On December 31, 2021, Tiras Company reported net income of $52,000 and sales of $205,000. The company also reported beginning and ending accounts receivable at $20,500 and $25,600, respectively. Tiras will report cash collected from customers in its 2021 statement of cash flows (indirect method) in the amount of:

Answers

Answer 1

Tiras will report cash collected from customers in its 2021 statement of cash flows (indirect method) in the amount of: $0. Thus, option (a) is correct.

Given information:

Net income of $52,000Sales of $205,000Reported beginning at $20,500Ending accounts receivable $25,600

According to the indirect approach, the statement of cash flows starts with net income or loss and then adds or subtractions are made for non-cash revenue and cost components to produce cash flow from operational activities.

Cash received from consumers is not displayed when the Statement of Cash flows is calculated using the indirect approach; nevertheless, it is displayed when the Statement of Cash flows is calculated using the direct method.

So, it will be the $0.

Therefore, option (a) is correct.

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Your question is incomplete, but most probably the full question was.

On December 31, 2021, Tires Company reported net income of $52,000 and sales of $205,000. The company also reported beginning and ending accounts receivable at $20,500 and $25,600, respectively. Tiras will report cash collected from customers in its 2021 statement of cash flows (indirect method) in the amount of:

Multiple Choice

$0.

$251,100.

$210,100.

$179,400.


Related Questions

Mahrouq Technologies buys $13,431,550 of materials (net of discounts) on terms of 4/30, net 60, and it currently pays within 30 days and takes discounts. Mahrouq plans to expand, and this will require additional financing. If Mahrouq decides to forego discounts and thus to obtain additional credit from its suppliers, calculate the nominal cost of that credit

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If Mahrouq decides to forego discounts and thus to obtain additional credit from its suppliers, then the nominal cost of that credit is 60.11%.

To calculate the nominal cost of credit for Mahrouq Technologies when they decide to forego discounts and obtain additional credit from suppliers, follow these steps:

1. Determine the discount percentage: In this case, the discount offered is 4% (4/100).

2. Calculate the amount of the discount: To find the amount of the discount, multiply the materials cost by the discount percentage.
  $13,431,550 × 0.04 = $537,262

3. Determine the net payable amount: Subtract the discount amount from the total materials cost.
  $13,431,550 - $537,262 = $12,894,288

4. Calculate the credit period: The credit period is the difference between the net terms and the discount period. In this case, it's 60 days (net 60) minus 30 days (4/30), which equals 30 days.

5. Determine the number of credit periods in a year: Divide 365 days by the credit period.
  365 days ÷ 30 days = 12.17 periods (rounded to two decimal places)

6. Calculate the nominal cost of credit: Use the following formula:
  Nominal cost of credit = (1 + discount percentage)^(number of credit periods) - 1
  (1 + 0.04)^12.17 - 1 ≈ 0.6011 or 60.11%

So, if Mahrouq Technologies decides to forego discounts and obtain additional credit from its suppliers, the nominal cost of that credit would be approximately 60.11%.

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A company reported the following information for Year 1:


Net income $34,000


Owner contribution 9,000


Deferred gain on a highly effective cash-flow hedge 8,000


Foreign currency translation gain 2,000


Prior service cost not recognized in net periodic pension cost 5,000


What is the amount of other comprehensive income for Year 1?


A) $43,000


B) $5,000


C) $14,000


D) $15,000

Answers

The amount of other comprehensive income for Year 1 can be calculated by adding up the deferred gain on a highly effective cash-flow hedge, foreign currency translation gain, and prior service cost not recognized in net periodic pension cost. Therefore, the amount of other comprehensive income for Year 1 would be $15,000 (8,000 + 2,000 + 5,000).

Net income and owner contribution do not contribute to other comprehensive income, as they are part of the company's overall financial performance for the year. Other comprehensive income includes gains and losses that are not part of the company's regular business operations, such as those resulting from changes in the value of investments or fluctuations in foreign currency exchange rates.

