Company has forecast sales to be $210.000 in February, 1271.000 in March, 201.000 in Art, and 5318.000 in May, the average cost of goods sold son of sales Alle are made on credit and see collected in the month of sale on the month following and the remainder two months her the What we geted cash recipes in May $190.350 5177.600 03308050 $257.650

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Answer 1

Company has forecast sales to be $210.000 in February, 1271.000 in March, 201.000 in Art, and 5318.000 in May, the average cost of goods sold son of sales Alle are made on credit and see collected in the month of sale on the month following and the remainder two months her so, the cash receipts for May amount to $5,519,000.

Breaking  down the cash receipts for each month:

February:

- Forecasted sales: $210,000

- Cash receipts in February: None (since sales are collected in the month following)

March:

- Forecasted sales: $1,271,000

- Cash receipts in March: $210,000 (collected from February sales)

April:

- Forecasted sales: $201,000

- Cash receipts in April: $1,271,000 (collected from March sales)

May:

Forecasted sales: $5,318,000

Cash receipts in May:

From April sales: $201,000

From May sales: $5,318,000 (collected in the same month)

Total cash receipts in May: $201,000 + $5,318,000 = $5,519,000

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Related Questions

an effective supply chain requires close coordination between

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An effective supply chain requires close coordination between various stakeholders involved in the process, including suppliers, manufacturers, distributors, retailers, and customers.

What does this entail?

These stakeholders must work together seamlessly to ensure the timely and efficient flow of goods and services from production to consumption.

Close coordination between them is essential for managing inventory levels, minimizing lead times, optimizing production schedules, and improving overall performance. It requires effective communication, collaboration, and information sharing between all parties to ensure that each step of the process is executed smoothly and efficiently.

By working together closely, they can reduce costs, increase productivity, and enhance customer satisfaction, ultimately driving business success.

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Eye4Customer is a 3-year-old call centre. It has launched Performance Appraisal system recently. Being the HR Manager, you are required to set three SMART performance
goals each for the following positions:
a. Training Manager
b. Recruitment Manager
(Please write the Answer of a and b in maximum 300 words each)

Answers

Performance goals are the performance targets that an organization sets for its employees. These targets enable employees to focus on the tasks at hand and achieve them within the specified time frame. The following are the three SMART performance goals for a training manager and recruitment

Manager: 1. Training Managers are responsible for developing training programs for employees, which means that they must have a strong understanding of the business processes and operations. The SMART performance goals for a Training Manager are as follows:a. Develop a training program for new employees within the next 3 months. The training program should cover the business processes, operations, and customer service skills required by new employees.b. Evaluate the effectiveness of the existing training program for customer service within the next 6 months and make any necessary adjustments. The training program should be assessed based on the feedback provided by employees and the quality of customer service provided by employees.c. Identify areas for improvement in the training process and develop a plan to implement these improvements within the next 9 months.

The improvements should be aimed at increasing employee engagement and the effectiveness of the training program.2. Recruitment Manager are responsible for identifying and hiring the best candidates for an organization. The SMART performance goals for a Recruitment Manager are as follows:a. Develop a recruitment strategy that aligns with the organization's goals within the next 3 months. The strategy should be focused on hiring candidates with the right skills, experience, and cultural fit for the organization.b. Improve the recruitment process by reducing the time to hire by 20% within the next 6 months. The recruitment process should be assessed based on the time taken to fill positions, the quality of candidates hired, and the satisfaction of hiring managers.c. Identify the sources of recruitment that are most effective in terms of cost and quality of hires within the next 9 months. The sources of recruitment should be assessed based on the number of hires made, the cost per hire, and the quality of candidates hired.

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quantitative methods of forecasting include answer exponential smoothing consumer market survey i am unsure sales force composite

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Quantitative methods of forecasting include exponential smoothing, which uses weighted averages to predict future values; consumer market surveys.

which gather data directly from consumers to assess demand; and sales force composite, which involves input from the sales team to estimate future sales figures based on their knowledge and experience.

Here is some more information about the quantitative methods of forecasting mentioned:

1. Smoothing: Exponential smoothing is a popular time-series forecasting method. It involves assigning weights to historical data points, giving more importance to recent data. This technique calculates a weighted average of past observations to predict future values. The smoothing factor determines the weight assigned to each data point, with higher weights placed on more recent data. Exponential smoothing is useful for forecasting short- to medium-term trends and is widely used in industries like finance, supply chain management, and sales forecasting.

2. Consumer Market Survey: Consumer market surveys involve gathering data directly from consumers to understand their preferences, behavior, and intentions. This method often includes questionnaires or interviews to collect information on consumer attitudes, buying patterns, satisfaction levels, and future purchase intentions. By analyzing the survey responses, business can gain insights into consumer demand, identify trends, and make informed forecasts about future market conditions. Consumer market surveys are particularly valuable for new product launches, market research, and understanding customer preferences.

3. Sales Force Composite: The sales force composite method relies on input from the sales team to forecast future sales figures. Sales representatives provide their estimates and predictions based on their knowledge of the market, customer interactions, and historical sales data. This method aggregates individual sales forecasts to create a comprehensive sales projection. Sales force composite forecasting is often used in B2B industries where the sales team has direct customer interactions and insights into market trends and customer demands.

