What risk is based on the capacity of the manager and their ability to innovate, respond to competitive situations, and operate the business activity competently

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Answer 1

The risk based on the capacity of the manager and their ability to innovate, respond to competitive situations, and operate the business activity competently is commonly referred to as management risk.

This type of risk reflects the potential for poor management decisions or ineffective leadership to negatively impact the success and profitability of a business. It is particularly relevant in situations where the manager or executive team plays a significant role in driving the strategic direction and day-to-day operations of the business. Management risk can be mitigated through various measures, such as implementing strong corporate governance structures, developing succession plans, and providing ongoing training and development opportunities for key personnel.

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Item 19 SouthEast Eye Care is finding it difficult to distinguish itself from the competition since their services are not something they can describe in terms of touch or taste. Which aspect of service is causing difficulty for the company

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The aspect of service that is causing difficulty for SouthEast Eye Care to distinguish itself from the competition is intangibility. Intangibility refers to the inability to see, touch, or taste a service, unlike a physical product. Since SouthEast Eye Care's services involve diagnosing and treating eye problems, it is not a tangible service that can be easily demonstrated or communicated to potential customers. This makes it challenging for the company to differentiate itself from competitors who offer similar services.

To overcome this challenge, SouthEast Eye Care can focus on creating a strong brand image and promoting its expertise and experience in the field. This can be achieved through building trust and credibility with patients by providing high-quality service and offering personalized treatment plans.

Additionally, the company can invest in marketing efforts that highlight the benefits and outcomes of their services, such as improved vision and quality of life. By emphasizing these intangible aspects of their services, SouthEast Eye Care can distinguish itself from competitors and attract more customers.

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If a soda drink manufacturer just added a new apple-flavored soda in its product list, this would be an example of ___________ in a new food product development.

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If a soda drink manufacturer just added a new/brand-new apple-flavored soda in its product list, this would be an example/case of line extension in a new food product development.

When the pharmaceutical form and/or strength change from one or more existing pharmaceutical products for which the applicant already has a marketing authorization, this is referred to as a line extension. Therefore, a line extension needs its own marketing authorization application, and the holder of that authorization is the same as it is for the other goods in the line.

Line extension is the process of expanding an already-existing product line. When a company with a well-known brand adds more products to a specific product category, this happens. By maximising the value of the existing offered product, the company markets and provides clients with more possibilities. A smart market customer segment is targeted via queue extensions.

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In the communication process, the ________ is the actual physical product of the sender's encoding.

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In the communication process, the message is the actual physical product of the sender's encoding.

The message refers to the information that is transmitted by the sender to the receiver through a medium or channel. It can be in various forms, such as verbal, written, visual, or nonverbal.

The message is encoded by the sender, who selects the words, symbols, or gestures to convey their intended meaning. The receiver decodes the message by interpreting the symbols and meanings to understand the message.

The message can be affected by factors such as the sender's communication skills, the receiver's knowledge, the choice of medium, and the feedback loop. Effective communication requires a clear and concise message that is appropriately encoded and decoded.

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project closing can have a significant impact on the members of the project team. Describe the approach you would take to address the needs of your team members during this difficulat period in the life

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During project closing, it is important to acknowledge the hard work and dedication of the team members. A good approach would be to conduct an exit interview with each team member to discuss their experience and gather feedback for future projects.

Additionally, a debriefing session can be held to celebrate the successes of the project and discuss areas for improvement.

It is important to provide support to team members who may feel a sense of loss or sadness at the end of the project. This can include organizing a team outing or providing access to counseling services. Clear communication is also essential to ensure that team members are aware of any opportunities for future projects or roles within the organization.

Finally, showing appreciation and recognizing the contributions of each team member can go a long way in boosting morale and maintaining positive relationships beyond the end of the project.

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Nelson, a front-line manager, forecasts that his area will need fewer employees next quarter. He also can see that his current staff need some additional skills training. As a manager, Nelson is taking part in what human resources process

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The human resources process that Nelson is taking part in as a manager is workforce planning.

Workforce planning involves analyzing the current and future workforce needs of an organization, including identifying any gaps in skills or knowledge.

By forecasting a decrease in the number of employees needed and recognizing the need for additional skills training for his current staff, Nelson is engaging in proactive workforce planning to ensure that his department has the right people with the right skills to meet business goals.

