilities by total assets. Total liabilities refer to all the financial obligations that a company owes to its creditors and lenders, including loans, bonds, and other debts. On the other hand, total assets refer to all the resources that a company owns and controls, including cash, inventory, property, and equipment.

The debt-to-asset ratio is expressed as a percentage and indicates the proportion of a company's assets that are financed through debt. For example, if a company has total liabilities of $500,000 and total assets of $1,000,000, its debt-to-asset ratio would be 50% ($500,000 / $1,000,000). This means that half of the company's assets are financed through debt.

A high debt-to-asset ratio may indicate that a company is heavily reliant on debt to finance its operations, which can increase the risk of financial distress and bankruptcy. On the other hand, a low debt-to-asset ratio may indicate that a company is more financially stable and has a lower risk of default. However, the optimal debt-to-asset ratio varies depending on the industry, economic conditions, and other factors. Therefore, it is important to analyze this metric in conjunction with other financial ratios and performance indicators to get a complete picture of a company's financial health.

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A company manufactures a product with the following cost data. The company’s production process requires that it produce its products in 1,000 unit increments.
Units Total Cost
10,000 $58,000
11,000 $62,300
12,000 $66,600
13,000 $70,900
What is the average cost per unit when the company manufactures 12,000 units? Round your answer to two decimal places and enter your amount with no dollar sign.

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The average cost per unit when the company manufactures 12,000 units is $5.58.

To calculate the average cost per unit when the company manufactures 12,000 units, we need to determine the total cost for producing 12,000 units and then divide it by the number of units produced.

From the given cost data, we can see that the cost increases by $4,300 for each additional 1,000 units produced. So to produce 12,000 units, the total cost would be:

Total cost for producing 12,000 units = $58,000 + ($4,300 x 2) + ($4,300 x 3) = $66,900

Now we can calculate the average cost per unit:

Average cost per unit = Total cost for producing 12,000 units / Number of units produced = $66,900 / 12,000 = $5.58

Therefore, the average cost per unit when the company manufactures 12,000 units is $5.58.

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Sarasota Corporation purchased a trade name, customer list, and manufacturing equipment for a lump sum of $751,000. The fair market values of each asset are $351,360, $362,340, and $384,300, respectively. There were initial operating losses of $15,700 during the first four months after the assets were put into use. Prepare the journal entry to record the treatment of these costs. (Do not round intermediate calculations. Round answers to 0 decimal places, e.g. 5,275. Credit account titles are automatically indented when the amount is entered. Do not indent manually. If no entry is required, select "No entry" for the account titles and enter 0 for the amounts.)

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The initial operating loss of $15,700 during the first four months after the assets were put into use should be expensed and recorded separately in the income statement. Therefore, no entry is required for this cost in the journal.

The journal entry to record the treatment of the costs related to the purchase of trade name, customer list, and manufacturing equipment would be as follows:

Debit: Trade Name - $351,360
Debit: Customer List - $362,340
Debit: Manufacturing Equipment - $384,300
Credit: Cash - $751,000


This journal entry reflects the purchase of intangible and tangible assets for a lump sum. The fair market value of each asset is recorded separately as a debit to the respective asset account, and the total amount paid is recorded as a credit to the cash account. This treatment ensures that the assets are recorded at their fair values and that the total purchase price is allocated appropriately.

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what is the one consideration you should NOT consider when evaluating any savings and investments?

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When evaluating any savings and investments, you should not consider the latest investment fads or trends. It's important to focus on long-term, sustainable investments that align with your financial goals and risk tolerance.

Which of the following sections from the statement of cash flows includes activities that increase and decrease long-term assets?
a) The financing section.
b) The operating section.
c) The investing section.
d) The non-cash investing and financing section

Answers

The section from the statement of cash flows that includes activities that increase and decrease long-term assets is the Investing section. The Investing section of the statement of cash flows reports cash flows. The correct answer is option C

Activities that increase long-term assets are reported as cash outflows, while activities that decrease long-term assets are reported as cash inflows. For example, the purchase of new property, plant, and equipment is reported as a cash outflow, while the sale of an existing asset is reported as a cash inflow.