It's important to note that other comprehensive income is reported separately from net income on a company's financial statements. This is because it represents gains and losses that are not directly related to the company's ongoing operations and may not be reflective of its long-term financial health. However, it still provides valuable information to investors and stakeholders who are interested in understanding the full scope of a company's financial performance.

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Asteria earned a $26,200 salary as an employee in 2022. How much should her employer have withheld from her paycheck for fica taxes?

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Asteria's employer should have withheld a total of $2,001.30 from her paycheck for FICA taxes in 2022.

FICA taxes are the federal taxes that are withheld from the paychecks of employees in the United States to fund Social Security and Medicare programs. The amount of FICA taxes withheld from an employee's paycheck depends on their income and their filing status.

For the year 2022, the FICA tax rate for Social Security is 6.2%, and the maximum taxable earnings subject to the Social Security tax is $147,000. The FICA tax rate for Medicare is 1.45%, and there is no maximum taxable earnings limit for Medicare.

To calculate the FICA taxes that Asteria's employer should have withheld from her paycheck, we first need to determine her taxable income. Assuming that Asteria had no pre-tax deductions or adjustments, her taxable income would be her gross income of $26,200.

For Social Security taxes, the employer should withhold 6.2% of the first $147,000 of Asteria's taxable income, which comes out to $1,621.40. For Medicare taxes, the employer should withhold 1.45% of all of Asteria's taxable income, which comes out to $379.90.

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Hai, a single taxpayer, invested $75,000 in the stock of penguin corporation, which recently declared bankruptcy. although distressed over the loss of her investment, hai is relieved that she can claim a $75,000 ordinary (rather than capital) loss deduction. comment on hai’s expectations.

Answers

Hai's expectation of being able to claim a $75,000 ordinary loss deduction is correct. When a corporation goes bankrupt, it can result in the loss of the shareholder's investment.

However, this loss can be claimed as a deduction on the taxpayer's tax return.

In the case of a stock investment, the loss is typically considered a capital loss, which can only be used to offset capital gains, up to a maximum of $3,000 per year. However, in certain situations, such as when the investment is in a corporation that has gone bankrupt, the loss can be treated as an ordinary loss.

An ordinary loss can be deducted in full against ordinary income, such as wages, salaries, or business income, which can result in a larger tax benefit than a capital loss deduction.

Overall, while Hai may be distressed over the loss of her investment in Penguin Corporation, her expectation of being able to claim an ordinary loss deduction for the full amount of her investment is accurate.

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"Question 52A ______ is a written description of a new venture,including its objectives and the steps for achievingthem.A. mission statementB. sales pitchC. elevator pitchD. business"

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Business plan is a written description of a new venture, including its objective and the steps for achieving them. Thus, correct answer is D.

A business plan is a written document that describes in detail how a company, typically a new one, is going to achieve its objectives. A business plan lays out a written description of the new company, its products or services, its business model, its strategy for making money, and its management team.

A well-crafted business plan contains the following key components: Executive summary, Company description, Market analysis, Service or product line, Marketing and sales, Financial projections, Funding request, Management team, and Appendix.

A business plan is essential for any startup or expanding company since it serves as a roadmap and allows business owners to track their progress. The business plan assists in the creation of short and long-term goals while also assisting in the development of a cohesive strategy to achieve those goals. The business plan aids in the calculation of a company's potential revenue and financial growth.

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When you give someone an estimate of how long it will take you to complete something, do you pad your estimate? Why or why not?Share a story about getting better at your job due to the learning curve?Are you a "top-down" big picture person, or a "bottom-up" detailed person? Give an example when you planned something.

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It depends on the person and their approach. Some individuals may pad their estimates to account for potential obstacles, while others may not.

About learning curve

Learning curve: Continuous learning and adaptation are essential for improvement in any job. For example, a person working in customer service may learn to handle difficult situations more effectively over time, resulting in better customer satisfaction.