This is a critical process for any organization, as it enables managers to anticipate and prepare for future workforce needs, rather than being caught off-guard by sudden changes in demand or skills requirements.
Hi! Nelson, a front-line manager, forecasts that his area will need fewer employees next quarter and recognizes that his current staff needs additional skills training.

As a manager, Nelson is taking part in the human resources process called "workforce planning and development."

This process involves assessing current workforce capabilities, identifying future workforce needs, and implementing strategies to bridge the gap, including staff reductions, recruitment, training, and development.

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Which of the following is not part of your business continuity plan A. Where to get your resources. B. Risk assessment C. Identify your critical tasks

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A. "Where to get your resources"  is not part of your business continuity plan.

A business continuity plan is a strategy designed to ensure that essential functions of a business can continue to operate during and after a disruptive event. It includes various components such as risk assessment, identifying critical tasks, and determining where to get necessary resources. However, the question specifically asks for the option that is not part of the business continuity plan, which is option A, "Where to get your resources."

While it is important to have a plan for obtaining resources during a disruption, it is not explicitly part of the business continuity plan itself. The plan primarily focuses on assessing risks, identifying critical tasks, and implementing strategies to ensure the continuity of those tasks in adverse situations.

Option A is answer.

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Corrections of material errors in prior period financial statements, such as arithmetic errors, unacceptable accounting, and missed facts are reported in the statement of stockholders' equity as:

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Corrections of material errors in prior period financial statements, including arithmetic errors, unacceptable accounting, and missed facts, are reported in the statement of stockholders' equity as restatements or adjustments to the previously reported amounts.

These corrections are necessary to ensure the accuracy and completeness of the financial statements, which are used by investors, creditors, and other stakeholders to make informed decisions about the company's financial health and performance.

Corrections of material errors in prior period financial statements, such as arithmetic errors, unacceptable accounting, and missed facts, are reported in the statement of stockholders' equity as prior period adjustments. These adjustments are made to ensure the financial statements present accurate and reliable information for users.

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Flexibility is part of the good start equation for the service request submission. It should accommodate different __________ and different __________. quiczet

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Flexibility should accommodate different needs and different situations in the service request submission process. Flexibility is important in the service request submission process because it allows for a more personalized experience for each individual.

By accommodating different needs, such as specific requirements or preferences, the process can be tailored to meet the unique needs of each customer. Additionally, by accommodating different situations, such as urgent requests or requests outside of normal business hours, the process can be more accessible and convenient for customers. Ultimately, flexibility is key to providing excellent service and ensuring customer satisfaction.
flexibility in the service request submission process should accommodate different "needs" and different "situations."

A good start equation for service request submission requires flexibility to ensure it can cater to various customer requirements and adapt to unique circumstances. This flexibility allows the service provider to address diverse needs effectively and respond appropriately to different situations, ultimately leading to higher customer satisfaction.

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the us dollar exchange rate increased from 0.89 canadian in june 2009 to 0.96 candian in june 2010 and it decreased from 83.8 euro cents in january 2009 to 76.9 euro cents in january 2010 What was the value of the Canadian dollar in terms of U.S. dollars in

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The value of the Canadian dollar in terms of US dollars decreased from 1.0612 US dollars in June 2009 to 1.0194 US dollars in June 2010. This indicates that the US dollar appreciated against the Canadian dollar over this period.

In June 2009, the US dollar exchange rate against the Canadian dollar was 0.89. In June 2010, the US dollar exchange rate increased to 0.96 Canadian dollars. Therefore, the value of the Canadian dollar decreased in terms of US dollars from June 2009 to June 2010.

To calculate the value of the Canadian dollar in terms of US dollars in 2009, we need to invert the exchange rate.

That is, we divide 1 by the exchange rate to get the value of one US dollar in Canadian dollars. Therefore, in January 2009, the value of one US dollar was 1/0.838 = 1.1928 Canadian dollars.

To calculate the value of the Canadian dollar in terms of US dollars in June 2009, we multiply the exchange rate by the value of one US dollar in Canadian dollars. That is, the value of one Canadian dollar in US dollars in June 2009 was 0.89 x 1.1928 = 1.0612 US dollars.