The Operating section of the statement of cash flows reports cash flows related to the company's primary operations, such as sales and expenses, and typically does not include long-term assets. The Financing section reports cash flows related to the company's financing activities, such as issuing or repurchasing stock, and does not include long-term assets.

The non-cash investing and financing section reports non-cash transactions, such as the exchange of common stock for long-term assets, but does not include the cash flows related to the acquisition or disposition of long-term assets. Therefore, the correct answer is option C

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Buttermilk, for which today's younger market has a strong distaste, is in the _____ stage of the product life cycle.
growth.
introduction.
maturity.
decline

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Buttermilk is a product that has been around for a long time and has gone through different stages in its life cycle. Today's younger market seems to have a strong distaste for it, which could be an indication that it is in the decline stage of the product life cycle.

The product life cycle is a model that describes the stages a product goes through from its introduction to the market until it is no longer sold. The four stages of the product life cycle are introduction, growth, maturity, and decline. During the introduction stage, a product is new to the market, and sales are typically low. In the growth stage, sales start to increase rapidly, and the product gains popularity. The maturity stage is when sales start to plateau, and the market becomes saturated with similar products. Finally, in the decline stage, sales start to decline, and the product becomes less popular. Considering the strong distaste of younger consumers towards buttermilk, it is reasonable to assume that the product is in the decline stage of the product life cycle. However, it is worth noting that there may still be niche markets or older demographics that continue to consume buttermilk.

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12 We should protect our economy and ___________ all cheap imports.

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To answer your question in detail, the blank can be filled with the word "restrict" or "limit."

The idea behind protecting the economy is to create an environment where businesses can thrive and grow. When cheap imports flood the market, it can make it difficult for local businesses to compete. This is because the imported goods may be sold at a lower price due to various factors such as lower production costs, lower labor costs, or government subsidies. To protect the economy, governments may choose to restrict or limit the amount of cheap imports that are allowed into the country. This can be done through various means such as imposing tariffs or quotas on imported goods. By doing so, local businesses are given a fair chance to compete, and the economy can remain strong and sustainable. However, it's important to note that restricting imports can also have negative consequences, such as higher prices for consumers, reduced choices, and potential retaliation from other countries. Therefore, it's essential to strike a balance between protecting the economy and allowing for free trade.

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If [answer] is behind schedule, the job may need to go on overtime, which causes problems for the customer.

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If a project or task is behind schedule, there may be a need for overtime to catch up on lost time. However, this can cause problems for the customer who is expecting the work to be completed within the agreed-upon timeframe. Overtime can result in increased costs and potentially delay other projects or tasks, which can affect the customer's overall experience.

In order to avoid these issues, it is important to have a realistic timeline and to communicate any potential delays to the customer as soon as possible. This allows for adjustments to be made, such as prioritizing certain tasks or reallocating resources, to minimize the impact on the customer. It is also important to ensure that the team is properly staffed and has the necessary resources to complete the work within the given timeframe.

Overall, being behind schedule can have significant consequences for the customer, and it is important to take proactive measures to mitigate any potential problems that may arise. By being transparent and responsive, the customer can be assured that their needs are being taken seriously and that efforts are being made to deliver the best possible results.

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you are operating under the original pricing structure except that the supplier has lowered the part cost to $58.50, and raised the order cost to $2000 per order. however the price break is only valid if your order quantity is greater than 3750.

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Based on the information provided, it appears that the supplier has lowered the cost of the part to $58.50 and increased the order cost to $2000 per order.

However, there is a price break available only if your order quantity is greater than 3750. It's important to consider the overall cost of ordering in bulk to take advantage of this price break. It may also be beneficial to evaluate other suppliers and their pricing structures to ensure that you are getting the best deal for your business.

