You are entering a supplier invoice for a purchase order that has been delivered. What information can you use as a reference to post the invoice?
a. delivery not number
b. bill of lading number
c. PR number
d. PO number
e. Sales order number

Answers

Answer 1

The reference information that can be used to post the supplier invoice for a delivered purchase order includes the PO (purchase order) number, as it is the unique identifier of the purchase order that has been delivered.

When entering a supplier invoice for a purchase order that has been delivered, you can use the following information as a reference to post the invoice: d. PO number (Purchase Order number)

This is the most relevant reference in this context, as it directly relates to the purchase order and ensures the correct alignment of the invoice with the respective order.

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c) Michalleti Marketing Consulting Ltd issued Gh¢ 500million of zero-coupon bonds with ex-interest of Ghe 120, due for repayment in 5years time at par. Its current market price is Gh¢ 105. What is the company's cost of debt capital? (2 Marks)

Answers

In the case of Michalleti Marketing Consulting Ltd, the company issued Gh¢ 500 million of zero-coupon bonds with an ex-interest of Gh¢ 120, which are due for repayment in 5 years at par. The current market price of these bonds is Gh¢ 105. The cost of debt will be 37.44%.

To calculate Michalleti Marketing Consulting Ltd's cost of debt capital for the Gh¢ 500 million zero-coupon bonds with ex-interest of Gh¢ 120, due for repayment in 5 years at par, and a current market price of Gh¢ 105, follow these steps:

1. Identify the face value (FV) of the bond, which is the par value to be repaid in 5 years. In this case, FV = Gh¢ 500 million.
2. Determine the initial investment or bond price (PV), which is the current market price of the bond. In this case, PV = Gh¢ 105.
3. Identify the time to maturity (t) of the bond, which is the number of years until repayment. In this case, t = 5 years.
4. Calculate the company's cost of debt capital using the formula: Cost of Debt Capital = [tex]\frac{FV }{PV} ^{1/t} - 1[/tex]
5. Plug the values into the formula: Cost of Debt Capital =[tex]\frac{500}{105} ^{1/5} - 1[/tex]
6. Perform the calculations: Cost of Debt Capital = [tex]4.76^{1/5} - 1[/tex]
7. Final calculation: Cost of Debt Capital = 1.3744 - 1

The company's cost of debt capital is approximately 37.44%.

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consider an industry that is made up of nine firms each with a marketshare (percent of sales) as follows firm a 35% firm b 20% firms c and d15% what is the four firm concentration ratio

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The four firm concentration ratio is a measure that helps to determine the level of competition in a market. It is calculated by adding the market share (percent of sales) of the four largest firms in the industry. In this case, the four largest firms are firms a, b, c, and d, whose market shares are 35%, 20%, 15%, and 15% respectively. When we add these market shares, we get a total of 85%. Therefore, the four firm concentration ratio in this industry is 85%.

This means that the industry is highly concentrated, as the four largest firms control a significant portion of the market. This can have both positive and negative effects on the industry and consumers. On one hand, the high level of concentration could result in increased efficiency and economies of scale, which could lead to lower prices for consumers. On the other hand, the lack of competition could lead to higher prices and reduced innovation.

Overall, the four firm concentration ratio is an important measure that helps to assess the level of competition in a market. In this case, the high concentration ratio suggests that the industry is dominated by a few large firms, which could have implications for both consumers and industry players.

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According to the FTC, marketing and sales messages must
A) offer an alternative if the advertised product is not available.
B) include a product reviewer's name on all reviews.
C) not be offensive or insulting.
D) include opt-in choices.
E) be free of implied claims.

Answers

According to the FTC, marketing and sales messages must meet certain requirements to ensure that consumers are not misled or deceived. option D is correct.) include opt-in choices.

Firstly, if a product that is advertised is not available, the message must offer an alternative. This means that the advertisement cannot simply state that the product is sold out, but must suggest other similar products that the consumer can consider instead.

Secondly, all reviews must include the name of the product reviewer. This helps to ensure that reviews are genuine and not simply made up to promote a product.

Thirdly, marketing and sales messages must not be offensive or insulting. This means that they cannot discriminate against any group of people or use derogatory language.

Fourthly, consumers must have the option to opt-in or opt-out of any promotional messages. This means that they must be given the choice to receive or not receive future marketing and sales messages.

Finally, marketing and sales messages must be free of implied claims. This means that any claims made in the advertisement must be explicit and supported by evidence. Implied claims are those that are suggested but not stated outright.

In summary, the FTC has set out specific requirements that marketing and sales messages must meet to ensure that consumers are not misled or deceived. By following these guidelines, companies can build trust with their customers and promote their products and services in an ethical and responsible way.

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Jansen Crafters has the capacity to produce 50,000 oak shelves per year and is currently selling 44,000 shelves for $32 each. Cutrate Furniture approached Jansen about buying 1,200 shelves for bookcases it is building and is willing to pay $26 for each shelf. No packaging will be required for the bulk order. Jansen usually packages shelves for Home Depot at a price of $1.50 per shelf. The $1.50 per-shelf cost is included in the unit variable cost of $27, with annual fixed costs of $320,000. However, the $1.50 packaging cost will not apply in this case. The fixed costs will be unaffected by the special order and the company has the capacity to accept the order. Based on this information, what would be the profit if Jansen accepts the special order?
A.Profits will increase by $31,200.
B.Profits will decrease by $1,200.
C.Profits will increase by $7,200.
D.Profits will increase by $600.