Top-down vs. bottom-up

People can have different approaches to planning. A top-down planner focuses on the overall goal and then breaks it down into smaller tasks, while a bottom-up planner starts with the details and works their way up to the bigger picture.

For instance, a top-down planner might set the overall objective for a project and then outline the necessary steps to achieve it, whereas a bottom-up planner may start by listing all the individual tasks and then organizing them to form the complete plan.

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which of the following is true concerning monopoly? a a monopoly firm typically earns break-even long-run profits. b barriers to entry prevent other firms from entering the industry. c a monopolist is considered a price-taking firm. d a monopoly firm must accept the market price and has no ability to change it. e a monopoly firm has several close competitors in the market.

Answers

Barriers to entry prevent other firms from entering the industry is true concerning monopoly.

Barriers to entry prevent other firms from entering the industry. The correct answer is: B)

A monopoly is a market structure where a single firm has control over the supply of a particular product or service in a market, and there are no close competitors. In a monopoly, the firm has the ability to set prices and quantities of the product or service, and there are significant barriers to entry that prevent other firms from entering the market and competing with the monopoly. This lack of competition allows the monopoly firm to have significant market power and control over the market, leading to potential economic profits.

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Complete Question

Which of the following is true concerning monopoly?

A) A monopoly firm typically earns break-even long-run profits.

B) Barriers to entry prevent other firms from entering the industry.

C) A monopolist is considered a price-taking firm.

D) A monopoly firm must accept the market price and has no ability to change it.

E) A monopoly firm has several close competitors in the market.

Suppose years of schooling, s, is the only variable that affects earnings. The equations for the weekly salaries of male and female workers in 1970 are given by: Wm= 500 + 100s Wi= 300 + 75s On average, men have 14 years of schooling and women have 13 years of schooling. A. What is the average male-female wage differential in the labor market? (2 point) b. How much of this wage differential may be due to discrimination? Note that there are two possible ways to calculate this, so do it both ways and compare the two answers you get. Place your answer in percent terms. (4 points) C. By now, women have surpassed men in educational attainment with women having on average 15 years of education and men having 14. What would the wage gap be, assuming the wage equations remained unchanged? (2 points) d. How much of this gap is unexplained by education? Use just one of the methods and place your answer in percent terms. (2 points) e. What else besides discrimination may contribute to this gap? (2 points)

Answers

A. The average male weekly salary can be calculated by substituting s = 14 into the equation for Wm:

Wm = 500 + 100(14) = 1900

Similarly, the average female weekly salary can be calculated by substituting s = 13 into the equation for Wi:

Wi = 300 + 75(13) = 1275

Therefore, the average male-female wage differential is:

1900 - 1275 = 625

So the average male-female wage differential in the labor market is $625 per week.

B. One way to calculate how much of the wage differential may be due to discrimination is to assume that the only factor affecting earnings is years of schooling, and therefore any difference in earnings between men and women with the same level of education must be due to discrimination. Under this assumption, we can calculate the expected earnings for women if they had the same level of education as men, and compare it to their actual earnings.

The expected earnings for women can be calculated by substituting s = 14 into the equation for Wi:

Wi' = 300 + 75(14) = 1275 + 75 = 1350

This means that if women had the same level of education as men, they would be expected to earn $1350 per week. Therefore, the portion of the wage differential that may be due to discrimination is:

(1900 - 1350) / 1900 = 0.29 or 29%

Another way to calculate how much of the wage differential may be due to discrimination is to compare the actual earnings of men and women with the same level of education. In this case, we can compare the earnings of men with 13 years of schooling to the earnings of women with 13 years of schooling:

Wm(13) = 500 + 100(13) = 1800

Wi(13) = 300 + 75(13) = 1200

The difference in earnings between men and women with the same level of education is:

1800 - 1200 = 600

So the portion of the wage differential that may be due to discrimination is:

(600 / 1800) x 100% = 33.3% or approximately 33%

C. Assuming the wage equations remained unchanged, the average male weekly salary can be calculated by substituting s = 14 into the equation for Wm, and the average female weekly salary can be calculated by substituting s = 15 into the equation for Wi:

Wm = 500 + 100(14) = 1900

Wi = 300 + 75(15) = 1425

Therefore, the wage gap would be:

1900 - 1425 = 475

So the wage gap between men and women would be $475 per week.