Under the new pricing structure, the cost per unit has decreased to $58.50 from the original price of $60. However, the order cost has increased to $2000 from the original cost of $1500. To be eligible for the price break, the order quantity needs to be greater than 3750 units. This means that to take advantage of the price break, you would need to order at least 3750 units at a cost of $58.50 per unit, totaling $219,375.

If you ordered fewer than 3750 units, the cost per unit would remain at $58.50, but the total cost would be higher due to the increased order cost of $2000. For example, if you ordered 3000 units, the total cost would be $175,500 ($58.50 per unit x 3000 units) plus an additional $2000 for the order cost, resulting in a total cost of $177,500. Therefore, it would be more cost-effective to order in larger quantities to take advantage of the price break and offset the higher order cost.

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To the right is a graph of . How can you use this graph to describe the relationship between the rate of return and the number of years it would take the investment to double?

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Answer:

The graph you provided shows a relationship between the rate of return and the number of years it would take an investment to double . The horizontal axis represents the rate of return, while the vertical axis represents the number of years it would take for the investment to double.

From the graph , we can see that as the rate of return increases, the number of years it takes for the investment to double decreases. This makes sense because a higher rate of return would mean that the investment is growing faster, thus leading to a quicker doubling time. Conversely, a lower rate of return would mean that the investment is growing more slowly, so it would take longer to double.

Therefore, investors can use this graph to estimate how long it would take for their investment to double based on the rate of return they are expecting. For example, if an investor is hoping for a 10% rate of return, they can look at the graph and estimate that it would take around 7 years for their investment to double.Explanation:

according to ghemawat, which of the following offers room for cross-border strategy to have content distinct from single-country strategy? group of answer choices semi-globalization regional integration privatization

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According to Ghemawat, regional integration offers room for cross-border strategy to have content distinct from single-country strategy. Regional integration refers to the process of countries coming together to form a regional bloc, such as the European Union or ASEAN.

This allows for easier movement of goods, services, and people across borders within the region, creating a unique environment for businesses operating within the region. By tailoring their strategy to the unique characteristics of the regional market, businesses can differentiate themselves from competitors that have a single-country strategy.

This can include taking advantage of lower trade barriers, harmonizing product standards, and leveraging the shared culture and language of the region. Overall, regional integration provides an opportunity for businesses to gain a competitive advantage by developing a strategy that is tailored to the unique characteristics of the regional market.

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Forecasting methods that assume that the demand forecast is highly correlated with
certain factors in the environment (e.g., the state of the economy, interest rates, etc.) to make a
forecast are known as
A) qualitative forecasting methods.
B) time series forecasting methods
C) causal forecasting methods.
D) simulation forecasting methods.

Answers

Causal forecasting methods are used when there is a strong correlation between the demand forecast and specific factors in the environment, such as the state of the economy, interest rates, and other external variables. Correct answer is option C



Unlike qualitative forecasting methods, which rely on expert opinions and human judgments, causal forecasting methods use quantitative data and statistical models to make predictions. Time series forecasting methods, on the other hand, solely focus on historical data patterns without considering the impact of external factors.



Causal forecasting methods may involve regression analysis, econometric models, or other statistical techniques to identify and quantify the relationships between the dependent variable (e.g., demand) and independent variables (e.g., economic indicators). These relationships are then used to develop a forecast based on the anticipated changes in the causal factors. Correct answer is option C


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the covariance of the returns between wildcat stock and sun devil stock is 0.09875. the variance of wildcat is 0.2116, and the variance of sun devil is 0.1369. what is the correlation coefficient between the returns of the two stocks?

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The correlation coefficient between the returns of Wildcat stock and Sun Devil stock is approximately 0.5812.

How to determine the correlation coefficient

The correlation coefficient between the returns of Wildcat stock and Sun Devil stock can be calculated using the given covariance, variance of Wildcat, and variance of Sun Devil.