Answers

C. Profits will increase by $7,200, it's important to note that accepting the special order will also decrease the number of shelves available to sell at the regular price, so the impact on overall profits needs to be considered.



To calculate the profit from the special order, we need to compare the revenue generated from the order with the cost of producing the shelves. The revenue from the special order would be:

1,200 shelves x $26/shelf = $31,200

To calculate the cost of producing the shelves, we need to consider the unit variable cost and the packaging cost. The unit variable cost is $27 per shelf, but we know that the $1.50 packaging cost won't apply in this case. Therefore, the cost per shelf will be $27 - $1.50 = $25.50. The total cost of producing 1,200 shelves will be:

1,200 shelves x $25.50/shelf = $30,600

To calculate the profit, we subtract the cost from the revenue:

$31,200 - $30,600 = $600

Therefore, the profit from the special order will be $600. Since this is a positive number, accepting the special order will increase profits.

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relative valuation has several advantages relative to other valuation techniques. which of the following is an advantage of relative valuation?

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Answer: Simple to learn and use

Comparing a company's financial indicators, such as its price-to-earnings ratio or price-to-book ratio, to similar firms in the same sector is what relative valuation entails. This enables a quick and easy evaluation of a company's worth relative to its peers.

It is appropriate for businesses that are not yet profitable or have negative earnings. Other valuation methodologies, such as discounted cash flow analysis, may not be as helpful in such instances.

Also, relative valuation considers the present market situation and investor mood, both of which can influence a company's price. This might be useful in finding firms that are cheap or overpriced dependent on market conditions.

Relative valuation is a popular valuation technique in finance and has several advantages over other valuation techniques such as absolute valuation. One of the key advantages of relative valuation is:

1. Simplicity: Relative valuation is relatively easy to understand and apply. It involves comparing the price or value of a security or asset to a benchmark, such as its peers or industry averages.

Other potential advantages of relative valuation may include:

2. Market-based: Relative valuation is based on market prices and multiples, making it more reflective of market sentiment and expectations. This can be useful in situations where market sentiment may be more important than underlying fundamentals.

3. Widely used: Relative valuation is a widely used technique and is often used by analysts, investors, and traders. This means that there is a wealth of data and research available on relative valuation, making it easier to apply.

4. Considers multiples: Relative valuation typically involves using multiples such as price-to-earnings (P/E) or price-to-book (P/B) ratios. This can be useful in comparing companies with different levels of earnings or assets.

It's important to note that while relative valuation has several advantages, it also has limitations and may not be appropriate in all situations.

It is often used in combination with other valuation techniques to provide a more comprehensive analysis.

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Which is a trait that cannot be taught through the JATC or O-J-T?

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A trait that cannot be taught through the Joint Apprenticeship and Training Committee (JATC) or On-the-Job Training (O-J-T) is an individual's innate personality or inherent characteristics. These are aspects of a person that are present from birth and typically cannot be significantly altered through training or education.

JATC and O-J-T programs are designed to teach technical skills, knowledge, and proper work practices in a specific trade or profession. They provide hands-on experience, guidance from experienced professionals, and structured learning opportunities. While these training programs can improve a person's abilities, work ethic, and understanding of their chosen field, they cannot change an individual's inherent traits.

Examples of such inherent traits include a person's temperament, natural aptitudes, and certain aspects of their work style. For instance, traits such as empathy, introversion or extroversion, and innate problem-solving abilities are all deeply ingrained characteristics that are difficult, if not impossible, to teach or modify through training programs like JATC or O-J-T.

In conclusion, while JATC and O-J-T programs can significantly enhance a person's skills and knowledge in their chosen trade, they cannot teach or alter inherent traits that are deeply ingrained in an individual's personality.

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identify the category of correlation. the firm employs more factors of production if there is an increase in the demand for its product.

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To identify the category of correlation between a firm employing more factors of production and an increase in the demand for its product, we must first understand the types of correlation. Correlations can be positive, negative, or no correlation (zero).

In this case, as the demand for the firm's product increases, the firm employs more factors of production to meet the demand. This indicates a positive correlation, as both variables (demand and factors of production) are moving in the same direction.

Step-by-step explanation:

1. Understand the relationship between the two variables: demand for the firm's product and factors of production employed by the firm.

2. Observe that as the demand for the product increases, the firm employs more factors of production.

3. Recognize that the variables are moving in the same direction (both increasing).

4. Conclude that the category of correlation is positive.

So, the category of correlation between a firm employing more factors of production and an increase in the demand for its product is a positive correlation.

This means that as demand for the product increases, the firm will also increase its use of factors of production to meet this growing demand.

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Using a two period binomial model, compute the value of a 6 month American put option on a sugar futures contract where the current futures price is $12/1b, the strike price is $14/lb., the annual interest rate is 10% and the volatility of the futures price is 40%. To compute u and d use the following formula: (When we get to the Black- Scholes formula, I'll explain why.) U = eVT/N d=1/4 ii. What is the value of an otherwise identical European call? iii. Without using the binomial model, determine the value of a European put.