D. To calculate how much of the wage gap is unexplained by education, we can compare the actual earnings of men and women with the same level of education. In this case, we can compare the earnings of men with 15 years of schooling to the earnings of women with 15 years of schooling:

Wm(15) = 500 + 100(15) = 2000

Wi(15) = 300 + 75(15) = 1500

The difference in earnings between men and women with the same level of education is:

2000 - 1500 = 500

So the portion of the wage gap that is unexplained by education is:

(500 / 2000) x 100% = 25%

E. Besides discrimination, other factors that may contribute to the wage gap between men and women include differences in work experience, occupation, and industry. Women may also face barriers to career advancement, such as the "glass ceiling" effect, which can limit their opportunities for higher-paying positions. Additionally, women may bear a disproportionate burden of caregiving responsibilities, which can impact their ability to work full-time or pursue higher-paying careers.

when the expansion of an industry leads to higher input prices, that industry experiences responses a external diseconomies of scale.external diseconomies of scale. b internal diseconomies of scale.internal diseconomies of scale. c increasing returns.increasing returns. d diminishing returns.

Answers

The development of an industry prompts higher information costs, the business encounters reactions to external diseconomies of scale.

The option (A) is correct.

The extended interest for inputs that goes with the expansion in industry yield prompts higher info costs. Outer diseconomies insinuate factors that occur unchangeable as far as the affiliation might be concerned. For example, the close-by establishment could mean workers slow down in busy time gridlock or experience the evil impacts of train delays.

This could achieve staff to be late, focused, and subsequently, wasteful. Similarly, the extension of an industry leads to higher info value in the business experience outer diseconomies of scale.

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machinery was purchased for $340,000 on january 1, 2022. freight charges amounted to $14,000 and there was a cost of $40,000 for building a foundation and installing the machinery. it is estimated that the machinery will have a $60,000 salvage value at the end of its 5-year useful life. what is the amount of accumulated depreciation at december 31, 2023 if the straight-line method of depreciation is used? question 7 options: $133,600. $66,800. $57,200. $114,400.

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To determine the accumulated depreciation at December 31, 2023, we need to calculate the annual depreciation expense first. The machinery cost $340,000 and has a $60,000 salvage value, which means the depreciable amount is $280,000 ($340,000 - $60,000).Since the useful life is 5 years,

the annual depreciation expense is $56,000 ($280,000 ÷ 5). Next, we need to determine the depreciation expense for 2022 and 2023. For 2022, the machinery was in use for the full year, so the depreciation expense is $56,000. For 2023, the machinery was in use for only one year, so the depreciation expense is also $56,000.

Therefore, the total accumulated depreciation at December 31, 2023 is $112,000 ($56,000 + $56,000). This represents the total depreciation that has been recorded on the machinery since its purchase on January 1, 2022. It's important to note that the cost of freight and building a foundation and installing the machinery are not included in the depreciable amount. These costs are considered to be part of the initial cost of the machinery and are not subject to depreciation.

In conclusion, the amount of accumulated depreciation at December 31, 2023, using the straight-line method of depreciation, is $112,000.

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Describe 5 business costs that will determine the cost of your products or services.

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5 business costs that will determine the cost of your products or services are raw materials, labor, overhead, marketing and research and development costs.

1. Raw materials and inventory costs: These are the costs associated with purchasing the materials and goods needed to produce your product or provide your service. This includes the cost of the raw materials, as well as any related shipping and storage expenses.

2. Labor costs: These are the wages, salaries, and benefits paid to your employees who are directly involved in the production of your product or the provision of your service. This includes production workers, sales representatives, and customer service staff.