The formula for the correlation coefficient (ρ) is:

ρ = Covariance(Wildcat, Sun Devil) / (Standard Deviation(Wildcat) * Standard Deviation(Sun Devil))

We have the covariance (0.09875) and the variances (0.2116 for Wildcat and 0.1369 for Sun Devil).

To find the standard deviations, we need to take the square root of each variance:

Standard Deviation(Wildcat) = √0.2116 ≈ 0.4596

Standard Deviation(Sun Devil) = √0.1369 ≈ 0.3699

Now, we can plug these values into the formula:

ρ = 0.09875 / (0.4596 * 0.3699) ≈ 0.09875 / 0.1700 ≈ 0.5812

So, the correlation coefficient between the returns of Wildcat stock and Sun Devil stock is approximately 0.5812.

This indicates a positive, moderate relationship between the returns of the two stocks.

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are online social networks that may be specific to marketing research, or they may be broader brand communities, the primary objective of which is marketing.

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Yes, online social networks can be specific to marketing research or broader brand communities, and their primary objective often revolves around marketing. These platforms serve as essential tools for businesses to reach and engage with their target audiences effectively.

Through social networks, companies can gather valuable consumer insights, enhance brand awareness, and promote products and services. Marketing research-focused social networks allow businesses to collect data, analyze consumer behavior, and identify market trends. These networks enable companies to understand their customers' preferences and tailor their marketing strategies accordingly. On the other hand, broader brand communities provide an inclusive space for businesses to create meaningful connections with their audience. These social networks promote brand loyalty, foster customer relationships, and facilitate user-generated content, which ultimately supports marketing objectives. In summary, online social networks, whether specific to marketing research or broader brand communities, play a crucial role in achieving marketing goals. They provide valuable insights, enhance brand exposure, and promote consumer engagement, making them an indispensable tool for businesses.

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For 2019, Corporation N, a calendar-year taxpayer, had a tax liability of $100,000. N’s 2018 tax liability was $200,000. What is the amount N must have paid for each quarter for 2019 to avoid any penalty or interest for underpayment of estimated tax?
A) $22,500
B) $23,250
C) $25,000
D) $50,000

Answers

To avoid any penalty or interest for underpayment of estimated tax, a corporation must pay at least the lesser. The answer is (C) $25,000.

100% of the tax shown on the current year's tax return or

100% of the tax shown on the previous year's tax return (if the previous year was a full 12-month tax year) or

90% of the current year's tax liability.

Since Corporation N's 2018 tax liability was greater than its 2019 tax liability, it must pay at least 100% of the 2019 tax liability, which is $100,000. To determine the quarterly payments needed to meet this requirement, divide $100,000 by 4: $100,000 ÷ 4 = $25,000

Therefore, the answer is (C) $25,000.

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________ is the attempt to change an audience's attitudes, beliefs, or actions.
A) Deception
B) Sales
C) Persuasion
D) Trickery
E) Marketing

Answers

C) Persuasion. Persuasion is the attempt to change an audience's attitudes, beliefs, or actions. It involves presenting compelling arguments and evidence to influence people's thinking and decision-making. Persuasive communication can be found in various contexts, such as advertising, sales, politics, and interpersonal relationships.

Effective persuasion takes into account the audience's current attitudes and beliefs, using various strategies to connect with them and shift their perspective. It is crucial to present logical, credible, and emotionally appealing information to maximize the chances of achieving the desired change. Unlike deception or trickery, persuasion is generally based on truthful and relevant information.

Sales and marketing, while closely related to persuasion, are broader concepts that encompass various activities aimed at promoting and selling products or services. Persuasion is an essential component of these fields, but it is not their exclusive focus. Instead, sales and marketing strategies involve other elements, such as pricing, distribution, and product development, which go beyond merely influencing attitudes and beliefs.

In summary, persuasion is the process of attempting to change an audience's attitudes, beliefs, or actions by presenting convincing arguments and evidence. It is a key element of various fields, including sales and marketing, but is not synonymous with them. Persuasion aims to influence people's thinking and decision-making in a truthful and ethical manner, distinguishing it from deceptive or manipulative tactics.