Answers

American put option = 1.098 and d = 1/4; At the root node, option value = $1.83/lb;  we get a value of $0.77/lb. European call; we get a value of $1.54/lb. for the European put.

To compute the value of a 6-month American put option on a sugar futures contract using a two-period binomial model, we first need to calculate the values of u and d. Using the given formula, we have U = e^(0.4*0.5/2) = 1.098 and d = 1/4.

Next, we can construct the binomial tree with two periods and calculate the option values at each node. Starting from the end nodes, we have a payoff of $2/lb. at the upper node and $0/lb. at the lower node. Moving up the tree, we can calculate the option values at each node using the risk-neutral probability and the discounted expected value of the two possible outcomes. At the root node, the option value is $1.83/lb.

For an otherwise identical European call option, we can use the Black-Scholes formula to calculate the option value. The formula takes into account the same inputs as the binomial model, including the current futures price, strike price, time to expiration, interest rate, and volatility. Using the formula, we get a value of $0.77/lb. for the European call.

To determine the value of a European put option without using the binomial model, we can also use the Black-Scholes formula. However, we need to make some adjustments to the formula to account for the put option's unique characteristics. Specifically, we need to subtract the strike price from the current futures price and discount the result using the risk-free interest rate. Using the formula, we get a value of $1.54/lb. for the European put.

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_____ forecast and monitor the proportion of various protected group members, such as women and minorities, that are in various job categories and career tracks.
A) Ethnocracies
B) Group rights
C) Affirmative action plans =
D) T-test techniques
E) Employment background checks

Answers

The answer to the question is C) Affirmative action plans. These plans aim to promote equal opportunities in employment for protected groups, including women and minorities.

One of the ways they do this is by requiring employers to forecast and monitor the proportion of protected group members in various job categories and career tracks. This helps to identify any underrepresentation and take corrective action to address it.

Affirmative action plans are typically developed by employers as a way to comply with anti-discrimination laws and regulations. They require employers to take proactive steps to ensure equal employment opportunities for protected groups, including women, minorities, people with disabilities, and veterans. One of the key components of these plans is the monitoring of workforce data to track the representation of protected group members in various job categories and career tracks. This data is then used to identify areas of underrepresentation and to set goals and targets for increasing diversity and inclusion. By using these techniques, employers can help to create a more diverse and inclusive workforce that reflects the communities they serve.

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11.65 subsequent events and contingent liabilities. crankwell inc. is preparing its annual financial statements and annual report to stockholders. management wants to be sure that all of the necessary and proper disclosures have been incorporated into the financial statements and the annual report. two classes of items that have an important bearing on the financial statements are subsequent events and contingent liabilities. the financial statements could

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Including disclosures on subsequent events and contingent liabilities in financial statements is crucial for providing accurate information and enabling stakeholders to make informed decisions

Reflecting the impact of subsequent events and contingent liabilities in financial statements is critical for providing complete and accurate information to stakeholders.

Proper disclosure of such events and potential obligations helps users of the financial statements understand the potential impact on the financial position of the company.

Additionally, if a material event occurs after the balance sheet date, it may require adjustment of the financial statements or additional disclosure. Proper disclosure of subsequent events and contingent liabilities ensures the financial statements are fairly presented and enables stakeholders to make informed decisions.

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The present value of a bond that pays $60 in coupon payments at the end of each year for 3 years and an additional $1,200 at the end of the third year. If the interest rate is 7%, then the present value is $[blank]. Just enter a value. Round your final answer two decimal points. For example, 123.34 or 987.10.

Answers

The present value of the bond is $1,149.86 at 7% of interest rate and an additional payment of $1,200 at the end of the third year.

Bond payment = $60

Time period = 3 years

Additional payment = $1,200 end of the third year

Interest rate =  7%

To estimate the present value of the bond, the formula used is:

PV = (Coupon payment / (1 + interest rate)^n)

PV(coupon year 1) = [tex]($60 / 1.07^1)[/tex]  = $56.07

PV(coupon year 2) = [tex]($60 / 1.07^2)[/tex] = $52.46

PV(coupon year 3) =[tex]($60 / 1.07^3)[/tex]  = $49.05

PV(final payment) = ($1,200 / 1.07^3) = $992.28

The total present value of the bond is defined as the sum of the present values of the coupon payments and the final payment for the bond is:

PV = $56.07 + $52.46 + $49.05 + $992.28 = $1,149.86

Therefore, we can conclude that the present value of the bond is $1,149.86.

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In addition to goods and services, countries also _________ art, cultural events, medical advances, space exploration and labor

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In addition to goods and services, countries also export and import art, cultural events, medical advances, space exploration, and labor.

Art and cultural events can be exported through various means, such as touring exhibitions, performances, and festivals. Medical advances can be shared through scientific collaborations and partnerships between countries. Space exploration can also involve international cooperation and collaboration, with countries sharing technology and expertise in order to achieve common goals. Labor can be exported through the hiring of foreign workers or the outsourcing of jobs to other countries.

