To determine the basis for allocation of rent between the office and shop spaces and classify the lease as an operating or finance lease, it is important to assess the useful life and fair market value of the asset.
For an operating lease, the useful life and fair market value of the asset should be known and the rent must be allocated proportionately according to the value of each component. For a finance lease, the useful life and fair market value must also be known, but the rent is allocated according to the portion of the asset that is depreciated over the life of the lease.
It is also important to consider the terms of the lease and the relative rights and obligations of the parties involved, as this will determine whether the lease is operating or finance.
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Starfax, Incorporated, manufactures a small part that is widely used in various electronic products such as home computers. Results for the first three years of operations were as follows (absorption costing basis):
Year 1 Year 2 Year 3
Sales $ 809,600 $ 647,680 $ 809,600
Cost of goods sold 586,960 404,800 627,440
Gross margin 222,640 242,880 182,160
Selling and administrative expenses 192,280 182,160 172,040
Net operating income (loss) $ 30,360 $ 60,720 $ \10,120\
In the latter part of Year 2, a competitor went out of business and in the process dumped a large number of units on the market. As a result, Starfax’s sales dropped by 20% during Year 2 even though production increased during the year. Management had expected sales to remain constant at 50,600 units; the increased production was designed to provide the company with a buffer of protection against unexpected spurts in demand. By the start of Year 3, management could see that it had excess inventory and that spurts in demand were unlikely. To reduce the excessive inventories, Starfax cut back production during Year 3, as shown below:
Year 1 Year 2 Year 3
Production in units 50,600 60,720 40,480
Sales in units 50,600 40,480 50,600
Additional information about the company follows:
The company’s plant is highly automated. Variable manufacturing expenses (direct materials, direct labor, and variable manufacturing overhead) total only $2.00 per unit, and fixed manufacturing overhead expenses total $485,760 per year.
A new fixed manufacturing overhead rate is computed each year based on that year's actual fixed manufacturing overhead costs divided by the actual number of units produced.
Variable selling and administrative expenses were $1 per unit sold in each year. Fixed selling and administrative expenses totaled $140,480 per year.
The company uses a FIFO inventory flow assumption. (FIFO means first-in first-out. In other words, it assumes that the oldest units in inventory are sold first.)
Starfax’s management can’t understand why profits doubled during Year 2 when sales dropped by 20% and why a loss was incurred during Year 3 when sales recovered to previous levels.
Required:
1. Prepare a variable costing income statement for each year.
2. Refer to the absorption costing income statements above.
a. Compute the unit product cost in each year under absorption costing. Show how much of this cost is variable and how much is fixed.
b. Reconcile the variable costing and absorption costing net operating income figures for each year.
5b. If Lean Production had been used during Year 2 and Year 3, what would the company’s net operating income (or loss) have been in each year under absorption costing?
In Solution 1, Fixed Expenses, Net Operating Income (Loss) 31560 -100000 31560
How to solveSolution 1:
Starfax, Inc.
Variable costing Income statement
Year 1 Year 2 Year 3
Unit sales 50600 40480 50600
Sales revenue 809600 647680 809600
Variable expenses:
Variable Manufacturing expense (Units soldper unit) 101200 80960 101200
Variable Selling and administrative expense (Units soldper unit) 50600 40480 50600
Total variable expenses 151800 121440 151800
Contribution Margin 657800 526240 657800
Fixed expenses:
Fixed Manufacturing expense 485760 485760 485760
Fixed Selling and administrative expense 140480 140480 140480
Total Fixed expenses 626240 626240 626240
Net Operating Income (Loss) 31560 -100000 31560
Solution 2a:
Year 1 Year 2 Year 3
Variable Manufacturing expense 2.00 2.00 2.00
Fixed Manufacturing expense (485760/ units produced) 9.60 8.00 12.00
Unit Product Cost 11.60 10.00 14.00
Solution 2b:
Reconciliation of Variable costing and absorption costing Net operating Income (Losses)
Year 1 Year 2 Year 3
Variable Costing net operating income (loss) 31560 -100000 31560
Add (deduct) Fixed manufacturing overhead cost deferred in (released from) Year 2 and released in year 3 (Ending inventory *Fixed manufacturing expense per unit) 0 161920 -161920
Add (deduct) Fixed manufacturing overhead cost deferred in (released from) Year 3 and released in future under absorption costing (Ending inventory *Fixed manufacturing expense per unit) 0 0 121440
Absorption Costing net operating income (loss) 31560 61920 -8920
Solution 5b:
Absorption costing Income statement (Lean production)
Year 1 Year 2 Year 3
Sales revenue 809600 647680 809600
Variable expenses:
Variable Manufacturing expense 101200 80960 101200
Fixed Manufacturing expense [Year 2= (485760/5060040480)] 485760 388608 485760
Total variable expenses 586960 469568 586960
Contribution Margin 222640 178112 222640
Fixed expenses:
variable Selling and administrative expense 50600 40480 50600
Fixed Selling and administrative expense [Year 2= (140480/5060040480)] 140480 112384 140480
Total Fixed expenses 191080 152864 191080
Net Operating Income (Loss) 31560 25248 31560
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Which one of the following is NOT part of the analysis of the micro external environment?