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Ratios (Total of 5 marks) a. If prior charge capital = $30,000 and total capital = $210,000, Calculate the gearing and comment upon the ratio. (2 marks) b. If accounts receivable is $95,000 and sales are $340,000, what is the accounts receivable/ sales ratio? (1 mark) C. Calculate net profit as a percentage of sales if net profit was $80,000 and sales were $560,000. (1 mark) d. Calculate the inventory turnover ratio if average inventory is $60,000 and cost of sales is $320,000. (1 mark)

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A lower gearing ratio indicates that the company is relying more on equity financing rather than debt financing. The gearing ratio is 14.29%. The accounts receivable/sales ratio is 27.94%. The net profit as a percentage of sales is 14.29%. The inventory turnover ratio is 5.33 times.

a. The gearing ratio is calculated by dividing prior charge capital by total capital, and then multiplying by 100 to get a percentage. Therefore, the gearing ratio is (30,000/210,000) x 100 = 14.29%. This means that 14.29% of the company's total capital is made up of prior charge capital. A lower gearing ratio indicates that the company is relying more on equity financing rather than debt financing.

b. The accounts receivable/sales ratio is calculated by dividing accounts receivable by sales and then multiplying by 100 to get a percentage. Therefore, the accounts receivable/sales ratio is (95,000/340,000) x 100 = 27.94%. This means that 27.94% of the company's sales are tied up in accounts receivable.

c. The net profit as a percentage of sales is calculated by dividing net profit by sales and then multiplying by 100 to get a percentage. Therefore, the net profit as a percentage of sales is (80,000/560,000) x 100 = 14.29%. This means that the company earned a net profit of 14.29 cents for every dollar of sales.

d. The inventory turnover ratio is calculated by dividing cost of sales by average inventory. Therefore, the inventory turnover ratio is 320,000/60,000 = 5.33 times. This means that the company sells and replaces its inventory 5.33 times in a given period, such as a year. A higher inventory turnover ratio indicates that the company is selling its inventory quickly and efficiently.

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A corporation established its projected sales at $210 million. It is using its current year balance sheet as a basis for creating a pro forma balance sheet. It estimates cash will be 7% of projected sales, accounts receivable will be 19% of projected sales, and property, plant, and equipment (PP&E) will be 55% of projected sales. Accounts payable are estimated to be 12% of projected sales. Owners’ equity is $34 million. Long-term debt is $90 million. Additionally, the firm raised $12.9 million of equity capital. What is the amount of discretionary financing needed?

Answers

The amount of discretionary financing needed is $8 million.

To calculate the discretionary financing needed, we will first determine the values of the various assets and liabilities based on the projected sales, and then calculate the total assets, total liabilities, and total equity.

1. Cash = 7% of projected sales = 0.07 * $210 million = $14.7 million
2. Accounts receivable = 19% of projected sales = 0.19 * $210 million = $39.9 million
3. PP&E = 55% of projected sales = 0.55 * $210 million = $115.5 million
4. Accounts payable = 12% of projected sales = 0.12 * $210 million = $25.2 million

Total assets = Cash + Accounts receivable + PP&E = $14.7 million + $39.9 million + $115.5 million = $170.1 million

Total liabilities = Accounts payable + Long-term debt = $25.2 million + $90 million = $115.2 million

Total equity = Owners' equity + Equity capital raised = $34 million + $12.9 million = $46.9 million

Now, we will determine the discretionary financing needed (DFN) using the following formula:

DFN = Total assets - (Total liabilities + Total equity)

DFN = $170.1 million - ($115.2 million + $46.9 million) = $170.1 million - $162.1 million = $8 million

Therefore, the amount of discretionary financing needed is $8 million.

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Given the trend toward employee empowerment in the workplace, more and more employees are finding the _____ theory useful.equitymotivator-hygieneexpectancyscientific managementgoal-setting

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Hi! Given the trend toward employee empowerment in the workplace, more and more employees are finding the goal-setting theory useful.