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The parameters for the week 7 project deliverable are as follows . The firm is looking to expand its operations by 10% of the firm's net property, plant, and equipment. (Calculate this amount by taking 10% of the property, plant, and equipment figure that appears on the firm's balance sheet) • The estimated life of this new property, plant, and equipment will be 12 years. The salvage value of the equipment will be 5% of the property, plant and equipment's cost • The annual EBIT for this new project will be 18% of the project's cost • The company will use the straight-line method to depreciate this equipment. Also assume that there will be no increases in not working capital each year, Uso 35% as the tax rate in this project • The burdle rate for this project will be the WACC that you are able to find on a financial website, such as Gurufocus.com. If you are unable to find the WACC for a company, contact your instructor. He or she will assign you a WACC rato, Signature Assignment Deliverables . Prepare a narrated PowerPoint presentation that will highlight the following items. Your calculations for the amount of property, plant, and equipment and the annual depreciation for the project Your calculations that convert the project's EBIT to free cash flow for the 12 years of the project • The following capital budgeting results for the project Net present value Internal rate of return Discounted payback period • Your discussion of the results that you calculated above, including a recommendation for acceptance or rejection of the project Once again, you may embed your Excel spreadsheets into your document. Be sure to follow APA standards for this project.

Answers

We must subtract 10% from the total amount of property, plant, and equipment listed on the company's balance sheet to determine this sum. Let's assume that the cost of the property, plant, and equipment is $500,000. This sum would be $10,000, or $50,000. This is the sum that the company plans to invest in new machinery.The salvage value of the equipment will be 5% of the property, plant, and equipment cost.

The estimated life of the new property, plant, and equipment will be 12 years. T If we assume that the cost of the new equipment is $50,000, then the salvage value would be $2,500 (5% of $50,000).

The annual EBIT for this new project will be 18% of the project's cost. If we assume the cost of the new equipment is $50,000, then the annual EBIT would be $9,000 (18% of $50,000).

The company will use the straight-line method to depreciate this equipment. This means that the annual depreciation expense will be the cost of the equipment minus the salvage value divided by the estimated life of the equipment. Using the numbers from above, the annual depreciation expense would be ($50,000 - $2,500) / 12 = $4,167.

Assuming a tax rate of 35%, we can calculate the free cash flow for the project. To do this, we would take the annual EBIT of $9,000, subtract the annual depreciation expense of $4,167, and multiply by (1 - 0.35). This would give us a free cash flow of $3,224.

To calculate the Net Present Value (NPV) of the project, we would discount the free cash flows to present value using the company's weighted average cost of capital (WACC). The internal rate of return (IRR) is the rate at which the project's NPV equals zero. The discounted payback period is the amount of time it takes for the project's discounted cash inflows to equal its initial investment.

After calculating the capital budgeting results, we can recommend whether to accept or reject the project based on whether the NPV is positive or negative. If the NPV is positive, the project should be accepted. If the NPV is negative, the project should be rejected. We should also consider other factors such as the company's strategic goals and available resources before making a final decision.

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What guides the Development Team on why it is building the Increment?

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The Development Team is guided by the Product Backlog, which is a prioritized list of user stories, features, and requirements that the stakeholders have identified as valuable for the product.

The Development Team works on the highest-priority items first, which are typically those that deliver the most value to the customer or end user. The Increment is built in small iterations, with each iteration adding more functionality and value to the product. The Development Team is constantly evaluating the Increment and making adjustments based on feedback from stakeholders and users, as well as their own experience and expertise. Ultimately, the goal is to build a product that meets the needs and expectations of the stakeholders and end users, while also being technically sound and maintainable over time.

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Suppose the following list of events describes all of the economic activity resulting from an increase in government spending. Suppose that at each step after the initial one, the marginal propensity to consume is 0.85 and the tax rate is 20%. Step 0. The government spends $8000 on meat to host a very large dinner for foreign diplomats. Step A. The butcher takes the income earned by selling the meat, saves some, and spends the rest on a wedding cake for his daughter. Step B. The baker who produced the wedding cake saves some of her earnings and uses the rest to purchase beautiful candlesticks as gifts for all of her friends. Step C. The local candlestick maker saves some of his revenue for retirement and spends the rest on building materials to improve his house. Instructions: Modify the settings in the interactive tool to represent this event. Then click "Spending Rounds and use the table to answer the following questions. Round answers to the nearest cent, if necessary. How much does the baker earn for selling the cake? $ wwwwwww. How much does the candlestick maker spend on building materials? $(

Answers

Based on the given scenario, the initial government spending is $8000.

Step A: The butcher receives this income and saves some of it, which means he spends the rest. As the marginal propensity to consume is 0.85, he spends 0.85($8000) = $6800 on a wedding cake for his daughter.

Step B: The baker receives this income of $6800 for selling the cake. She saves some of it and spends the rest on beautiful candlesticks for her friends. So, she spends 0.85($6800) = $5780 on candlesticks.

Step C: The candlestick maker receives this income of $5780 and saves some of it, which means he spends the rest. He spends 0.85($5780) = $4913 on building materials for his house.

Therefore, the baker earns $6800 for selling the cake, and the candlestick maker spends $4913 on building materials.