(Choose one answer)
Sociocultural trends
Bargaining power of buyers
Bargaining power of suppliers
Threat of substitute products
Competitive rivalry/existing competition
Porter's main message is that if the forces are strong then the industry is...
(Choose one answer)
Not attractive
Attractive
Highly profitable
Not competitive
Which one of these, according to Porter is NOT a force driving industry competition?
(Choose one answer)
Threat of new entrants
Bargaining power of buyers
Bargaining power of distributors
What kind of impact does Coronavirus as a sociocultural factor (from PESTEL-DG) have on the telecommunication infrastructure industry?
(Choose one answer)
Positive
Negative
Both positive and negative
Question 25
2.5 Points
The competitive environment of the firm is...
(Choose one answer)
The micro environment and it is analysed by the PESTEL-DG analysis
The micro environment and it is analysed by the Porter's 5 Forces analysis
The macro environment and it is analysed by the PESTE-DG analysis
The macro environment and it is analysed by the Porter's 4 Forces analysis
Social and cultural trends Not appealing, distributors' negotiating strength, both favourable and unfavourable, The Porter's Five Forces analysis is used to analyse the microenvironment.
What is a five-force analysis of the microenvironment?The chance of businesses turning a profit in a particular industry, according to Porter, is influenced by five variables: substitute threats, buyer and supplier negotiating power, entry barriers and threats from new entrants, and the level of competition among competitors.
What are the five forces and microenvironment of Porter?To analyse several micro-environmental groups and comprehend the effects each group has on a corporation in an industry, Porter's Five Forces is a useful tool. Each force indicates a facet of competition that influences the potential of a corporation.
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You receive a text alert that you must fertilize 14 more acres in the next hour before it begins to rain. what should you do?
If you have received a text alert that you must fertilize 14 more acres in the next hour before it begins to rain, the first thing you should do is assess whether or not it is possible to complete the task within the given time frame.
You can estimate how much time it typically takes to fertilize an acre and then multiply that by the number of acres remaining to determine if it is feasible to finish in one hour.
If you determine that it is possible to complete the task within the given time frame, you should immediately begin fertilizing the acres. However, if you estimate that it will take more than an hour to complete the task, it is important to prioritize the most important acres to fertilize based on factors such as the crops grown in that area and the impact of the fertilizer on the yield.
In any case, it is important to work quickly and efficiently to maximize the area covered within the given time frame. If necessary, you can also consider asking for help from colleagues or bringing in additional equipment to help speed up the process.
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a decrease in unemployment b. a technological advance in the consumer goods industries c. a general technological advance d. an increase in the availability of capital-producing resources
The following factor will decrease unemployment: An increase in the availability of capital-producing resources.
Capital resources are things that are used in the production of other goods and services, such as factories, machinery, and equipment. They are the essential assets that a firm uses in the production of goods and services. This implies that when there is an increase in the availability of capital resources, there will be a decrease in unemployment.
The availability of capital resources implies that the production of goods and services will be more productive, resulting in a rise in output, which will lead to an increase in the demand for labor, which will reduce unemployment.
A technological advance in the consumer goods industries, as well as a general technological advance, could raise productivity and, as a result, demand for labor in the long term, resulting in a reduction in unemployment.
However, these technological advancements could lead to short-term job losses, as firms may require fewer workers to manufacture the same amount of goods and services, resulting in a rise in unemployment.
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douglas promised to sell his car to eric and eric promised to pay douglas $3,000 for the car. the parties have not yet performed their respective promises. this contract may be classified as:
Douglas promised to sell his car to Eric and Eric promised to pay Douglas $3,000 for the car. The parties have not yet performed their respective promises. This contract may be classified as an executory contract.
An executory contract is an agreement between two or more parties in which the performance of one or more parties has yet to be completed. An agreement where each party still owes an action to the other is known as an executory agreement.
A contract that has not yet been executed or completed by either party is known as an executory contract. Both parties are still required to perform their obligations under an executory contract.
An example of an executory contract is a lease agreement in which the landlord is required to give the tenant access to the property and the tenant is required to pay rent to the landlord for that access. Until the lease has been signed and the tenant has paid the rent, the contract is not considered executed.
The contract in which Douglas promised to sell his car to Eric and Eric promised to pay Douglas $3,000 for the car is also an executory contract.
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what is the interest portion of the second monthly payment on a $200,000 mortgage with payments of $1,264.14 per month and an interest rate of 6.5% for a 30-year term?
The interest portion of the second monthly payment on a $200,000 mortgage with payments of $1,264.14 per month and an interest rate of 6.5% for a 30-year term is $933.33. This is calculated using the formula for monthly mortgage payments, which is:
Payment = Loan x Interest Rate x (1 + Interest Rate)^Number of Payments / [(1 + Interest Rate)^Number of Payments - 1]
In this formula, the payment is $1,264.14, the loan is $200,000, the interest rate is 6.5%, and the number of payments is 360 (30 years x 12 months). The interest portion of the payment is calculated by multiplying the loan amount by the interest rate, so $200,000 x 0.065 = $933.33. This tells us that the interest portion of the payment is $933.33 and the principal portion is $330.81, for a total payment of $1,264.14.