The goal-setting theory is a motivational framework that emphasizes the importance of setting specific, challenging, and achievable goals for employees to work towards.

This theory is based on the idea that when employees have clear and measurable objectives, they are more likely to be motivated, engaged, and committed to their work.

The goal-setting theory consists of the following steps:


1. Set specific goals: Clearly define the objectives and desired outcomes that employees should aim for.


2. Set challenging goals: Goals should be difficult but attainable, pushing employees to improve their performance.


3. Provide feedback: Regularly review progress towards goals and provide constructive feedback to help employees stay on track.


4. Ensure goal commitment: Make sure employees understand and are committed to the goals, as they are more likely to work towards them when they feel personally invested.


5. Adjust goals as needed: Periodically review and adjust goals as necessary to maintain relevance and motivation.

In summary, the goal-setting theory is useful for employee empowerment in the workplace because it encourages employees to take ownership of their work and strive for continuous improvement.

By setting specific, challenging, and achievable goals, employees are more likely to feel motivated and engaged, ultimately contributing to a more empowered and productive workforce.

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What is a key meeting to inspect the Integrated Increment?

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In software development, a key meeting to inspect the Integrated Increment is the Sprint Review Meeting. This meeting is held at the end of every sprint in the Scrum framework and is attended by the development team, the product owner, and other stakeholders.

During the Sprint Review Meeting, the development team demonstrates the Integrated Increment to the product owner and stakeholders. This is the opportunity for everyone to inspect and review the work that was completed during the sprint. The team discusses the progress made towards the sprint goal, any changes to the product backlog, and any issues or obstacles that were encountered. The product owner provides feedback on the Increment, and the team can use this feedback to refine and improve their work.

The Sprint Review Meeting is a critical meeting in the Scrum framework because it allows for transparency and collaboration between the development team and stakeholders. It provides a platform to identify any areas that require improvement and ensure that the team is on track to achieve the sprint goal. In conclusion, the Sprint Review Meeting is a key meeting to inspect the Integrated Increment in software development. It promotes collaboration, transparency, and feedback and ensures that the team is delivering value to the stakeholders.

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The research department of the COLLEGE STU DENT EXPRESS Airline has estimated the income elasticity of demand for its overseas flights to be 4. Further, most economic forecasts predict a 3.5% increase in incomes for students during the upcoming year. If among the college students that flew last year, 120,000 had chosen the COLLEGE STU DENT EXPRESS and if one flight attendant is usually needed for every 300 passengers, estimate the number of additional flight attendants that need to be hired for the upcoming year.

Answers

An additional 456 flight attendants need to be hired for the upcoming year to accommodate the increased demand for overseas flights on COLLEGE STU DENT EXPRESS.

Based on the given information, we know that the income elasticity of demand for COLLEGE STU DENT EXPRESS overseas flights is 4. This means that for every 1% increase in income among college students, the demand for overseas flights on this airline will increase by 4%. Additionally, we know that there is a predicted 3.5% increase in incomes for students during the upcoming year.

To estimate the number of additional flight attendants that need to be hired for the upcoming year, we first need to estimate the increase in demand for overseas flights on COLLEGE STU DENT EXPRESS.

Let's start by calculating the percentage increase in demand that is expected due to the predicted increase in incomes:

Percentage increase in demand = Income elasticity of demand * Percentage increase in income
Percentage increase in demand = 4 * 3.5
Percentage increase in demand = 14

This means that we can expect a 14% increase in demand for overseas flights on COLLEGE STU DENT EXPRESS due to the predicted increase in incomes.

Next, we need to calculate the number of passengers that will be flying on COLLEGE STU DENT EXPRESS during the upcoming year:

Number of passengers = Number of passengers last year * (1 + Percentage increase in demand)
Number of passengers = 120,000 * (1 + 0.14)
Number of passengers = 136,800

So we can expect 136,800 passengers to fly on COLLEGE STU DENT EXPRESS during the upcoming year.