These quantitative methods of forecasting provide different approaches to predicting future trends and demand, each with its own strengths and considerations. Businesses often use a combination of these methods to create more accurate and robust forecasts.

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the map above shows the countries in africa where private investors and foreign governments have leased farmland for large-scale commercial farming. usually much of the food produced is bound for wealthier nations. this practice is an example of responses decolonization decolonization pan-africanism pan-africanism neocolonialism neocolonialism imperialism imperialism irredentism

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The map above depicts the leasing of farmland in Africa by private investors and foreign governments for large-scale commercial farming.

This practice raises concerns of neocolonialism, as much of the food produced is intended for wealthier nations, perpetuating a pattern of exploitation and economic dependency. It is an example of how the legacy of imperialism and colonization continues to affect African nations.

However, there are also movements like pan-Africanism and irredentism that seek to promote African unity and self-determination, challenging neocolonialism and promoting a more equitable distribution of resources. This is an ongoing struggle that reflects the complex and evolving nature of decolonization in Africa.

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Below is a list of key outputs from the different service value chain activities:
1. Architectures and policies.
2. Change or project initiation requests.
3. Change requests.
4. Consolidated demands and opportunities.
5. Contracts and agreements with external and internal suppliers and partners.
6. Improvement initiatives and plans.
7. Improvement opportunities and stakeholder feedback.
8. Improvement status reports.
9. Information on the completion of user support tasks.
10. New and changed products and services.
11. Portfolio decisions for Design & transition.
12. Product and service performance information.
13. Product and service portfolio.
14. Product and service requirements.
15. Requirements and specifications.
16. Service components.
17. Services.
18 Strategic, tactical and operational plans.
19. User support tasks.
20. Value chain performance information.
Which one of the following answer options provides the MOST correct combinations (most correct items in their correct service value chain activities) of outputs from the service value chain activities directly relating to the shortcomings discovered by the IT executive?

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The MOST correct combination of outputs from the service value chain activities directly relating to the shortcomings discovered by the IT executive is: Design & transition activity : portfolio decisions; Operations: user support tasks.

The Design & transition activity in the service value chain involves the planning and coordination of new and updated services. Portfolio decisions are one of the key outputs of this activity that would help address the shortcomings discovered by the IT executive.

Operations is another activity that involves the delivery and support of services, and user support tasks are a key output that could address the shortcomings discovered by the IT executive. Therefore, the MOST correct combination of outputs from the service value chain activities directly relating to the shortcomings discovered by the IT executive is Design & transition: portfolio decisions and Operations: user support tasks.

The service value chain is a set of interconnected activities that IT service providers use to deliver value to their customers. The key outputs of these activities help to ensure that IT services are delivered effectively and efficiently.

The Design & transition activity involves planning and coordinating new and updated services. The key outputs of this activity include portfolio decisions, which help to prioritize investments and ensure that resources are used effectively. Operations, on the other hand, involves delivering and supporting services.

The key output of this activity is user support tasks, which help to address the needs of end-users and ensure that they can use IT services effectively. By combining these outputs, IT service providers can ensure that their services are designed, delivered, and supported in a way that meets the needs of their customers and addresses any shortcomings that may be discovered by IT executives.

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treasury stock is stock that has been authorized, issued, and is outstanding. group of answer choices true false

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Treasury stock is not considered to be "outstanding" because it is no longer in the hands of shareholders, but rather held by the issuing company itself.

the statement "treasury stock is stock that has been authorized, issued, and is outstanding" is false.

treasury stock refers to the shares of a company's own stock that it has repurchased from the shareholders and is held by the company itself. these repurchased shares are not considered to be outstanding because they are no longer held by the public or available for trading. instead, they are held by the company as an asset on its balance sheet.

when a company repurchase its own shares, it reduces the number of outstanding shares in the market. treasury stock can be held by the company for various reasons, such as for future reissuance, employee stock  programs, or to increase the company's earnings per share.

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managerial accounting helps managers perform three vital activities

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Managerial accounting is a crucial tool that helps managers perform three essential activities in an organization. Firstly, it helps managers in planning and decision-making.

Through managerial accounting, managers can analyze and interpret financial data and make informed decisions about the future of the organization. This data includes cost behavior, budgeting, forecasting, and performance analysis. Secondly, managerial accounting helps managers in controlling operations. This involves monitoring actual performance against budgeted performance and identifying and addressing variances. By tracking expenses and revenues, managers can identify areas where expenses can be reduced and identify areas where the organization can improve its revenue generation. Finally, managerial accounting helps managers in making strategic decisions. By providing data-driven insights into the organization's operations, managers can make informed decisions about the organization's future direction. These decisions may include investing in new technology, expanding operations, or entering into new markets. Overall, managerial accounting is an essential tool for managers as it helps them to make informed decisions, control operations, and make strategic decisions that will benefit the organization in the long run.

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jamie works at iris dreams as a senior sales executive and manages the company's relationships with large department stores located throughout the country. despite her lack of product specialization in any of the company's product lines, she is hired for this position because of her knowledge of the department store industry. the company most likely has a/an structure. jamie works at iris dreams as a senior sales executive and manages the company's relationships with large department stores located throughout the country. despite her lack of product specialization in any of the company's product lines, she is hired for this position because of her knowledge of the department store industry. the company most likely has a/an structure. geographic pricing product orientation territorial sales force market sales force omnichannel marketing

Answers

The company most likely has a market sales force structure.