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Built-Tight is preparing its master budget. Budgeted sales and cash payments follow, July August September Budgeted sales $ 58,000 $ 74,000 $ 54,000 Budgeted cash payments for Direct materials 15,960 13,240 13,560 Direct labor 3,840 3,160 3,240 Overhead 20,000 16,600 17 , ᎾᎾᎾ . Sales to customers are 25% cash and 75% on credit Sales in June were $55,500. All credit sales are collected in the month following the sale. The June 30 balance sheet includes balances of $39,000 in cash and $4,800 in loans payable A minimum cash balance of $39.000 is required Loans are obtained at the end of any month when the preliminary cash balance is below $39,000 Interest is 1% per month based on the beginning of the month loan balance and is paid at each month-end Any preliminary cash balance above $39,000 is used to repay loans at month-end Expenses are paid in the month incurred and consist of sales commissions (10% of sales), office salaries ($3,800 per month), and rent ($6,300 per month)

Answers

To prepare the master budget for Built-Tight, we need to take into account the various components of the budget, including sales, production, and cash disbursements. Here's how we can approach it:

Budgeted cash collections for July, August, and September:July: (25% of $58,000) + (75% of $55,500) = $14,500 + $41,625 = $56,125August: (25% of $74,000) + (75% of $58,000) = $18,500 + $43,500 = $62,000September: (25% of $54,000) + (75% of $74,000) = $13,500 + $55,500 = $69,000

     2. Budgeted cash payments for July, August, and September:

Direct materials: $15,960 + $13,240 + $13,560 = $42,760Direct labor: $3,840 + $3,160 + $3,240 = $10,240Overhead: $20,000 + $16,600 + $17,000 = $53,600Sales commissions: 10% of budgeted sales = $5,800 + $7,400 + $5,400 = $18,600Office salaries: $3,800 x 3 months = $11,400Rent: $6,300 x 3 months = $18,900Total cash payments: $42,760 + $10,240 + $53,600 + $18,600 + $11,400 + $18,900 = $155,600

    3. Budgeted cash balance:

June 30 cash balance: $39,000Cash inflows for July, August, and September: $56,125 + $62,000 + $69,000 = $187,125Cash outflows for July, August, and September: $155,600Net cash increase: $31,525Ending cash balance: $39,000 + $31,525 = $70,525

    4.Budgeted financing activities:

No loans needed for July, since the preliminary cash balance is above the minimum of $39,000.August: $155,600 - $62,000 = $93,600 loan neededSeptember: $70,525 - $39,000 = $31,525 available to repay loans from AugustInterest on August loan: 1% x $93,600 = $936Ending loans payable balance for August: $93,600 + $936 = $94,536Interest on September loan: 1% x $94,536 = $945Ending loans payable balance for September: $94,536 + $945 - $31,525 = $63,956

These are the main calculations needed to prepare Built-Tight's master budget.

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rocky owns and operates balboa's gym located in philadelphia. the following transactions occur for the month of october: 1. october 2 receive membership dues for the month of october totaling $7,900. 2. october 5 issue common stock in exchange for cash, $11,000. 3. october 9 purchase additional boxing equipment for $9,000, paying one-half of the amount in cash and issuing a note payable to the seller for the other one-half due by the end of the year. 4. october 12 pay $1,400 for advertising regarding a special membership rate available during the month of october. 5. october 19 pay dividends to stockholders, $3,800. 6. october 22 pay liability insurance to cover accidents to members for the next six months, starting november 1, $6,000. 7. october 25 receive cash in advance for november memberships, $5,000. 8. october 30 receive, but do not pay, utilities bill for the month, $4,600. 9. october 31 pay employees' salaries for the month, $6,700. 3. assume the balance of cash at the beginning of october is $16,000. post each cash transaction to the cash t-account.

Answers

The Cash T-Account with the given transactions posted in the month of October are as follows:

Date Transaction Debit Credit Balance

Oct 1 Membership dues received  $7,900 $23,900

Oct 5 Issued common stock $11,000  $12,900

Oct 9 Purchased additional equipment $4,500 $4,500 $8,400

Oct 12 Paid for advertising $1,400  $7,000

Oct 19 Paid dividends $3,800  $3,200

Oct 22 Paid liability insurance $6,000  $200

Oct 25 Received cash in advance  $5,000 $5,200

Oct 30 Utilities bill received $4,600  $600

Oct 31 Paid employees' salaries $6,700  ($6,100)

Note that negative balance in the final balance for October 31st means that the company had negative cash at the end of the month, which is not a desirable situation.

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currency appreciation: consider price of beer. let's pretend that last year a bottle of beer used to cost one dollar, but this year it costs two dollars per bottle. a) this means beer costs twice as much as last year; or beer price has gone up by % b) one dollar buys half as much beer as last year; or dollar has fallen in value by %

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The increase in the price of beer from one dollar to two dollars per bottle indicates currency appreciation.

This means that the currency used to purchase the beer has increased in value in relation to other currencies.

In this case, if we assume that the beer is being bought in US dollars, it means that the US dollar has appreciated in value compared to the currency used by the beer manufacturer.


To further illustrate this point, we can use the concept of purchasing power parity (PPP).

PPP is an economic theory that suggests that exchange rates between currencies should adjust to ensure that a basket of goods and services in one country costs the same in another country.