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for each of the wages listed in the following table, determine the quantity of labor demanded, the quantity of labor supplied, and the direction of pressure exerted on wages in the absence of any price controls.
In order to determine the quantity of labor demanded, the quantity of labor supplied, and the direction of pressure exerted on wages in the absence of any price controls, you must consider the wage rate in relation to the marginal cost of production and the willingness of labor to work.
If the wage rate is higher than the marginal cost of production, then there will be more demand for labor, since employers will be willing to pay more for labor, and this will lead to an increase in the quantity of labor supplied and an upward pressure on wages.
Conversely, if the wage rate is lower than the marginal cost of production, then there will be less demand for labor, since employers will not be willing to pay as much for labor, and this will lead to a decrease in the quantity of labor supplied and a downward pressure on wages.
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FILL IN THE BLANK. _____ is challenging, but manageable, because reasonable estimates of probability or certain known outcomes happening can be estimated based on available data. ________, on the other hand, is not manageable. What might happen is unclear, and the probabilities of the unknown are also unknown.
Risk is challenging, but manageable, because reasonable estimates of probability or certain known outcomes happening can be estimated based on available data.
Uncertainty, on the other hand, is not manageable. What might happen is unclear, and the probabilities of the unknown are also unknown.
In other words, risk involves situations where we have some idea of what the potential outcomes could be and can make informed decisions based on that information.
Uncertainty, however, involves situations where we have no idea what the potential outcomes could be and cannot make informed decisions based on any available data.
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Using Hofstede's dimensions, what could be empirical information for Japan's business culture? While providing advice for a foreign company coming from a different culture on how to communicate its brand in that country (choose a particular product/company)
Empirical information for Japan's business culture can be obtained by applying Hofstede's dimensions such as Power Distance, Individualism, Masculinity, Uncertainty Avoidance, and Long-Term Orientation. While advising a foreign company on how to communicate its brand in Japan, they should adopt an approach that is respectful of authority, promotes group harmony, recognizes gender equality, and maintains long-term relationships.
Hofstede's dimensions can be used to identify empirical information about Japan's business culture. These dimensions are Power Distance, Individualism, Masculinity, Uncertainty Avoidance, and Long-Term Orientation.
For instance, Japanese business culture has a high power distance, implying that there is a great deal of respect for authority and hierarchy. In addition, Japanese business culture has a low level of individualism, which implies that there is a strong sense of group harmony and loyalty. Masculinity is also low in Japanese business culture, meaning that there is a strong focus on quality of life, gender equality, and nurturing relationships.
The Japanese business culture also has a high degree of uncertainty avoidance, which means that there is a strong need for rules, regulations, and consistency. Finally, Japanese business culture has a high degree of long-term orientation, which means that there is a strong focus on maintaining strong relationships and investing in the future.
Given the above characteristics of Japanese business culture, foreign companies must communicate their brand in a manner that is respectful of authority, promotes group harmony, recognizes gender equality, and maintains long-term relationships. A business that would be a good fit in Japan is Coca-Cola.
Coca-Cola has established a strong presence in Japan by focusing on building long-term relationships with its customers, tailoring its products to the Japanese market, and creating a sense of community among its consumers. As a result, the company has managed to thrive in the Japanese market.
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Why do LLCs often have problems borrowing funds for business growth? Because the partners and directors of the LLC do not share responsibility for the debts of the LLC Because the members of the LLC are not personally liable for the debts and loans received by the LLC Because members of the LLC cannot legally authorize the business to create debt or to borrow money Because an LLC can only issue stock certificates to members of the company SAVE AND CONTINUE
A legal structure known as limited liability allows an organization's loss to be limited to the amount invested in a partnership. Because an LLC can only issue stock certificates to members of the company . Option D is correct .
How Does Limited Liability Work?Private assets of owners and investors are not at risk in the event of the company's failure. It is known as a "gesellschaft mit beschränkter Haftung" (GmbH) in Germany.
One of the greatest advantages of investing in publicly traded businesses is the limited liability feature. A shareholder can fully participate in a company's growth, but their liability is limited to the amount they invested, even if the company later goes bankrupt and still owes money. When an individual or a business operates with limited liability, assets belonging to the associated individuals cannot be seized in an effort to repay the company's debt obligations. Direct investments, like the purchase of company stock, are considered assets of the company in question and are subject to seizure in the event of bankruptcy.
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100 POINTS!!!
FOUNDATIONS in PERSONAL FINANCE
Funding 401(k)s and IRAs
Make Your Money Grow, Year After Year
Complete the investment chart based on the facts given for each situation. Assume each person is following Dave’s advice of investing 15% of their annual household income. Remember to follow the sequence of contributions recommended that you first meet your company match before putting money into the Roth account. Once the Roth limit is met, start putting money back into the 401(k). A 1:1 company match means that your company will match every dollar you put in the 401k up to a certain percentage of your income.