To calculate the value of the Canadian dollar in terms of US dollars in June 2010, we follow the same method. The value of one Canadian dollar in US dollars in June 2010 was 0.96 x 1.0612 = 1.0194 US dollars.

Therefore, the value of the Canadian dollar in terms of US dollars decreased from 1.0612 US dollars in June 2009 to 1.0194 US dollars in June 2010. This indicates that the US dollar appreciated against the Canadian dollar over this period.

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The mode of international entry when a firms owns 100% of the stock of the acquired firm is known as

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The mode of international entry when a firm owns 100% of the stock of the acquired firm is known as a wholly-owned subsidiary.

In this mode of entry, the acquiring firm has complete control over the operations of the subsidiary and is responsible for all its liabilities and profits. It is a popular mode of entry for firms that want to establish a strong presence in a foreign market without relying on a local partner or taking on the risk of joint ventures.

Wholly-owned subsidiaries also allow firms to leverage their existing resources and capabilities to gain a competitive advantage in the foreign market. However, setting up a wholly-owned subsidiary can be costly and time-consuming, and may require extensive knowledge of local laws and regulations.

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A university campus or mid-size company may purchase ______ so all users have legal access to the software.

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A university campus or mid-size company may purchase a software license so all users have legal access to the software. A software license is a legal agreement between the software developer or publisher and the end-user that outlines the terms and conditions for the use of the software.

Software licensing is essential for universities and mid-size companies that use a variety of software applications to run their operations. Without a proper license, users may be engaging in illegal software use, which could result in legal action and hefty fines. Software vendors often offer a variety of license options, including single-user licenses, volume licenses, and subscription licenses.

When purchasing a software license, it is essential to consider the number of users, the type of software, and the intended use. Universities and mid-size companies may benefit from volume licensing agreements, which allow them to purchase multiple licenses at a discounted rate. Subscription licenses provide ongoing access to software updates and support services, which can be valuable for businesses that rely heavily on technology.

In conclusion, purchasing a software license is crucial for universities and mid-size companies to ensure they have legal access to the software they need to operate efficiently. Software licensing options vary, and it's essential to choose the right license type based on the number of users, intended use, and type of software.

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What is the rate of exchange quoted by a financial institution for delivery of a currency within 48 hours

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The rate of exchange quoted by a financial institution for delivery of a currency within 48 hours is typically the current market rate plus a small markup or commission fee charged by the institution.

Currency exchange rates are constantly fluctuating based on a variety of factors such as global economic conditions, political events, and interest rate differentials between countries. Financial institutions typically offer rates based on the current market rate, which can be obtained through various sources such as currency exchange websites or news outlets. However, these institutions may also charge a markup or commission fee for their services, which can vary depending on the institution and the amount of currency being exchanged. Additionally, it's important to note that the rate quoted by a financial institution for delivery within 48 hours may differ from the rate for immediate delivery or delivery at a later date.

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A worker wants to set aside some money for retirement, hoping to live off the interest income. If the interest rate is 10% and the worker wishes to draw interest of $50,000 per year, how much should the worker save before retirement

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If the interest rate is 10% and the worker wishes to draw interest of $50,000 per year, the worker should save $395,147.41 before retirement.

To determine how much the worker should save before retirement, we need to use a formula to calculate the present value of an annuity. An annuity is a fixed sum of money paid at regular intervals, typically annually. In this case, the worker wishes to draw interest of $50,000 per year, which is a fixed sum of money paid annually.

The formula for present value of an annuity is:

PV = A * [(1 - (1 + r)^-n) / r]

where PV is the present value, A is the annual payment, r is the interest rate, and n is the number of periods. In this case, we have:

A = $50,000
r = 10% or 0.10
n = unknown

To find n, we need to know how many years the worker will need to draw $50,000 per year. Let's assume the worker plans to retire in 20 years and will live off the interest for 30 years (i.e. until age 90). Then, n = 30.

Now we can plug in the values and solve for PV:

PV = $50,000 * [(1 - (1 + 0.10)^-30) / 0.10]
PV = $395,147.41

Therefore, the worker should save approximately $395,147.41 before retirement if they want to live off the interest income and draw $50,000 per year for 30 years. It's important to note that this calculation assumes a constant interest rate and does not account for inflation or any other changes that may affect the value of the savings over time.