Finally, we can estimate the number of additional flight attendants needed by dividing the total number of passengers by the number of passengers per flight attendant:

Number of flight attendants needed = Number of passengers / Passengers per flight attendant
Number of flight attendants needed = 136,800 / 300
Number of flight attendants needed = 456

Therefore, we can estimate that an additional 456 flight attendants need to be hired for the upcoming year to accommodate the increased demand for overseas flights on COLLEGE STU DENT EXPRESS.

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the weekly entries in the general journal to record payments to employees include a debit to ....... . multiple choice question. salaries and wages expense

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Yes, that is correct. The weekly entries in the general journal to record payments to employees typically include a debit to "Salaries and Wages Expense." This account is used to record the total amount of money paid to employees during the week, including regular wages, overtime pay, bonuses, and any other compensation.

The credit side of the entry would typically include a credit to "Cash" or "Accounts Payable" if the payment was made by check or electronic transfer. If the payment was made in cash, the credit side of the entry would include a credit to "Cash" and a debit to "Petty Cash" or "Cash Short and Over," depending on how the cash was accounted for.

Recording payments to employees accurately and timely is critical to maintaining accurate financial records and ensuring that employees are paid correctly and on time.

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Which of the following terms best describes a company that has operations in various countries, follows policies to develop local R&D to tailor products to markets, lets plants set their own rules, and aims at being a good corporate citizen in every country?
A) GLOCAL
B) global elite
C) counter trade
D) global commons

Answers

The term "GLOCAL" best describes a company that has operations in various countries, follows policies to develop local research and development (R&D) to tailor products to specific markets, allows individual plants to set their own rules, and aims to be a good corporate citizen in every country. Option (A).

GLOCAL represents a combination of "global" and "local" strategies, where companies seek to balance the benefits of a global presence with the need to adapt to local markets and cultures.

By embracing the GLOCAL approach, companies can leverage global scale while also catering to local preferences and needs, fostering innovation, and maintaining a positive relationship with local communities and stakeholders.

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The example of Les Paul's limited edition shows how Sweetwater __________ from using its customer database.1.invoices the client2.provides customer service3.generates leads4.finds discounts5.understands its market

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The example of Les Paul's limited edition shows how Sweetwater generates leads from using its customer database.

Sweetwater, a musical instruments retailer, used its customer database to generate leads for a limited edition Les Paul guitar. The company had data on customers who had purchased Les Paul guitars before and used this information to target them with personalized emails.

The emails contained information about the limited edition Les Paul and a link to purchase it on Sweetwater's website.

This strategy proved to be successful as Sweetwater sold out of the limited edition Les Paul within hours of sending the emails. By leveraging its customer database, Sweetwater was able to target customers who were most likely to be interested in the limited edition guitar, resulting in high sales and satisfied customers.

The example illustrates the power of using customer data to generate leads and increase sales for businesses.

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The example of Les Paul's limited edition shows how Sweetwater __________ from using its customer database.

1. invoices the client

2. provides customer service

3. generates leads

4. finds discounts

5. understands its market

The Costanza Corporation purchased some equipment August 1, 2021 for $17,040 and expects to use it for 8 years at which time it can be sold for an estimated $1,200. How much depreciation expense would be recorded in the company’s 2021 financial statements?

Answers

The depreciation expense that would be recorded in the company's 2021 financial statements is $2,055.

 How to calculate the depreciation expense?

To calculate the depreciation expense for 2021, we need to determine the depreciation method and the useful life of the equipment. Assuming the Costanza Corporation uses the straight-line depreciation method and the equipment has no salvage value, the annual depreciation expense would be:

Depreciation expense = (Cost of equipment - Salvage value) / Useful life

Cost of equipment = $17,040
Salvage value = $1,200
Useful life = 8 years

Depreciation expense = ($17,040 - $1,200) / 8 = $2,055

Therefore, the depreciation expense that would be recorded in the company's 2021 financial statements is $2,055.

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