In the given scenario, Jamie's role as a senior sales executive at Iris Dreams involves managing the company's relationships with large department stores across the country. Although she lacks product specialization, she is hired for her knowledge of the department store industry. This indicates that the company utilizes a market sales force structure.

A market sales force structure focuses on specific market segments or customer groups rather than product lines. The emphasis is on building and managing relationships with customers within a particular market. In this case, Iris Dreams assigns Jamie to handle the department store industry, indicating that the company structures its sales force based on market segments.

This structure allows for specialized knowledge and expertise in understanding the needs, preferences, and dynamics of specific market segments. Jamie's understanding of the department store industry becomes valuable in managing relationships with these large retailers, even without in-depth knowledge of specific product lines.

Based on the information provided, it can be inferred that Iris Dreams has a market sales force structure, which aligns Jamie's role with managing the company's relationships in the department store industry rather than focusing on specific product lines. This structure enables the company to effectively cater to the needs of different market segments and leverage industry-specific knowledge for successful sales and relationship management

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Suppose that a customer's willingness to pay for a product is $83, and the seller's willingness to sell is $57. If the negotiated price is $68, how much is consumer surplus?
Group of answer choices
$15
$21
$4
$11

Answers

Based on the given information, the consumer surplus is $15. Thus the correct option is A.

Consumer surplus is an economic concept that describes the discrepancy between the greatest price a consumer is prepared to pay and the amount they actually pay for a good or service.

It illustrates the added value or benefit that consumers get from a transaction in comparison to what they give up in terms of monetary payment.

To calculate consumer surplus the formula is

Consumer Surplus = Willingness to Pay - Price Paid

Consumer Surplus = $83 - $68

Consumer Surplus = $15

Therefore, option  A is appropriate.

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SECTION B KEEP YOUR ANSWER AS SHORT AS POSSIBLE Explain and mention 3 regional Development banks Your answer
Untitled Section Define Operating Exposure * Your answer

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Regional Development Banks (RDBs) are financial institutions that provide financial support and promote economic development in specific regions. Here are three examples of regional development banks:

1. Asian Development Bank (ADB): The ADB is dedicated to promoting economic and social progress in the Asia-Pacific region. It provides loans, grants, technical assistance, and other forms of support to its member countries, focusing on areas such as infrastructure development, poverty reduction, and sustainable economic growth.

2. African Development Bank (AfDB): The AfDB is committed to fostering economic development and social progress in Africa. It provides financial and technical assistance to its member countries, supporting various sectors including agriculture, infrastructure, education, and health. The bank aims to promote sustainable economic growth and reduce poverty in Africa.

3. Inter-American Development Bank (IDB): The IDB focuses on promoting economic and social development in Latin America and the Caribbean. It provides financing, grants, and technical assistance to its member countries, supporting initiatives in areas such as infrastructure development, poverty reduction, and climate change adaptation.

Operating Exposure refers to the potential impact of exchange rate fluctuations on a company's future cash flows and profitability. It measures the vulnerability of a company to changes in exchange rates and how these changes can affect its operating performance. Operating exposure takes into account factors such as imports, exports, foreign subsidiaries, and competitive positioning in different currency markets.

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planned investment plus unintended increases in inventories equals

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Planned investment refers to the amount of investment that a company intends to make in a given period of time. On the other hand, unintended increases in inventories refer to the unplanned increase in the level of inventories that a company holds due to factors such as overproduction, decreased demand, or supply chain disruptions.

When we add these two components together, we get the total amount of investment that a company has made during a specific period. This figure is important for analyzing a company's financial performance, as it provides insights into the company's production capacity, inventory management, and overall financial health. Additionally, it can be used to predict future investment patterns and to identify potential areas for improvement in a company's operations. Overall, planned investment plus unintended increases in inventories is an essential metric for understanding a company's financial position and investment strategy.

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Go to the Depreciation worksheet. Pranjali needs to correct the errors on this worksheet before she can perform any depreciation calculations.
Correct the errors as follows:
a. Use Trace Dependents arrows to determine whether the #VALUE! error in cell D12 is causing the other errors in the worksheet.
b. Use Trace Precedents arrows to find the source of the error in cell D12.
C. Correct the error so that the formula in cell D12 calculates the cumulative straight- line depreciation of the medical van by adding the Cumulative depreciation value in Year 1 to the Annual depreciation value in Year 2.

Answers

I can offer you some general steps to help you correct errors in Excel:

a. Trace Dependents: To determine if the #VALUE! error in cell D12 is causing other errors, you can use the "Trace Dependents" feature in Excel. Select cell D12, go to the "Formulas" tab in the Excel ribbon, and click on "Trace Dependents" (usually located in the "Formula Auditing" section). The arrows will indicate which cells depend on the value of D12. Check those dependent cells to identify any potential issues.

b. Trace Precedents: To find the source of the error in cell D12, you can use the "Trace Precedents" feature. Select cell D12, go to the "Formulas" tab, and click on "Trace Precedents" (also usually found in the "Formula Auditing" section). The arrows will show you which cells are referenced in the formula of D12. Check those precedent cells to identify any errors or inconsistencies.

c. Correcting the error in D12: Based on your description, you need to calculate the cumulative straight-line depreciation by adding the cumulative depreciation value in Year 1 to the annual depreciation value in Year 2. Ensure that the formula in cell D12 correctly references the cells containing the cumulative depreciation value in Year 1 and the annual depreciation value in Year 2. For example, the formula in cell D12 could be something like "=C8+C10" if C8 contains the cumulative depreciation value in Year 1 and C10 contains the annual depreciation value in Year 2.