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. Product differentiation and advertising are characteristics more commonly found in what type of market structure

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The market structure that is more commonly associated with product differentiation and advertising is monopolistic competition. So the right answer is monopolistic competition.

Monopolistic competition is a market structure in which there are many firms selling differentiated products that are not perfect substitutes for one another. This means that each firm has some degree of market power, but faces competition from other firms that produce similar, but not identical, products. In order to differentiate their products and attract customers, firms engage in advertising and other forms of non-price competition.

Overall, monopolistic competition is characterized by a large number of firms, differentiated products, and some degree of market power for each firm. This market structure is often found in industries such as retail, restaurants, and consumer goods, where there are many small and medium-sized firms competing for customers.

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When considering how to apply multiple means of representation in the planning process, it is important to think about including auditory, _______, and tactile means of representation to show students what you want them to learn.

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When considering how to apply multiple means of representation in the planning process, it is important to think about including auditory, visual, and tactile means of representation to show students what you want them to learn.

This approach is known as Universal Design for Learning (UDL) and it recognizes that students have diverse learning needs and preferences. By providing information in multiple ways, teachers can help to ensure that all students have access to the content and can engage with it in a way that works best for them. Auditory means of representation include things like lectures, discussions, and podcasts. Visual means of representation include things like diagrams, charts, and videos. Tactile means of representation include things like hands-on activities, manipulatives, and simulations.

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Maude agrees to buy a unique collection of Olympics memorabilia for $7000 from Milhouse, and sends $1500 as a down payment. When Maude sends Milhouse the rest of the price, Milhouse refuses to ship the collection. Maude should seek: Group of answer choices

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Maude should seek legal recourse, such as filing a breach of contract lawsuit against Milhouse for failing to deliver the collection after receiving full payment.

In this scenario, it appears that Milhouse has breached the contract by refusing to ship the collection after receiving the full payment. Maude may seek legal remedies such as specific performance, which would require Milhouse to deliver the collection as promised, or seek monetary damages, which would compensate her for any losses incurred as a result of Milhouse's breach. However, the specific legal options available to Maude may depend on the specific terms of the contract, as well as any applicable laws or regulations governing the sale of collectibles and the obligations of buyers and sellers. It is recommended that Maude consult with a lawyer or legal professional for specific advice on how to proceed in this situation.

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According to the Sarbanes-Oxley Act of 2002, if an executive receives a bonus higher than that mandated by financial statements, the executive must

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The Sarbanes-Oxley Act of 2002 aims to promote transparency and accountability in corporate financial reporting. It serves as a safeguard against unethical behavior and fraudulent practices that can harm investors and the economy as a whole.

According to the Sarbanes-Oxley Act of 2002, if an executive receives a bonus higher than that mandated by financial statements, the executive must return the excess compensation to the company. This provision was put in place to ensure that executives are not rewarded for misleading or fraudulent financial reporting. It also serves as a deterrent for executives to engage in unethical behavior in order to boost their own compensation.

The Act requires that companies establish strong internal controls to ensure accurate financial reporting. Executives are held accountable for the accuracy of financial statements and must certify that they are in compliance with the law. If there is evidence of fraud, executives can be prosecuted and face fines and/or imprisonment.

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Precision Corporation used a predetermined overhead rate last year of $3 per direct labor-hour, based on an estimate of 24,000 direct labor-hours to be worked during the year. Actual costs and activity during the year were:

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Businesses utilise the overhead rate, often referred to as the indirect cost rate, as a technique of cost allocation to allocate indirect expenses to their goods and services. To calculate the predetermined overhead rate used by Precision Corporation, we can use the formula:

Predetermined overhead rate = Estimated total manufacturing overhead costs / Estimated total direct labour-hours

We are given that the predetermined overhead rate used by Precision Corporation last year was $3 per direct labour hour, based on an estimate of 24,000 direct labour hours to be worked during the year. Therefore:

Estimated total manufacturing overhead costs = Predetermined overhead rate x Estimated total direct labour-hours
= $3 per direct labor-hour x 24,000 direct labor-hours
= $72,000

Now, we are given the actual costs and activity during the year as follows:

- Actual manufacturing overhead costs: $76,000
- Actual direct labour hours worked: 25,000

To calculate the actual overhead rate for the year, we can use the formula:

Actual overhead rate = Actual manufacturing overhead costs / Actual direct labour hours worked

Therefore:

Actual overhead rate = $76,000 / 25,000 direct labour-hours
= $3.04 per direct labour-hour

To determine whether overhead was overapplied or underapplied during the year, we need to compare the actual overhead costs with the overhead costs that would have been applied based on the predetermined overhead rate. We can use the formula:

Overhead applied = Predetermined overhead rate x Actual direct labour hours worked

Therefore:

Overhead applied = $3 per direct labor-hour x 25,000 direct labor-hours
= $75,000

We can see that the actual overhead costs of $76,000 are slightly higher than the overhead applied of $75,000. This means that overhead was underapplied by $1,000 during the year.

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In order for fiscal policy to effectively offset a $1 million decrease in consumer spending, the government would MOST likely have to:

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In order for fiscal policy to effectively offset a $1 million decrease in consumer spending, the government would most likely have to implement expansionary fiscal policy measures.

How will it work?

This would involve increasing government spending, reducing taxes or a combination of both. By increasing government spending, the government can create jobs and stimulate economic growth.

Reducing taxes would increase disposable income for consumers, which would lead to increased spending. Additionally, the government could also use monetary policy tools, such as reducing interest rates to encourage borrowing and investment.

However, the effectiveness of fiscal policy in offsetting the decrease in consumer spending would depend on the current state of the economy and the ability of the government to implement and manage these policies.

Hence, the answer is expansionary fiscal policy.

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As one moves down along a linear demand curve (i.e., from high price, low quantity pairs to low price, high quantity pairs), demand: becomes more elastic. decreases. increases. becomes less elastic.

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Demand becomes more elastic as one moves down along a linear demand curve (i.e., from high price, low quantity pairs to low price, high quantity pairs). This means that the responsiveness of consumers to changes in price increases as prices decrease and quantities increase.

Elasticity of demand refers to the degree of responsiveness of quantity demanded to changes in price. When demand is more elastic, a small change in price results in a relatively larger change in quantity demanded. In the context of a linear demand curve, as we move down the curve, prices decrease and quantities increase, and therefore demand becomes more elastic. This is because consumers are more willing and able to purchase the good or service at lower prices, and a small change in price can lead to a significant change in quantity demanded. Conversely, as we move up the curve from low price, high quantity pairs to high price, low quantity pairs, demand becomes less elastic as consumers become less responsive to changes in price due to the higher cost of the good or service.

A linear demand curve represents the relationship between price and quantity demanded. At higher prices (and lower quantities), the curve is relatively inelastic, meaning that changes in price result in smaller changes in quantity demanded. As you move down the curve towards lower prices and higher quantities, the demand becomes more elastic, meaning that changes in price lead to larger changes in quantity demanded.

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If divisional income from operations is $100,000, invested assets are $850,000, and the minimum rate of return on invested assets is 8%, the residual income is $68,000. Group of answer choices True False

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The answer is False, Residual income is the income that remains after subtracting the minimum required return on invested assets from the actual income generated by the division.

In this case, the minimum rate of return on invested assets is 8%, which translates to $68,000 ($850,000 x 8%). Since the divisional income from operations is $100,000 and the minimum required return on invested assets is $68,000, the residual income is $32,000 ($100,000 - $68,000).

Therefore, the statement that the residual income is $68,000 is incorrect. The residual income in this case is $32,000.

Hence, the answer is false.

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Bluestar University has a fiscal year that ends on June 30. The 2019 summer session of the university runs for 60 days from June 11 through August 9. Total tuition paid by students for the summer session amounted to $240,000. How much revenue should be reflected in the fiscal year ended June 30, 2019

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Based on the information provided, $80,000 of revenue should be reflected in the fiscal year ending June 30, 2019, for the summer session at Bluestar University.

The summer session of Bluestar University falls partially within the fiscal year ending June 30, 2019. In order to determine how much revenue should be reflected in that fiscal year, we need to determine what portion of the summer session falls within that time period.

June 11 through June 30 is 20 days, and July 1 through August 9 is 40 days. Therefore, 1/3 of the summer session falls within the fiscal year ending June 30, 2019 (20 days out of 60 days).