Total Annual
Investment Annual Salary Company Match 401(K) Roth IRA Investment
Ex. Joe $40,000 1:1 up to 5% $2,000 $4,000 $6,000
(5% income) (under limit) (=15% of Inc)
Melissa $55,000 1:2 up to 3%
Tyler & Megan $105,000 No Match
Adrian $111,000 1:1: up to 4%
David & Brittney $150,000 No Match `
Brandon $35,000 2:1 up to 10%
Chelsea $28,000 No Match
Joe will take advantage of the company match (5% of salary) then put the rest in a Roth IRA.
Melissa will fund the 401(k) up to the match and put the remainder in her Roth.
Tyler & Megan can each fund then put the remainder in the 401(k). With no match, fund the Roth
first (based on a 2020 contribution of $6,000 per individual).
Adrian is not eligible to open a Roth IRA because he makes too much money. He will put his entire
15% into his 401(k).
David and Britney are still within the guidelines for a married couple (based on 20019 contributions of $6,000
per individual). After maxing out the IRA, they will fund the 401(k).
Brandon will fund his 401(k) up to the match, and then put the remainder in his Roth.
Chelsea will fund her Roth IRA.
The investment chart for each person based on the amount they are investing is given below:
The Investment ChartAnnual Salary 15% match Company match 401K Roth IRA Total investment
Joe 40000 6000 2000 4000 4000 8000
Melissa 55000 8250 3300 6600 4950 11550
Tyler & Megan 105000 15750 NO 5750 10000 15750
Adrain 111000 16650 3330 19980 0 19980
David & Britney 150000 22500 No 12500 10000 22500
Brandon 35000 5250 1050 2100 4200 6300
Chelsea 28000 4200 NO 0 4200 4200
1:1 up to 5 % mean company is contribution the same share
1:2 up to 6 % means company will invest twice as individual
2:1 up to 6% mean individual will invest twice as company
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A researcher wants to test the relationship between the number of years of formal education received (Xi) and the average weekly earnings (Y) (measured in hundred dollars) A report released by a government agency suggests that the average weekly earnings of individuals with no formal education is equal to $545. The researcher wants to test whether the average weekly earnings with no formal education is $545 or greater than that. He collects data from a sample of 150 individuals and estimates the following regression function: Y = 7.14+2.30X (2.45) (7.96)
where Ŷ is the predicted value of the weekly earnings for the I th individual and the standard errors for the coefficients appear in parenthesis. The t-statistic for the test the researcher wants to conduct will be __________
(Round your answer to two decimal places.)
At the 5% significance level, the researcher will__________ the null hypothesis that the average weekly earnings of individuals with no formal education is equal to $545 fail to reject reject
Here t-statistic the reasearcher wants to conduct = 2.30/7.96
= 0.29
The theory being tested won't be rejected by the researcher.
What is the t-statistic also known as?The abbreviation "t-statistic" stands for "hypothesis test statistic". In the field of statistics, Helmert and Luroth first derived the t-distribution as a posterior distribution in 1876. In Karl Pearson's 1895 paper, the t-distribution also appeared in a broader sense as the Pearson Type IV distribution.
The t-value calculates how much of a difference there is in comparison to the variation in your sample data. In other terms, T simply represents the computed difference in standard error units. The amount of evidence against the null hypothesis increases as T's magnitude increases.
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Here, the researcher wishes to perform a t-statistic = 2.30/7.96
= 0.29
The researcher won't rejected the hypothesis being tested.
What is another name for the t-statistic?The term "hypothesis test statistic" is referred to by the shorthand "t-statistic". The t-distribution was first derived as a posterior distribution in the area of statistics by Helmert and Luroth in 1876. The t-distribution also appeared in a broader context as the Pearson Type IV distribution in Karl Pearson's 1895 paper.
The t-value determines how different something is from the variance in your sample data. T merely denotes the calculated difference in standard error units, to put it another way. As T's magnitude rises, there is more evidence against the null hypothesis.
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Select a single stock issue, then perform each of the ratio valuations, covered in the lesson. Compare the information and make a recommendation on the value of the stock, and whether it is a good investment. Your submission must list the name of the stock, the data. The information was obtained, the source from which the information was drawn, and a list of each of the ratio models, showing the results. Also, prepare a narrative of at least two paragraphs that analyzes your findings and indicates your recommendations.
We should note that stock valuation helps to predict the future price or potential market prices for the investors to time their sales or purchase of investments. Its values the intrinsic value of the stock that shows the profitability of the business and its future market value.
What is the stock valuation of Apple Inc?In this context, let's assume we're analyzing Apple Inc. (AAPL), a technology company that designs, manufactures, and markets mobile communication and media devices, personal computers, and portable digital music players.
One key ratio valuations that investors might use to assess the value of AAPL is Price-to-earnings ratio (P/E ratio). This ratio compares the current stock price to the company's earnings per share (EPS). A high P/E ratio suggests that investors are willing to pay a premium for the stock based on its earnings potential.