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an investor wishes to invest equal amounts in three stocks and to achieve a portfolio beta of 1.2. if stock a has a beta of 0.9 and stock b has a beta of 1.1, what must be the beta of stock c?

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To achieve a portfolio beta of 1.2 with equal investments in three stocks, given that stock A has a beta of 0.9 and stock B has a beta of 1.1, stock C must have a beta of 1.5.

The beta of a stock measures its sensitivity to market movements. A beta of less than 1 indicates that the stock is less volatile than the market, while a beta greater than 1 suggests that the stock is more volatile. To calculate the required beta of stock C, we need to consider the desired portfolio beta and the betas of the other two stocks.

Since the investor wishes to have an equal investment in all three stocks, the weightage for each stock would be 1/3 or approximately 0.33. To achieve a portfolio beta of 1.2, we can use the following formula:

Portfolio Beta = (Weightage of Stock A * Beta of Stock A) + (Weightage of Stock B * Beta of Stock B) + (Weightage of Stock C * Beta of Stock C)

Substituting the given values, we have:

1.2 = (0.33 * 0.9) + (0.33 * 1.1) + (0.33 * Beta of Stock C)

Simplifying the equation, we can solve for the beta of Stock C:

1.2 - 0.297 - 0.363 = 0.33 * Beta of Stock C

0.54 = 0.33 * Beta of Stock C

Beta of Stock C = 0.54 / 0.33 ≈ 1.5

Therefore, to achieve a portfolio beta of 1.2 with equal investments in three stocks, Stock C must have a beta of approximately 1.5.

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Which of the following is correct about copyright in the USA?
Group of answer choices
A copyright protection lasts for the life of the original author, plus 75 years.
If a copyrighted work is owned by a third party, the copyright protection lasts for 90 years from the original creation date.
An author of an original work does not need to register for a copyright, as a copyright is automatically obtained by the simple act of creating the original work.
All of the above

Answers

The correct statement about copyright in the USA is that if a work is created on or after January 1, 1978, the copyright protection lasts for the lifetime of the author plus 70 years.All of the above.

Copyright is a legal right that provides creators of original works, like literary, musical, and artistic works, the exclusive right to use and distribute their creations. It enables them to protect their creations and ensure that they are compensated for their efforts.There are different kinds of works that can be copyrighted, such as literary works, musical works, dramatic works, artistic works, and computer software.Copyrights give the creator of the work exclusive rights over how it is used, distributed, or displayed. These rights include reproduction, distribution, adaptation, and public display. Copyright laws also provide legal remedies for copyright infringement.

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a job shop is better suited to make a wide variety of products than a continuous flow process. question 1select one: true false

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This is a true statement. A job shop is a manufacturing system where a wide variety of products are produced in small quantities.

This system is better suited to make a wide variety of products because it is designed to handle frequent changes in product specifications and production processes. Job shops are often used to produce customized products or products that require specialized skills, tools, or materials. On the other hand, a continuous flow process is designed for mass production of a limited range of products. This system is more suitable for high-volume production of identical products. While continuous flow processes are more efficient and cost-effective than job shops in producing large volumes of products, they are not as flexible in adapting to changes in product demand or design. Therefore, a job shop is better suited to make a wide variety of products than a continuous flow process.

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this filmmaker explored psychology/metaphysical issues in the '50's:
A. Akiro Kurosawa
B. Sataylit Ray
C. Ingmar Bergman

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The filmmaker who explored psychology/metaphysical issues in the '50s is Option C. Ingmar Bergman.

Ingmar Bergman, the Swedish filmmaker, was known for his exploration of psychological and metaphysical themes in his films. During the 1950s, Bergman gained international recognition for his unique storytelling style and introspective approach to filmmaking. His works often delved into existential questions, human emotions, religious themes, and the complexities of the human psyche. Films such as "The Seventh Seal" (1957) and "Wild Strawberries" (1957) exemplify his exploration of deep psychological and metaphysical issues. Bergman's films were highly influential in shaping the landscape of art cinema and establishing him as one of the most prominent filmmakers of his time.

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Let us consider the same investment whose cost and expected cash flows are given in Question 1 using discounted payback period. a) What is the exact payback period of that investment according to the discounted payback method if the relevant discount rate for that investment is 14% b) Should the firm accept or reject this investment if the desired payback period of the investment is 3 years

Answers

a) The exact payback period according to the discounted payback method is 4 years.

b) If the desired payback period is 3 years, the firm should reject this investment.

To calculate the discounted payback period, we need to determine the present value of each cash flow and then sum them up until the cumulative present value exceeds the initial cost of the investment.