To calculate the revenue that should be reflected in that fiscal year, we can multiply the total tuition paid by students for the summer session by 1/3:
$240,000 x 1/3 = $80,000

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Helena has the following long-term capital gains and losses for 2021: $50,000 28% gain, $40,000 28% loss, $22,500 25% gain, and $20,000 0%/15%/20% loss. She also has a $25,000 short-term loss and a $45,000 short-term gain. She has no other income. a. What is Helena's AGI from these transactions

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Helena has no other income, her AGI from these transactions is simply her total net capital gain or loss of $34,000.

To calculate Helena's AGI (Adjusted Gross Income) from these transactions, we need to first determine her net long-term capital gain or loss and her net short-term capital gain or loss.

Net long-term capital gain or loss = Total long-term capital gains - Total long-term capital losses

Net long-term capital gain or loss = ($50,000 x 28%) - ($40,000 x 28%) + ($22,500 x 25%) - ($20,000 x 20%)

Net long-term capital gain or loss = $14,000

Net short-term capital gain or loss = Total short-term capital gains - Total short-term capital losses

Net short-term capital gain or loss = $45,000 - $25,000

Net short-term capital gain or loss = $20,000

Therefore, Helena's total net capital gain or loss is:

Total net capital gain or loss = Net long-term capital gain or loss + Net short-term capital gain or loss

Total net capital gain or loss = $14,000 + $20,000

Total net capital gain or loss = $34,000

Helena's AGI from these transactions is calculated as follows:

AGI = Total net capital gain or loss + Other income

Since Helena has no other income, her AGI from these transactions is simply her total net capital gain or loss of $34,000.

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Absorption cost per unit includes direct materials, direct labor, and all overhead, whereas variable cost per unit includes direct materials, direct labor, and only variable overhead. The cost per unit under variable costing is:

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The cost per unit under variable costing includes only direct materials, direct labor, and variable overhead.

Variable costing is a method of cost accounting that only includes variable manufacturing costs in the cost of goods sold. This means that only the costs that vary with the level of production are included in the cost-per-unit calculation.

Direct materials, direct labor, and variable overhead costs are considered variable manufacturing costs. In contrast, absorption costing includes all manufacturing costs, including fixed overhead, in the cost-per-unit calculation.

Therefore, the cost per unit under variable costing is lower than that under absorption costing as it excludes fixed overhead costs.

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Sheridan Company had purchases of $260800. The comparative balance sheet analysis revealed a $14400 decrease in inventory and a $24900 increase in accounts payable. What were Sheridan's cash payments to suppliers

Answers

Sheridan Company's cash payments to suppliers were $250,300.

Cash payments refer to the cash outflows or disbursements made by a company for various purposes such as payment of expenses, purchase of assets, repayment of loans, payment of dividends, etc. These payments can be made in the form of cash, check, electronic transfers, or any other accepted form of payment.

To calculate the cash payments to suppliers, you can use the following formula:

Cash Payments to Suppliers = Purchases - (Change in Inventory + Change in Accounts Payable)

In this case, the formula would be:

Cash Payments to Suppliers = $260,800 - (-$14,400 + $24,900)

Cash Payments to Suppliers = $260,800 - ($10,500)

Cash Payments to Suppliers = $250,300

So, Sheridan's cash payments to suppliers were $250,300.

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The relationship between borrowed reserves (BR), the nonborrowed monetary base (MBn), and the monetary base (MB) is

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The relationship between borrowed reserves (BR), the nonborrowed monetary base (MBn), and the monetary base (MB) is MB = MBn + BR.

The relationship between borrowed reserves (BR), the nonborrowed monetary base (MBn), and the monetary base (MB) can be explained as follows:

1. Borrowed Reserves (BR): Borrowed reserves are the funds that banks borrow from the central bank, usually through short-term lending facilities like the discount window.

2. Nonborrowed Monetary Base (MBn): The nonborrowed monetary base is the portion of the monetary base that is not borrowed from the central bank. It consists of currency in circulation, as well as banks' reserves held at the central bank, excluding the borrowed reserves.

3. Monetary Base (MB): The monetary base is the sum of the nonborrowed monetary base and the borrowed reserves. In other words, it consists of all the money created by the central bank, including both borrowed and nonborrowed components.