To calculate the P/E ratio for AAPL, we would divide the current stock price by the company's EPS. As of 2022, AAPL had a P/E ratio of around 28, which is slightly higher than the industry average of around 24.
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The design of a product is primarily a functional exercise that
almost never involves concerns that go beyond operations.
True / False
The statement given "The design of a product is primarily a functional exercise that almost never involves concerns that go beyond operations." is false becasue the design of a product is not solely a functional exercise that only involves concerns related to operations. In fact, product design is a multifaceted process that encompasses a wide range of considerations, including functionality, aesthetics, usability, safety, environmental impact, and customer preferences.
While functionality is certainly an important consideration in product design, other factors such as the user experience, marketability, and manufacturability are also critical. Designers must consider how a product will be used, who will use it, and how it will be perceived in the marketplace. They must also take into account the materials, manufacturing processes, and supply chain logistics involved in producing the product.
In addition, product design must also consider social and ethical considerations, such as the impact of the product on the environment, the welfare of workers involved in the production process, and the safety of consumers who use the product.
Overall, the design of a product involves a complex and multifaceted set of considerations that go far beyond just functional concerns related to operations.
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• Bank #1 • Bank name • Bank website address • Interest rate for CD, 6 months D • Interest rate for CD, 12 months . Interest rate for savings account . how do I do this?
Lincoln Park Co. Has a bond outstanding with a coupon rate of 6. 04 percent and semiannual payments. The yield to maturity is 6. 1 percent and the bond matures in 15 years. What is the market price if the bond has a par value of $2,000
The market price if the bond has a par value of $2,000 and as per the other given details is $2,033.33.
we know,
bond value= Bo= {I* [1-(1+i)^-n]/i} + FV/(1+i)^n
here,
Face value of face value, FV = $2,000
Coupon payment, I = face value or face value x coupon rate
Coupon payment I = $2,000 × 6.04D
coupon payment, I = $128
Yield to Maturity, i = 6.1% = 0.061
years, n=15
So, substituting the values into the formula, we get:
Bo= {128* [1-(1+0.061)^-7]/0.061} + 2,000/(1+0.061)^7
= {128* [1-(1.061) ^-7]/0.061} + 2,0001.061) ^7
== {128* [0.3393]/0.061} + 1321.3635
=128* 5.5623 + 1321.3635
= $711.9738 + 1,321.3635
Therefore, bond value = $2,033.33
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What are the leadership qualities that indicate administrative
performance and achievement?
There are several leadership qualities that indicate administrative performance and achievement. Some of these qualities include:
Vision: A strong leader should have a clear vision of the organization's goals and should be able to communicate that vision effectively to others.
Strategic thinking: A good leader should have the ability to think strategically and make decisions that will help the organization achieve its goals.
Effective communication: Good communication skills are essential for a leader to be able to convey ideas and instructions to others.
Emotional intelligence: A leader should have emotional intelligence, which involves being able to understand and manage one's own emotions and those of others.
Adaptability: A good leader should be able to adapt to changing circumstances and be willing to make changes as needed.
Accountability: A leader should take responsibility for their actions and decisions and be willing to be held accountable for the results.
Empathy: A good leader should be able to empathize with others and understand their perspectives.
Team building: A strong leader should be able to build and lead effective teams, with a focus on collaboration and cooperation.
Integrity: A leader should have a strong sense of integrity, with a commitment to honesty, transparency, and ethical behavior.
Results-oriented: A good leader should be focused on achieving results and driving performance, with a focus on continuous improvement and innovation.
These are just a few examples of leadership qualities that are important for administrative performance and achievement. The specific qualities needed may vary depending on the organization, its goals, and its culture.
Formulation Stage is the phase where there is continuous
updating of the strategic plan? true or false
True. The Formulation Stage is the phase where there is continual updating of the strategic plan in order to refine and improve it.
The Formulation Stage is the phase in the strategic management process where the organization develops and updates its strategic plan. During this stage, the organization analyzes its internal and external environments, identifies its strengths and weaknesses, formulates its mission and vision, sets strategic goals and objectives, and develops strategies to achieve them.
The strategic plan is continuously updated to ensure it remains relevant and aligned with the organization's goals and the changing external environment.
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Julie paid a day care center to watch her two-year-old son while she worked as a computer programmer for a local start-up company.What amount of child and dependent care credit can Julie claim in each of the following alternative scenarios? Exhibit 8-9a. Julie paid $2,400 to the day care center and her AGI is $50,000 (all salary).b. Julie paid $6,000 to the day care center and her AGI is $50,000 (all salary).c. Julie paid $5,000 to the day care center and her AGI is $25,000 (all salary).d. Julie paid $2,400 to the day care center and her AGI is $14,000 (all salary).e. Julie paid $5,000 to the day care center and her AGI is $14,000 ($2,400 salary and $11,600 unearned income).
Julie paid a day care center to watch her two-year-old son while she worked as a computer programmer for a local start-up company.
Julie can claim the following amount of child and dependent care credit in each of the following alternative scenarios:
Exhibit 8-9a: Julie paid $2,400 to the day care center and her AGI is $50,000 (all salary). Julie can claim a maximum credit of $480, or 20% of $2,400.