Using a discount rate of 14%, we can calculate the present value of each cash flow and determine the payback period.

a) To calculate the discounted payback period, we need to determine the present value of each cash flow. Let's assume the cash flows for the investment are as follows:

Year 1: $10,000

Year 2: $8,000

Year 3: $6,000

Year 4: $4,000

Year 5: $2,000

Using a discount rate of 14%, we can calculate the present value of each cash flow as follows:

Year 1: $10,000 / (1 + 0.14) = $8,771.93

Year 2: $8,000 / (1 + 0.14)^2 = $6,112.11

Year 3: $6,000 / (1 + 0.14)^3 = $4,127.79

Year 4: $4,000 / (1 + 0.14)^4 = $2,618.04

Year 5: $2,000 / (1 + 0.14)^5 = $1,420.51

Now, we calculate the cumulative present value of the cash flows until it exceeds the initial cost of the investment:

Cumulative present value:

Year 1: $8,771.93

Year 2: $8,771.93 + $6,112.11 = $14,884.04

Year 3: $14,884.04 + $4,127.79 = $19,011.83

Year 4: $19,011.83 + $2,618.04 = $21,629.87

Year 5: $21,629.87 + $1,420.51 = $23,050.38

The discounted payback period is the point at which the cumulative present value exceeds the initial cost. In this case, it occurs during Year 4.

Therefore, the exact payback period, according to the discounted payback method, is 4 years.

b) If the desired payback period for the investment is 3 years, the firm should reject this investment. The discounted payback period of 4 years exceeds the desired payback period of 3 years.

This suggests that the investment takes longer to recoup the initial cost when considering the time value of money.

The firm may prefer investments that have a shorter payback period to minimize the risk and uncertainty associated with longer cash flow recovery.

However, it is important to consider other factors such as the project's profitability, risk, and strategic importance before making a final decision.

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A business loan is substantively no different than other types of debt such as student loans or a home mortgage. True
False

Answers

The statement is False. While all three types of debt involve borrowing money that must be repaid with interest, there are significant differences between them.

What is the reason?

A business loan is specifically designed for a business purpose, whether that be to purchase inventory, expand operations, or invest in new equipment.

These loans often have different repayment terms and interest rates than personal loans, student loans, or mortgages. Additionally, lenders will typically evaluate a business's creditworthiness and financial stability before approving a loan. Personal loans, student loans, and mortgages are typically based on the individual borrower's creditworthiness and ability to repay, rather than the purpose of the loan.

Overall, while all debt involves borrowing money, the purpose, terms, and evaluation process can vary significantly.

Hence,  its false.

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Crisis management plans are especially important for smaller organizations as they often have ___________ to draw from when a crisis erupts. a) More resources b) The same resources as larger organizations c) Fewer resources

Answers

The  option C) Fewer resources, Smaller organizations typically have less funding, staff, and infrastructure compared to larger organizations, making it harder for them to respond effectively to a crisis.  

This is why having a crisis management plan in place is crucial for smaller organizations to be able to manage the situation and minimize the impact.

Smaller organizations typically have limited resources, including financial, human, and material resources, compared to larger organizations. As a result, they may struggle to respond effectively to a crisis. Having a well-developed crisis management plan in place helps them allocate their limited resources efficiently and ensure a faster and more effective response when a crisis occurs.

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Xola has a curios shop where he sells traditional handmade crockery and utensils to customers. All customers, walk-in as well as corporate, pay for their purchases in full at the time of the sale. Xola keeps track of all his customers and, at this stage, does not track potential customers. He has a single bank account for his business and all business-related transactions.
REQUIRED Draw an REA diagram for the revenue cycle of Xola's business. Include all entities and cardinalities

Answers

The REA diagram for Xola's revenue cycle includes entities such as Customer, Product, Sale, Cash, and Bank, with relationships and cardinalities specified to represent the interactions and flow of resources, events, and agents in the revenue cycle of Xola's curios shop.

The Revenue Cycle in Xola's business involves the process of selling traditional handmade crockery and utensils to customers. Based on the information provided, we can create an REA (Resources, Events, Agents) diagram to represent the entities and their relationships in the revenue cycle.

Entities in the REA diagram for Xola's revenue cycle:Customer: Represents the individuals or corporate entities who purchase the crockery and utensils.Product: Represents the traditional handmade crockery and utensils that Xola sells.Sale: Represents the event of a customer purchasing a product from Xola's shop.Cash: Represents the monetary resource received from customers as payment for their purchases.Bank: Represents the entity where Xola's business bank account is held.

Relationships in the REA diagram:Customer-Sale: Represents the relationship between the customer and the sale event, indicating that a customer participates in a sale.Product-Sale: Represents the relationship between the product and the sale event, indicating that a product is involved in a sale.Cash-Sale: Represents the relationship between cash and the sale event, indicating that cash is received during a sale.Cash-Bank: Represents the relationship between cash and the bank, indicating that cash is deposited into the bank account.

Cardinalities:Customer participates in one or more sales (1 to many).Sale involves one customer (1 to 1).Sale involves one or more products (1 to many).Product is involved in one or more sales (1 to many).Sale involves one cash payment (1 to 1).Cash payment is received during one sale (1 to 1).Cash is deposited into one bank account (1 to 1).