If we use PPP to analyze the increase in the price of beer, we can say that the purchasing power of the US dollar has increased. This is because a dollar can now buy more beer than it could last year.


In terms of the two statements provided in the question, both are technically correct but with different implications. Saying that beer costs twice as much as last year indicates a 100% increase in price, which is significant.

On the other hand, saying that one dollar buys half as much beer as last year suggests that the US dollar has lost 50% of its purchasing power.

This is a subtle difference, but it highlights the importance of understanding the context in which currency appreciation or depreciation occurs.

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If a country has a population of 1000, an area of 100 square miles, and a GDP of $5000000 then its GDP per capita is:
A.
$500.
B.
$5,000.
C.
$50,000.
D.
$5,000,000.
E.
$50.

Answers

If a country has a population of 1000, an area of 100 square miles, and a GDP of $5000000 then its GDP per capita is $5,000.

The GDP per capita of a country is calculated by dividing the country's total GDP by its population. In this case, the country's GDP is $5,000,000 and its population is 1000. Therefore, the GDP per capita can be calculated as:
$5,000,000 ÷ 1000 = $5000
So the correct answer is B. $5,000. This means that on average, each person in the country contributes $5,000 to the country's total economic output. It's important to note that GDP per capita is not a measure of individual wealth or income distribution within a country, but rather an indicator of the country's overall economic health and productivity.

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The correct answer is B. $5,000. GDP per capita is calculated by dividing the GDP of a country by its population. In this case, the GDP of the country is $5,000,000 and its population is 1000. Therefore, the GDP per capita is $5,000 ($5,000,000 divided by 1000).



It's important to note that GDP per capita is often used as an indicator of a country's standard of living. However, it doesn't necessarily reflect the distribution of wealth within the country. In other words, a high GDP per capita doesn't necessarily mean that all citizens are wealthy or have a high standard of living. Additionally, it's important to consider other factors such as income inequality, access to healthcare, education, and other basic necessities when evaluating the overall well-being of a population. GDP per capita is just one piece of the puzzle when it comes to understanding a country's economy and the quality of life of its citizens.

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Tomas and Saturn are partners who share income in the ratio of 3:1. Their capital balances are $40,000 and $60,000 respectively. Income summary has a credit balance of $20,000. What is Saturn's capital balance after closing income summary to capital?

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Tomas and Saturn are partners who share income in a ratio of 3:1. The income summary has a credit balance of $20,000, which represents the total income that needs to be distributed to both partners based on their income sharing ratio.

Hi! I'd be happy to help with your question. First, we'll calculate the income shares for Tomas and Saturn. The sum of the ratio is 3+1=4. Tomas receives 3/4 of the income, while Saturn receives 1/4. Now, let's distribute the $20,000 income:Tomas' share: (3/4) * $20,000 = $15,000
Saturn's share: (1/4) * $20,000 = $5,000
To find Saturn's capital balance after closing the income summary to capital, add Saturn's share of the income to his initial capital balance:Initial capital balance: $60,000
Saturn's income share: $5,000
Saturn's capital balance after closing income summary to capital = $60,000 + $5,000 = $65,000
So, Saturn's capital balance after closing the income summary to capital is $65,000.

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consider scratch cupcakery... ingredients such as sugar and butter would be examples of _____ costs.

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Scratch Cupcakery, ingredients like sugar and butter would be examples of variable costs.

Variable costs are expenses that change in proportion to the production volume or the quantity of goods being produced. In this case, as the number of cupcakes produced increases, the amount of sugar and butter needed for production will also increase accordingly.

These costs directly impact the total production cost, as they fluctuate with changes in the quantity of output. For instance, if the cupcake business experiences high demand, the cost of ingredients will rise as more sugar and butter are needed to meet the increased production. Conversely, if demand is low, fewer ingredients will be needed, and the variable costs will decrease.

It is essential for businesses like Scratch Cupcakery to carefully monitor and manage their variable costs to ensure profitability and efficient use of resources. Proper planning and inventory management can help the business predict and control these costs, ultimately contributing to a stable and successful operation.

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PQR Corporation has taxable income before DRD of $60,000 that includes a dividend of $10,000 from a large publicly-traded domestic corporation. What is the tax liability of PQR Corporation? Multiple Choice $11,235. $12,600 $10,500. $11,500.

Answers

Based on the information provided, PQR Corporation has taxable income before DRD (dividends received deduction) of $60,000, which includes a $10,000 dividend from a large publicly-traded domestic corporation. The tax liability of PQR Corp will be option D i.e. $11,500.

Here is the step-by-step calculation:
1. Determine the Dividends Received Deduction (DRD): PQR Corporation received a $10,000 dividend, and since it's from a large publicly-traded domestic corporation, the applicable DRD percentage is 50%. Thus, DRD = $10,000 * 50% = $5,000.

2. Calculate the taxable income after DRD: Taxable income before DRD is $60,000. Subtract the DRD to get the taxable income after DRD: $60,000 - $5,000 = $55,000.

3. Calculate the tax liability: Assuming PQR Corporation is subject to a 21% corporate tax rate, multiply the taxable income after DRD by the tax rate: $55,000 * 21% = $11,550.

The tax liability of PQR Corporation is $11,550. The correct multiple choice answer would be closest to $11,500 i.e. option D.