Exhibit 8-9b: Julie paid $6,000 to the day care center and her AGI is $50,000 (all salary). Julie can claim a maximum credit of $600, or 20% of $6,000.
Exhibit 8-9c: Julie paid $5,000 to the day care center and her AGI is $25,000 (all salary). Julie can claim a maximum credit of $1,000, or 20% of $5,000.
Exhibit 8-9d: Julie paid $2,400 to the day care center and her AGI is $14,000 (all salary). Julie can claim a maximum credit of $480, or 20% of $2,400.
Exhibit 8-9e: Julie paid $5,000 to the day care center and her AGI is $14,000 ($2,400 salary and $11,600 unearned income). Julie can claim a maximum credit of $800, or 20% of $5,000.
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With relevant example, what do you understand by the term "strategic fit'' as used in strategic human resource management. (6 marks)
In the context of strategic human resource management, "strategic fit" refers to the alignment between an organization's human resource management practices and its overall strategic goals and objectives.
To provide an example, let's say a company wants to position itself as a leader in the market for environmentally friendly products. To achieve this goal, the company may need to develop a workforce that is knowledgeable and passionate about sustainability. In this case, the company would need to ensure that its human resource management practices, such as recruitment, training, and performance management, are designed to attract, develop, and retain employees who share the company's environmental values.
To achieve a strategic fit, the company may adopt HR practices that encourage employees to participate in sustainability programs, such as offering training programs in green technology, implementing incentives for employees who make eco-friendly decisions, or integrating environmental considerations into performance evaluations.
By aligning HR practices with the company's strategic objectives, the company can create a workforce that is motivated and committed to achieving the company's goals, leading to greater success in the market and a stronger competitive advantage.
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two automatic systems for dispensing maps are being compared by the state highway department. the accompanying breakeven chart of the comparison of these systems
The state highway department is comparing two automatic systems for dispensing maps. The accompanying breakeven chart is a graphical representation of the comparison between these two systems.
The breakeven chart helps the department understand which of the two systems is more cost effective for their needs. It allows the department to determine how many maps must be dispensed in order for each system to break even, and can give the department an idea of the long-term financial implications of their choice.
The chart has two axes. The x-axis displays the number of maps that must be dispensed, while the y-axis displays the total cost. The data points on the chart show the cost of each system after a certain number of maps have been dispensed. The department can compare the data points to see which system has the lower total cost after a certain number of maps have been dispensed.
In conclusion, the breakeven chart allows the state highway department to compare two automatic map dispensing systems and choose the most cost effective one for their needs. It provides data points that demonstrate the total cost of each system after a certain number of maps have been dispensed, allowing the department to make a decision based on the long-term financial implications of their choice.
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A TV set listed at $119.91 is discounted by 36% during a promotion event. An additional discount of 14% is offered to customers with a loyalty card. Round answers to 2 decimals.
a) What is the dollar amount of the discount if only the promotion discount is applied?
b) What is the additional dollar amount of discount with a loyalty card?
c) What is the total dollar amount of discount if both the promotion and the loyalty discounts are applied?
The discounted price after applying only the promotion discount is $43.17. With a loyalty card, there is an additional $10.72 in savings. If the offer and the loyalty discounts are both used, the total dollar value of the discount is $53.89.
What is the long-term cost formula?The average of the LTC curve or the long-term cost per unit of production can be used to define long run average cost. It can be determined by dividing LTC by the output volume. Graphically.
when an industry and corporation are in long-term equilibrium under perfect competition?When all businesses are making no economic profits and when the number of businesses in the market is at its maximum, a completely competitive market reaches long-term equilibrium.
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Harry and Harriet own 1,000 shares of AI Inc. In a brokerage account that is titled "Harry and Harriet, Tenancy-in-Common. " Explain how the assets would be handled if Harry passed away. Would these scenarios be different if the account was titled?
If Harry and Harriet own 1,000 shares of AI Inc. in a brokerage account that is titled "Harry and Harriet, Tenancy-in-Common," Harry's share of the assets would be handled based on the laws of intestacy in the state where they reside.
Generally, Harry's share would pass to his heirs or beneficiaries according to his will or the laws of intestacy, depending on whether he had a valid will at the time of his death.
The brokerage account would not be affected by Harry's death, and Harriet would continue to own her share of the account. However, Harry's share would pass to his estate or designated beneficiaries.
If the account was titled differently, such as "Harry and Harriet, Joint Tenants with Right of Survivorship," then Harry's share would automatically pass to Harriet upon his death, regardless of his will or the laws of intestacy. This is because joint tenancy with the right of survivorship is a form of joint ownership where each owner has an equal share of the property, and when one owner dies, their share automatically passes to the surviving owner.
It's important to note that the specific laws governing ownership and inheritance of brokerage accounts can vary by state, and it's always advisable to consult with a legal professional to understand your specific situation.