The relationship between these three components can be represented by the equation:

MB = MBn + BR

This equation shows that the total monetary base is made up of the nonborrowed monetary base (currency in circulation and banks' nonborrowed reserves) and the borrowed reserves. This relationship helps central banks in managing the money supply and implementing monetary policy.

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On March 1, Jordan Company borrows $240,000 from Ottawa State Bank by signing a 6-month, 8%, interest-bearing note. Prepare the necessary entries below associated with the note payable on the books of Jordan Company.

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On March 1, Jordan Company borrows $240,000 from Ottawa State Bank by signing a 6-month, 8% interest-bearing note. Cash  accrued is  $249,600.

The necessary entries below associated with the note payable on the books of Jordan Company are:

March 1:
Cash                 $240,000
Notes Payable      $240,000

To record the receipt of funds from the bank.

June 30:
Interest Expense      $4,800
Interest Payable            $4,800

To record the accrued interest expense on the note payable for 3 months (240,000 x 8% x 3/12).

September 1:
Interest Expense      $4,800
Interest Payable            $4,800

To record the accrued interest expense on the note payable for 6 months (240,000 x 8% x 6/12).

September 1:
Notes Payable       $240,000
Interest Payable             $9,600
Cash                              $249,600

To record the payment of the note payable and the accrued interest.

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A writer should look out for undetected mistakes from the writing, design, and layout stages while __________ business documents.

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A writer should look out for undetected mistakes from the writing, design, and layout stages while proofreading business documents.

During the process of proofreading business documents, writers need to be vigilant for undetected mistakes that may have occurred in the writing, design, and layout stages. This includes checking for errors in grammar, spelling, punctuation, as well as ensuring consistent formatting and proper placement of images and text. Thoroughly reviewing all aspects of the document helps ensure its accuracy, professionalism, and overall effectiveness in conveying the intended message.

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Among the risks associated with an extended period of Fed accommodation: Among the risks associated with an extended period of Fed accommodation: Creation of financial imbalances

Much higher inflation

Complications associated with the Fed ultimate Exit

All of the above

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An extended period of Fed accommodation poses several risks, including the creation of financial imbalances, higher inflation, and complications related to the central bank's exit strategy.

Among the risks associated with an extended period of Fed accommodation, all of the mentioned factors play a significant role. These factors include the creation of financial imbalances, much higher inflation, and complications associated with the Fed's ultimate exit.

Firstly, extended Fed accommodation can lead to the creation of financial imbalances. This occurs when the market starts to rely heavily on the central bank's support, leading to misallocation of resources, excess risk-taking, and inflated asset prices. These imbalances can eventually destabilize the financial system and contribute to economic downturns.

Secondly, much higher inflation can be a consequence of extended accommodation. As the Fed maintains low interest rates and continues its bond-buying programs, it increases the money supply and can cause prices to rise. Prolonged periods of low interest rates may also result in an overheating economy, causing inflation to surge. High inflation erodes purchasing power and can have adverse effects on the overall economy.

Lastly, complications associated with the Fed's ultimate exit can emerge when it eventually decides to withdraw its support. Unwinding its bond-buying program or raising interest rates might lead to market turbulence, as investors adjust to the new economic environment. Moreover, the timing and execution of the exit strategy are crucial, as a poorly executed exit may exacerbate financial imbalances and trigger economic instability.

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One way to minimize conflict between joint-venture partners is to Group of answer choices (A) order the partner to follow a specific plan. (B) use one style of management. (C) take a firm stand on the non-negotiable issues. (D) establish a contract that covers every area of the operation. (E) use a delegated arrangement.

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One way to minimize conflict between joint-venture partners is to D. establish a contract that covers every area of the operation.

This allows both parties to clearly understand their roles and responsibilities, as well as the expectations for the partnership. By having a comprehensive agreement in place, potential issues and disagreements can be addressed before they escalate, and both partners can work together towards a common goal.

A delegated arrangement may also be effective, it may not provide as much clarity and structure as a well-drafted contract. Ordering a partner to follow a specific plan or using one style of management may also cause conflicts and limit the creativity and flexibility needed in a joint venture.

Taking a firm stand on non-negotiable issues may be necessary, but it should be done in the context of the established contract and with open communication and collaboration between partners.

Therefore the correct option is (D) Establish a contract that covers every area of the operation.

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