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a decision support system (dss) is an interactive information system designed to assist decision makers in an organization. a dss can offer a variety of interaction types depending on the variables being considered and the type of outcome the user is attempting to reach.

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A decision support system (dss) is an interactive information system the technical designer serves as the intermediary between users and designers in a decision support system (DSS).

Teams of fashion designers and technical designers work together to turn concepts into finished products.They foresee design issues and collaborate with manufacturers and designers to make sure that garment specifications are updated and the finished product is of high quality and viability.

Technical designers create garments from concept to shelf-ready item in the fashion business. They present novel concepts and translate them into useful stuff. They work with manufacturers to develop a strategy that guarantees the finished product meets their company's quality standards. Fashion design is the industry for you if you want to create and consider yourself more of an artist than a designer. A decision support system is a collection of computer programmes created to aid in the reasonable analysis of data, professional knowledge.

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Cornerstone Exercise 6-19 (Algorithmic) Applying the Cost of Goods Sold Model Hempstead Company, has the following data for 2019: Item Units Cost Inventory, 12/31/2018 990 $10,890 Purchases 4,510 49,610 Inventory, 12/31/2019 720 6,680 Required: 1. How many units were sold? 2. Using the cost of goods sold model, determine the cost of goods sold.

Answers

The cost of goods sold for Hempstead Company for 2019 is $53,384. To determine the cost of goods sold (COGS) using the cost of goods sold model, we need to calculate the change in inventory from the beginning of the year to the end of the year.

In this case, the inventory decreased from 990 units to 720 units. Therefore, we can calculate the number of units sold as follows:

Units sold = Beginning inventory + Purchases - Ending inventory
Units sold = 990 + 4,510 - 720 = 4,780

Thus, the company sold 4,780 units during the year.

To calculate the cost of goods sold, we need to multiply the number of units sold by the cost per unit. The cost per unit can be calculated as follows:

Cost per unit = Cost of goods available for sale / Total units available for sale
Cost per unit = (10,890 + 49,610) / (990 + 4,510) = 11.18

Using this cost per unit, we can calculate the cost of goods sold as follows:

Cost of goods sold = Units sold x Cost per unit
Cost of goods sold = 4,780 x 11.18 = $53,384.

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a. calculate the ocf. (do not round intermediate calculations.) b. what is the depreciation tax shield? (do not round intermediate calculations.)

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OCF (Operating Cash Flow) is the cash generated from a company's regular business operations. It's an important indicator of a company's financial health.

b. Depreciation Tax Shield is the reduction in taxable income resulting from depreciation expenses. It allows companies to save on taxes by deducting the depreciation expense from their taxable income.

Now, let's calculate the OCF and Depreciation Tax Shield:

Step 1: Determine the necessary financial figures from the given problem. You'll need EBIT (Earnings Before Interest and Taxes), taxes, and depreciation expenses.

Step 2: Calculate the OCF. The formula for OCF is:

OCF = EBIT + Depreciation - Taxes

Plug in the EBIT, Depreciation, and Taxes values from Step 1 and perform the calculations.

Step 3: Calculate the Depreciation Tax Shield. The formula for the Depreciation Tax Shield is as follows:

Depreciation Tax Shield = Depreciation Expense × Tax Rate

Use the Depreciation Expense and Tax Rate values from Step 1 and perform the calculations.

In conclusion, to calculate the OCF, you need to find the EBIT, Depreciation, and Taxes and use the OCF formula. To find the Depreciation Tax Shield, use the Depreciation Tax Shield formula with the Depreciation Expense and Tax Rate. These calculations help businesses understand their cash flow and tax savings, which are essential for financial planning and growth.

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2. Prairie Airlines purchased a 747 aircraft on January 1, 2016, at a cost of $30,000,000. The estimated useful life of the aircraft is 20 years, with an estimated residual value of $4,000,000. What is the carrying amount for December 2018, using Diminishing-balance method. Carrying Amt Depreciation Annual Accumulated Carrying Year Beginning Yr Rate Depreciation Depreciation

Answers

We need to calculate the depreciation rate for Diminishing-balance method:

Depreciation rate = 2 / Useful life

Depreciation rate = 2 / 20 = 0.10

Now, we can calculate the carrying amount and accumulated depreciation for December 2018:

Year 1:

Beginning Carrying Amount = $30,000,000

Depreciation Expense = $30,000,000 x 0.10 = $3,000,000

Accumulated Depreciation = $3,000,000

Year 2:

Beginning Carrying Amount = $27,000,000 ($30,000,000 - $3,000,000)

Depreciation Expense = $27,000,000 x 0.10 = $2,700,000

Accumulated Depreciation = $3,000,000 + $2,700,000 = $5,700,000

Year 3 (December 2018):

Beginning Carrying Amount = $24,300,000 ($27,000,000 - $2,700,000)

Depreciation Expense = $24,300,000 x 0.10 = $2,430,000

Accumulated Depreciation = $5,700,000 + $2,430,000 = $8,130,000

Therefore, the carrying amount for December 2018 is $24,300,000 and the accumulated depreciation is $8,130,000.

taco time corporation is evaluating an extra dividend versus a share repurchase. in either case, $12,880 would be spent. current earnings are $3.15 per share, and the stock currently sells for $73 per share. there are 4,600 shares outstanding. ignore taxes and other imperfections. what will the company's eps and pe ratio be under the two different scenarios?market value balance sheetcash$ 134,000debt$ 116,000fixed assets652,000equity670,000total$ 786,000total$ 786,000

Answers

Under the two scenarios: Extra Dividend Scenario: EPS = $0.685 and P/E Ratio = 106.57; Share Repurchase Scenario: EPS = $0.711 and P/E Ratio = 102.62

To calculate the EPS (Earnings Per Share) and P/E (Price-to-Earnings) ratio under the two scenarios of extra dividend and share repurchase, we need to consider the impact on the number of shares outstanding.