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_________ is to influence behavior to achieve a social good or promote a social change
A.) telemarketing
B.) social marketing
C.) customer marketing
Based on the given information from PA12-4 (pp.603-604) in your textbook, complete the following Statement of Cash Flows using the Indirect Method Notes: -place negative amounts or balances in parentheses/brackets. Example: (100) -when entering the amounts or balances, omit or do not include the dollar sign and penny value or decimal point -use comma to separate numbers/amounts/balances greater than 999. Example: 1,850 Heads Up Company Statement of Cash Flows For the Year Ended, December 31
Heads Up Company Statement of Cash Flows For the Year Ended, December 31
Cash Flows From Operating Activities:
Net Income (Loss): $(24,000)
Adjustments to Reconcile Net Income (Loss) to Net Cash Flows:
Depreciation Expense: 7,000
Decrease (Increase) in Accounts Receivable: (1,500)
Decrease (Increase) in Inventory: 2,500
Decrease (Increase) in Prepaid Expenses: 500
Increase (Decrease) in Accounts Payable: 4,500
Increase (Decrease) in Accrued Expenses: 2,500
Net Cash Provided by Operating Activities: $10,500
Cash Flows From Investing Activities:
Purchase of Fixed Assets: (25,000)
Net Cash Used in Investing Activities: $(25,000)
Cash Flows From Financing Activities:
Payment of Cash Dividends: (6,000)
Proceeds From Issuance of Common Stock: 10,000
Repayment of Long-Term Notes Payable: (5,000)
Net Cash Provided (Used) by Financing Activities: $ (1,000)
Net Change in Cash: $(15,500)
Cash at Beginning of Year: 22,500
Cash at End of Year: $7,000
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glasgow enterprises started the period with 70 units in beginning inventory that cost $2.50 each. during the period, the company purchased inventory items as follows. glasgow sold 380 units after purchase 3 for $10.80 each. purchase number of items cost 1 360 $ 3.00 2 120 3.10 3 60 3.50 if the company uses the fifo cost flow method, glasgow's cost of goods sold would be:
The company uses the FIFO cost flow method, Glasgow's cost of goods sold would be $1,105.
To calculate Glasgow Enterprises' cost of goods sold (COGS) using the FIFO (First-In, First-Out) cost flow method, follow these steps:
1. Identify the beginning inventory: 70 units at $2.50 each.
2. List the purchases made during the period:
a. Purchase 1: 360 units at $3.00 each.
b. Purchase 2: 120 units at $3.10 each.
c. Purchase 3: 60 units at $3.50 each.
3. The total units sold is 380 units.
4. Calculate the cost of goods sold using the FIFO method:
a. Sell the 70 units from beginning inventory first;
70 units x $2.50 = $175
b. Sell the 310 remaining units from Purchase 1;
310 units x $3.00 = $930
c. The total COGS;
$175 + $930 = $1,105
Therefore, using the FIFO cost flow method, Glasgow's cost of goods sold is $1,105.
The complete question is;
Glasgow's enterprises started the period with 70 units in beginning inventory that cost $2.50 each. during the period, the company purchased inventory items as follows. Glasgow's sold 380 units after purchase 3 for $10.80 each.
purchase number of items cost;
1. 360 $ 3.00
2. 120 $ 3.10
3. 60 $ 3.50
If the company uses the fifo cost flow method, glasgow's cost of goods sold would be:
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Auto Lavage is a Canadian company that owns and operates a large automatic carwash facility near Quebec. The following table provides data concerning the company’s costs:
Fixed Cost
per Month Cost per
Car Washed
Cleaning supplies $ 0.40
Electricity $ 1,300 $ 0.08
Maintenance $ 0.10
Wages and salaries $ 4,600 $ 0.20
Depreciation $ 8,200 Rent $ 2,100 Administrative expenses $ 1,600 $ 0.01
For example, electricity costs are $1,300 per month plus $0.08 per car washed. The company expects to wash 8,200 cars in October and to collect an average of $5.90 per car washed.
The actual operating results for October appear below:
Auto Lavage
Income Statement
For the Month Ended October 31
Actual cars washed 8,300
Revenue $ 50,480
Expenses: Cleaning supplies 3,780
Electricity 1,926
Maintenance 1,060
Wages and salaries 6,600
Depreciation 8,200
Rent 2,300
Administrative expenses 1,582
Total expense 25,448
Net operating income $ 25,032
Required:
Complete the flexible budget performance report that shows the company’s activity variances and revenue and spending variances for October. (Input all amounts as positive values. Leave no cells blank - be certain to enter "0" wherever required. Indicate the effect of each variance by selecting "F" for favorable, "U" for unfavorable, and "None" for no effect (i.e., zero variance). Omit the "$" sign in your response.)