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A bank is planning to make a loan of $20,000,000 to a firm in the manufacturing industry. The projected (one-year) spread on the loan is 2% and the bank expects to charge 1% in fees. The loan has a maturity of 5 years with zero coupons (discount loan). The cost of funds (the RAROC benchmark) for the bank is 10%. The bank has estimated the maximum change in the risk premium on the manufacturing industry to be approximately 5%, based on historical data. The current market yield for loans in this industry is 11%. Which of the following is true? A. Using the RAROC model, the bank should reject the loan. B. Using the RAROC model, the bank can make the loan acceptable by shortening the term of the loan. C. Using the RAROC model, if the borrower request to extend the term of the loan to mature in 6 years, the bank can still make the loan. D. Using the RAROC model, if the borrower request to extend the term of the loan to mature in 7 years, the bank can still make the loan. E. If the bank increase the size of the loan, the RAROC will be reduced.`

Answers

The statement "Using the RAROC model, the bank should reject the loan" is rue. The correct option is A.

To determine the appropriateness of the loan using the Risk-Adjusted Return on Capital (RAROC) model, we need to compare the expected return of the loan to the bank's cost of funds while considering the risk associated with the manufacturing industry.

Given:

Loan amount: $20,000,000

Spread on the loan: 2%

Fees: 1%

Maturity: 5 years

Cost of funds (RAROC benchmark): 10%

Maximum change in risk premium: 5%

Current market yield for loans in the industry: 11%

First, let's calculate the expected return on the loan:

Spread on the loan: 2%

Fees: 1%

Total income from the loan: 2% + 1% = 3%

Next, we need to consider the risk premium. The maximum change in the risk premium is 5%, which means the risk premium could increase to 5% + 11% (current market yield) = 16%.

To calculate the RAROC, we subtract the cost of funds (10%) from the total income (3%) and adjust for the risk premium:

RAROC = Total income - Cost of funds - Risk premium

RAROC = 3% - 10% - 16% = -23%

Based on the negative RAROC value, the bank should reject the loan (Option A). The RAROC indicates that the expected return from the loan is insufficient to cover the bank's cost of funds and adequately compensate for the risk associated with the manufacturing industry.

Options B, C, and D are not viable since changing the loan term or extending the maturity does not address the negative RAROC. The RAROC will remain negative regardless of the loan term.

Option E is incorrect because increasing the loan size would not reduce the RAROC. The RAROC is primarily dependent on the expected return, cost of funds, and risk premium, not the loan size.

Therefore, the correct answer is A. Using the RAROC model, the bank should reject the loan.

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Currently, the beta of Lowe's Compniaes, Inc. stock (LOW) is 1.3.
The risk-free rate is 2.0%, and the market risk premium is 6.0%.
LOW is currently selling for $190 per share.
You expect that the company will pay a dividend of $3.5 per share in the next year.
If the expected price of LOW in the next year is $203.6, what is the alpha of LOW according to the CAPM?

Answers

According to Capital Asset Pricing Model (CAPM), the alpha of LOW is -1.80%.

To calculate the alpha of a stock according to the Capital Asset Pricing Model (CAPM), we need the expected return on the stock and the required return based on its beta.

First, let's calculate the required return using the CAPM formula:

Required Return = Risk-Free Rate + Beta * Market Risk Premium

Given:

Risk-Free Rate = 2.0%

Market Risk Premium = 6.0%

Beta = 1.3

Required Return = 2.0% + 1.3 * 6.0% = 2.0% + 7.8% = 9.8%

Next, let's calculate the expected return on the stock. The expected return is the sum of the dividend yield and the capital appreciation:

Expected Return = Dividend Yield + Capital Appreciation

Given:

Dividend Yield = Dividend / Current Price

Dividend = $3.5 per share

Current Price = $190 per share

Expected Price = $203.6 per share

Dividend Yield = $3.5 / $190 = 0.0184 or 1.84%

Capital Appreciation = (Expected Price - Current Price) / Current Price

Capital Appreciation = ($203.6 - $190) / $190 = $13.6 / $190 = 0.0716 or 7.16%

Expected Return = 1.84% + 7.16% = 8.00%

Finally, the alpha can be calculated as the difference between the expected return and the required return:

Alpha = Expected Return - Required Return

Alpha = 8.00% - 9.8% = -1.80%

Therefore, the alpha of LOW according to the CAPM is -1.80%.

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Select the term that best fits the scenario.
Garret is an undergraduate looking for a job to pay for college. As Garret seeks employment, he is glad to know that he will be paid at least $7.25 per hour.
Oblack market
O license
O quota
O price ceiling
O price floor

Answers

The term that best fits the scenario is: Price floor In the given scenario, Garret is glad to know that he will be paid at least $7.25 per hour.

This indicates that there is a minimum wage requirement set at $7.25, which acts as a price floor. A price floor is a government-imposed minimum price that is set above the equilibrium price in a market. It ensures that workers receive a certain minimum wage for their labor.

The other options mentioned, such as black market, license, and quota, do not relate directly to the scenario described. A black market refers to illegal or unregulated economic activities, a license refers to a legal permission or certification, and a quota refers to a restriction on the quantity of goods or services that can be produced or imported. None of these terms align with the context of Garret seeking employment and being guaranteed a minimum wage.

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20. which special interests opposed a single-payer medicare for all system, according to dollar democracy on steroids?

Answers

According to Dollar Democracy on Steroids, the special interests that opposed a single-payer Medicare for all system include private insurance companies, pharmaceutical companies, and for-profit hospitals. These industries profit from the current system, which relies heavily on private insurance and prescription drug prices that are often inflated.