Extra Dividend Scenario:

If the company decides to distribute an extra dividend of $12,880, the number of shares outstanding will remain the same at 4,600. The earnings per share (EPS) can be calculated by dividing the current earnings by the number of shares outstanding:

EPS = Current Earnings / Number of Shares OutstandingEPS = $3.15 / 4,600EPS = $0.685

The P/E ratio is determined by dividing the market price per share by the EPS:

P/E Ratio = Market Price per Share / EPSP/E Ratio = $73 / $0.685P/E Ratio = 106.57

Share Repurchase Scenario:

If the company decides to use $12,880 for a share repurchase, we need to calculate the number of shares that can be repurchased with this amount. Since the stock currently sells for $73 per share, the number of shares repurchased can be determined as:

Number of Shares Repurchased = Amount Spent / Market Price per ShareNumber of Shares Repurchased = $12,880 / $73Number of Shares Repurchased = 176.71

The number of shares outstanding after the repurchase will be:

New Number of Shares Outstanding = Previous Number of Shares Outstanding - Number of Shares RepurchasedNew Number of Shares Outstanding = 4,600 - 176.71New Number of Shares Outstanding = 4,423.29

The EPS under the share repurchase scenario is calculated as:

EPS = Current Earnings / New Number of Shares OutstandingEPS = $3.15 / 4,423.29EPS = $0.711

The P/E ratio under the share repurchase scenario can be calculated as:

P/E Ratio = Market Price per Share / EPSP/E Ratio = $73 / $0.711P/E Ratio = 102.62

Therefore, under the two scenarios:

Extra Dividend Scenario: EPS = $0.685 and P/E Ratio ≈ 106.57Share Repurchase Scenario: EPS = $0.711 and P/E Ratio ≈ 102.62

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the effort that a person devotes to a task for which the person is paid

Answers

The effort a person devotes to a task for which they are paid refers to the amount of energy, concentration, and determination they invest in performing their job responsibilities. This effort can be both physical and mental, depending on the nature of the task.

A person's effort can directly impact the quality and efficiency of their work. A higher level of effort often results in better performance and increased productivity, which can lead to job satisfaction, career growth, and potential monetary rewards. On the other hand, a lack of effort can cause subpar performance, dissatisfaction from employers and clients, and possibly even job loss. It is essential for individuals to maintain a balance between the effort they devote to their paid tasks and other aspects of their lives, such as personal health, relationships, and leisure activities. Finding this balance helps ensure that a person remains engaged and motivated in their work while also enjoying a fulfilling personal life. In summary, the effort a person dedicates to a paid task is a critical component of their job performance and overall well-being. Striking a balance between work and personal life, as well as consistently applying oneself to achieve the best possible results, is crucial for success and satisfaction in one's career.

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Monthly contests constitute a _____ strategy.
personal selling.
advertising.
public relations/publicity.
sales promotions

Answers

Monthly contests constitute a sales promotion strategy. Sales promotions are short-term tactics used by businesses to encourage customers to buy their products or services.

The purpose of sales promotions is to boost sales, increase brand awareness, and create customer loyalty. Monthly contests are a popular type of sales promotion that businesses use to incentivize customers to engage with their brand. These contests often require customers to complete a specific action, such as making a purchase or sharing content on social media, in order to be entered into a drawing to win a prize. By offering a prize, businesses can create excitement and encourage participation in the contest. Sales promotions like monthly contests can be effective in driving short-term sales and creating buzz around a product or service. However, they should be used in conjunction with other marketing strategies, such as advertising and personal selling, to create a comprehensive marketing plan.

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Amy invested $500 per month in a 401k that earned 6% annual return for 40 years. Hank invested $1,000 per month in a 401k that also earned 6% annual return, but for 20 years. Which of the following would be true? Amy's balance would be greater than Hank's in the end.O Amy's balance is $5,142 and Hank's balance is $3,207. O Hank's balance would be greater than Amy's in the end.O The investment and balance would be the same in the end. O None of these are true.

Answers

Amy's balance would be greater than Hank's in the end. This is because Amy invested for a longer period of time (40 years vs. 20 years) and still earned the same annual return of 6%. This allowed her money to compound and grow more over time.

Even though Hank invested twice the amount per month, Amy invested for twice the duration. The power of compounding means that the longer the investment period, the greater the returns. So, even though Amy invested less per month, her investment would have grown significantly over 40 years.

Meanwhile, Hank invested more per month but for only 20 years, so his investment would have grown less. Therefore, Amy's balance is expected to be greater than Hank's in the end.

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