Auto Lavage
Flexible Budget Performance Report
For the Month Ended October 31
Activity Variances Revenue and Spending Variances
Revenue $ (Click to select)FNoneU $ (Click to select)FNoneU
Expenses: Cleaning supplies (Click to select)FUNone (Click to select)NoneFU
Electricity (Click to select)FNoneU (Click to select)NoneFU
Maintenance (Click to select)UFNone (Click to select)UFNone
Wages and salaries (Click to select)FNoneU (Click to select)FUNone
Depreciation (Click to select)FUNone (Click to select)NoneUF
Rent (Click to select)UNoneF (Click to select)FUNone
Administrative expenses (Click to select)FNoneU (Click to select)FNoneU
Total expense (Click to select)NoneUF (Click to select)NoneFU
Net operating income $ (Click to select)UNoneF $ (Click to select)UNoneF
Variances in revenue and spending represent the discrepancies between the flexible budget and the actual outcomes. The company Lavage Rapide's revenue and spending variances for the month of August are computed as follows:
What is meant by budgeting?In order to accomplish the stated goals of the organization, it is a method of predicting the future inflows and outflows of an organization through forecasting the future sales, purchases, manufacturing, administrative expenses, etc. by performing a market study, demand and supply analysis, past performances, and so on. Static budget is another name for planning financial budget. The budgeted level of activity for the period, as well as the budgeted rates of revenue and cost per unit of activity, are used to produce a planning budget at the start of the budgeting period.
Income Statement for August
Actual Budget Flexible Budget Variance
Actual cars washed 8,300 8,800
Revenue $50,080 $43,120 $40 U
Expenses:
Cleaning supplies $3,780 $7,040 $520 U
Electricity 1,926 2,520 $150 U
Maintenance 1,060 1,760 $500 U
Wages and salaries 6,600 7,640 $860 U
Depreciation 8,200 6,000 $0 None
Rent 2,300 8,000 $0 None
Administrative expenses 1,582 4,880 $70 U
Total expense $25,448 $37,840 $2,100 U
Net operating income $25,032 $5,280 $2,140 U
Data and Calculations:
Budgeted cars to wash in August = 9,000
Flexible budget = 8,800
Average price per car wash = $4.90
Total budgeted flexible revenue = $43,120 (8,800 x $4.90)
Fixed Cost Cost per Flexible
per Month Car Washed Budget
Cleaning supplies $0.40 $3,280 ($0.40 x 8,200)
Electricity $1,300 $ 0.15 $2,530 ($1,300 + $0.15 x 8,200)
Maintenance $0.10 $820 ($0.10 x 8,200)
Wages and salaries $4,600 $0.20 $7,060 ($4,600 + $.30 x 8,200)
Depreciation $8,200 $6,000
Rent $2,100 $8,000
Administrative expenses $1,600 $0.01 $1,682 ($1,600 + $0.01 x 8,200)
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1. Analyse the ways that for profit business models can be used
in the management of the Public Sector Organisations. (15MKS)
In the management of Public Sector Organisations, for profit business models can be used to optimise resources, increase efficiency, and create a competitive environment.
These business models focus on maximizing the organization's profits, increasing customer satisfaction, and lowering costs. Here are some ways that for-profit business models can be used in the management of Public Sector Organisations:
Overall, for-profit business models can be used in the management of Public Sector Organisations to increase efficiency and create a competitive environment.
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FILL IN THE BLANK. Sebastian Music had a credit balance of $45,281 in their Fair Value Adjustment account on December 31, 2016. Based on the valuation of their equity securities on December 31, 2017, they should have a net unrealized gain of $37,422. Based on this, they should ________ Fair Value Adjustment for ________.
Sebastian Music had a credit balance of $45,281 in their Fair Value Adjustment account on December 31, 2016. Based on the valuation of their equity securities on December 31, 2017, they should have a net unrealized gain of $37,422. Sebastian Music should DEBIT Fair Value Adjustment for $7,859.
The Fair Value Adjustment account is used to adjust the value of equity securities to their current market value. If the current market value is higher than the original value, there will be a net unrealized gain. If the current market value is lower than the original value, there will be a net unrealized loss.
In this case, Sebastian Music had a credit balance of $45,281 in their Fair Value Adjustment account on December 31, 2016. Based on the valuation of their equity securities on December 31, 2017, they should have a net unrealized gain of $37,422. This means that the value of their equity securities has decreased by $7,859 ($45,281 - $37,422) during the year.
To adjust the Fair Value Adjustment account to reflect the current market value of their equity securities, Sebastian Music should debit the account for $7,859. This will decrease the credit balance in the account to $37,422, which is the current market value of their equity securities.
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if the price elasticity of demand for labor is 0.1 and the wage increased from $10 to $15 an hour, what is the predicted decrease in the level of employment in percentage terms?
The expected fall in employment level in percentage terms is 5% if the salary rose from $10 to $15 an hour and the price elasticity of labor demand is 0.1.
What is the cause of the declining employment rate?The price elasticity of labor demand is defined as the ratio of the percentage change in wages to the percentage change in labor demand.
We foresee a negative correlation between the demand for labor and salaries. There is a loss in the demand for labor as wages rise, and a gain in that demand when wages decline.
Price elasticity of demand for labor = % change in the demand for labor / % change in wages
% change in the demand for labor = percentage change in wages x price elasticity of demand for labor
% change in wages = [($15 / $10) - 1] x 100 = 50%
% change in the demand for labor = 0.1 x 45.45 = 5%
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