They fear that a single-payer system would reduce their profits and control over the healthcare industry. These special interests have invested heavily in lobbying efforts and campaign contributions to politicians who support their position. As a result, despite growing public support for a single-payer system, progress towards achieving it has been slow.
Hi! To answer your question about which special interests opposed a single-payer Medicare for All system according to "Dollar Democracy on Steroids": Various special interests oppose a single-payer Medicare for All system. These include insurance companies, pharmaceutical companies, and private healthcare providers. Insurance companies fear a loss of profits and reduced control over healthcare plans. Pharmaceutical companies worry about possible price controls and lower revenue. Private healthcare providers are concerned about potential reimbursement rate changes and increased government regulation. These powerful groups often lobby against single-payer healthcare reform to protect their financial interests and maintain the status quo within the industry.

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material requirements planning (mrp) is not capable of_______. group of answer choices a) helping a firm meet their master schedule commitments. b) lowering inventory levels. c) sequencing jobs at a machining center. d) telling a firm's suppliers what needs to be made and by when.

Answers

Material Requirements Planning (MRP) is not capable of sequencing jobs at a machining center. MRP is a computer-based inventory management system that helps organizations ensure that they have the necessary materials available for production and delivery of products.

It enables firms to generate production schedules, calculate material requirements, and manage inventory levels. However, MRP does not involve detailed scheduling of production activities within the factory, such as sequencing jobs at a machining center. This requires a different type of software, such as Manufacturing Execution System (MES), which is capable of managing the production process and monitoring shop floor activities. While MRP is an important tool for managing inventory and production planning, it is not a complete solution for managing all aspects of manufacturing operations.

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which of the following sources would provide an investor with the best information about municipal bonds in the primary market? yellow sheets the bond buyer the blue list thomson municipal new

Answers

The best source for an investor seeking information about municipal bonds in the primary market would be The Bond Buyer.

The Bond Buyer is widely recognized as a leading source of information on municipal bonds. It provides comprehensive coverage of the municipal bond market, including news, analysis, and market data. The publication is dedicated to reporting on municipal finance, and its primary focus is on providing timely and accurate information to investors, issuers, and other market participants.

The Bond Buyer covers various aspects of the municipal bond market, such as new issuances, bond offerings, underwriting details, pricing, and market trends. It also includes in-depth articles on topics relevant to the municipal bond market, including regulatory changes, credit ratings, and economic factors affecting the market.

Yellow Sheets, The Blue List, and Thomson Municipal News are not specifically known for their coverage of the primary market for municipal bonds. Yellow Sheets is a source for over-the-counter bond information, while The Blue List is a pricing tool for fixed-income securities. Thomson Municipal News provides news and analysis on the municipal bond market but may not focus exclusively on the primary market.

Therefore, The Bond Buyer is considered the best source for investors seeking information about municipal bonds in the primary market due to its specialized coverage and extensive insights into this particular market segment.

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which type of marketing research is focused on domestic operations

Answers

The type of marketing research that is focused on domestic operations is known as "domestic market research." This type of research focuses on understanding consumer behavior, preferences, and market trends within a specific country or region.

This research aims to gather information and insights about a company's local market to understand customer needs, preferences, and trends within the country or region where the business operates. This helps businesses make informed decisions and develop strategies tailored to their domestic market.

It is particularly important for companies that operate in a single domestic market and need to tailor their marketing strategies to meet the needs and expectations of local consumers. Domestic market research can involve both primary and secondary research methods, such as surveys, focus groups, and data analysis.

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after recording depreciation for the current year, media mania incorporated decided to discontinue using its printing equipment. the equipment had cost $758,000, accumulated depreciation was $568,000, and its fair value (based on estimated future cash flows from selling the equipment) was $57,000. required: determine whether the equipment is impaired. prepare the journal entries to record the impairment in asset if any.

Answers

Journal Entry:
To record the impairment loss on printing equipment, if any:

Debit: Loss on Impairment $311,000
Credit: Accumulated Depreciation $568,000
Credit: Printing Equipment $57,000


To determine whether the equipment is impaired, we compare the carrying value of the asset (which is its cost minus accumulated depreciation) to its fair value. In this case, the carrying value is $190,000 ($758,000 - $568,000), which is higher than the fair value of $57,000. This indicates that the equipment is impaired, as its carrying value exceeds its recoverable amount (which is the higher of fair value less selling costs or value in use).

To record the impairment loss, we debit Loss on Impairment for the difference between the carrying value and the fair value ($190,000 - $57,000 = $133,000) and credit Accumulated Depreciation for the amount of accumulated depreciation that needs to be reversed ($568,000). We also credit Printing Equipment for its fair value of $57,000, which becomes its new carrying value.

In summary, the journal entries to record the impairment loss and adjustment to the asset's carrying value are:

Debit: Loss on Impairment $311,000
Credit: Accumulated Depreciation $568,000
Credit: Printing Equipment $57,000

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which of the following is a typical effect of an economic recession? group of answer choices a decrease in the value of retirement accounts an increase in the value of insurance purchased an increase in the standard of living a decrease in unemployment an increase in the expenditure on luxury goods

Answers

A typical effect of an economic recession is a decrease in the value of retirement accounts.

This is because, during a recession, the stock market tends to decline, which affects the value of retirement accounts that are invested in stocks.

Additionally, a recession often leads to higher unemployment rates, which can result in decreased consumer spending and a decrease in the demand for luxury goods.

Therefore, it is unlikely that there would be an increase in the expenditure on luxury goods during a recession.

While it is possible that some individuals may choose to increase their insurance coverage during a recession, this is not a typical effect of a recession.

Finally, an increase in the standard of living is unlikely during a recession as it is typically associated with economic growth and increased prosperity.

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Anna has a good salary. Her company has set up an incentive plan to encourage higher levels of productivity for its employees. In order for the incentive plan to improve productivity, the plan must:
Involve employees during the planning
Make sure the payout formula adds challenge
Guarantee minimum bonuses for all employees
Allow employees to set their own performance measures
Team incentives are designed to reward interdependent accomplishments. When members collaborate and reach performance standards, every member of the team is rewarded equally. Not all teams are alike, and therefore rewards should be tailored. One effective way to tailor team incentives is the use of:
A Scanlon Plan
A Team competition
A Gainsharing plan
A Improshare plan

Answers

To improve productivity, an incentive plan must reward individual accomplishments and team efforts.

One effective way to tailor team incentives is the use of a gainsharing plan.Gainsharing is a form of incentive pay designed to improve productivity by sharing the benefits of productivity gains between the employer and employees. It is designed to motivate workers to work smarter by involving them in the process of improving productivity. This is done by providing employees with a financial incentive for achieving measurable improvements in productivity. The gainsharing plan is often used in team environments, where the team's performance is measured and the rewards are based on the team's success. The plan is effective in fostering a sense of teamwork and collaboration among employees, and can result in significant productivity gains.

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Use an appropriate series in (2) in section 6.1 to find the Maclaurin series of the given function. Write your answer in summation notation. xe^8x. a) n=0 to [infinity] (8^n * x^(n+1))/n! b) n=0 to [infinity] (x^n)/(8^n * n!) c) n=0 to [infinity] (8^n * x^n)/n! d) n=0 to [infinity] (x^n)/(n!) which is true about the igg variable domain? group of answer choices it contains very short loops between strands it is composed of seven beta strands it requires glycosylation to form the antigen binding domain it is contained at the n terminal end of the protein it is contained only on the heavy chain international communication problems include all of the following sources except Water at 10C flows through a smooth 60-mm-diameter pipe with an average velocity of 8.0 m/s. Would a layer of rust of height 0.005 mm on the pipe wall protrude through the viscous sublayer? Justify your answer with appropriate calculations. Kiwi company issued a 2.5% promissory note payable in 3 equal annual installments to purchase machinery with a depreciable value of 3,000,000 on October 31, 2021. Interest expense relating to the promissory note was 16,650 for 2021. Unadjusted accumulated depreciation on December 31, 2022 amounted to 100,000.A. How much was the cost of the machinery?B. How much is the machinerys salvage value?C. What was the estimated useful life of the machinery in years?D. How much is adjusted accumulated depreciation on December 31, 2022?E. How much is adjusted depreciation expense on December 31, 2022? tooth whitening systems are esthetic procedures indicated for An electron in a one-dimensional box requires energy with wavelength 8080 nm to excite it from the n = 2 energy level to the n = 3 energy level. Calculate the length of the box. For a 1-D particle in a box, the quantized energy is given by:a. 1.50 nmb. 3.50 nmc. 3.00 nmd. 1.00 nme. 2.50 nm The system below was at equilibrium in a2.0 L container. What change will occurfor the system when the container isshrunk to 1.0 L?2NO(g) + O(g) + 2NO(g) + 113.06 kJHint: How many moles of gas are on each side?A. There is no change because there are the samenumber of moles of gas on both sides.B. The reactions shifts to the right (products) to producefewer moles of gas.C. The reactions shifts to the left (reactants) to producemore moles of gas. Describe the interval(s) on which the function is continuous. (Enter your answer using interval notation.) x + 2 f(x) = x [x>0 ((0,00)) Your answer cannot be understood or graded. More Information Question * 1-x3-2x+y Let I= triple integral in cylindrical coordinates, we obtain: 1 = - rdzdrd0. 3-2r2 O This option 1 = rdzdrdo This option dzdydx. By converting I into an Public records are crucial in establishing all of the following EXCEPT A) encumbrances B) liens C) ownership D) adverse possession At common law was defined as the breaking and entering of the dwelling of another at night with the intent to commit a felony.A. BurglaryB. RobberyC. LarcenyD. Embezzlement Where is OH on the IR spectrum? list and explain two methods of managing rangelands sustainably 13. Use a polar integral to find the area of the region defined by r = cos 0, 0 FILL THE BLANK. a public good is a good that is ________, and thus is difficult for market producers to sell to individual consumers. What was one way people in Washington who supported the war targeted people who were opposed to the war? A. They spied on neighbors who expressed antiwar ideas. B. They bought Liberty Bonds to pay the costs of the war. C. They provided lumber to build airplanes and ships. D. They volunteered for military service rather than waiting to be drafted. which of the following acts gives the ftc jurisdiction over false and misleading advertising?group of answer choicesthe robinson-patman actthe clayton actthe wheeler-lea actthe consumer product safety act how much money do you have to show on your tax return to get a $650k mortgage with a 5.5% interest rate If the government increases government spending (G) and at the same time the Fed conducts open market purchases. The equilibrium interest rate will:a) decreaseb) increasec) be ambiguousd) not change