3. Overhead costs: These are the indirect costs of running your business that cannot be directly attributed to the production of your product or service. Examples include rent, utilities, insurance, office supplies, and maintenance expenses.

4. Marketing and advertising costs: These are the expenses associated with promoting your product or service. This can include online advertising, print advertisements, trade shows, and promotional materials.

5. Research and development costs: These are the costs of developing new products or services or improving existing ones. This includes the expenses associated with market research, product testing, and prototype development.

By considering these five business costs, you can determine the cost of your products or services and set appropriate prices to ensure profitability.

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You are in need of a new washer and dryer and the set you would like costs $1,600. You do not have access to enough cash to pay for the washer and dryer in full at time of purchase and are exploring your financing options. You have seen the following advertisement on television. Determine what monthly interest rate (X. XX %) is being charged by the leasing company

Answers

Based on the given information, the monthly payment for the washer and dryer set is $100 for 24 months. This means that the total amount paid over the course of 24 months would be $2,400 ($100 x 24).

To determine the monthly interest rate being charged by the leasing company, we can use the formula for calculating simple interest:

I = P x r x t

Where:
I = Interest
P = Principal (amount financed)
r = Interest rate per period
t = Number of periods

In this case, the principal is $1,600, the interest rate per period is what we need to find, and the number of periods is 24 (months).

Substituting the values into the formula, we get:

Interest = $2,400 - $1,600
Interest = $800

$800 = $1,600 x r x 2
r = $800 / ($1,600 x 2)
r = 0.25 or 25%

Therefore, the monthly interest rate being charged by the leasing company is 25%. This is a very high rate and it would be wise to explore other financing options before committing to this lease. It may be possible to obtain a lower interest rate through a personal loan or credit card with a lower interest rate.

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Why are estimates of bad debts used to record uncollectible amounts of accounts receivable?.

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The reason why estimates of bad debts used to record uncollectible amounts of accounts receivable is to avoids violating the expense recognition ("matching") principle.

What is the essence of estimate uncollectible accounts receivable?

There should be an estimate  since this estimate is usually recorded through an adjusting journal entry at year-end.

Bad debt  serve s as theloans or outstanding balances  which is been considered to be deems uncollectible as far a business is concered in a case whereby a business want ot provide loans and credit to customers, there could be a bad debt .

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regulation is appropriate if group of answer choices market failure exists and the benefits of regulation exceed the costs. government failure exists. it improves market outcomes regardless of costs. an economic profit is being earned.

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Regulation will be appropriate if the market failure exists and the benefits of regulation exceed the costs. Option A is correct.

Regulation will refers to the government intervention in the market through the establishment of rules, standards, and laws that govern economic activity. The purpose of the regulation is to address market failures and to promote socially desirable outcomes, such as consumer protection, public safety, and environmental sustainability.

Regulation can take many forms, including price controls, quality standards, licensing requirements, and restrictions on entry and exit from markets. The effectiveness of regulation depends on its design and implementation, as well as the conditions of the market being regulated.

Hence, A. is the correct option.

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--The given question is incomplete, the complete question is

"Regulation is appropriate if group of answer choices A) market failure exists and the benefits of regulation exceed the costs. B) government failure exists. C) it improves market outcomes regardless of costs. D) an economic profit is being earned."--

Bob wants to sell his home and doesn’t want to pay a fee, but he realizes he might have more prospects if he uses a broker. Bob puts the following ad in the paper, "Large lot, 3 bedrooms, energy features, 121 Gilmore court – Broker’s welcome, will pay 3%. " If several brokers accept Bob’s offer and bring buyers through the property, what type of listing agreement might they have with Bob?

Answers

If several brokers accept Bob's offer and bring buyers through the property, they may have a non-exclusive listing agreement with Bob. In this type of agreement, Bob reserves the right to sell the property himself, without owing a commission to the broker. However, if the broker finds a buyer who ultimately purchases the property, they will be entitled to a commission of 3% as stated in the ad.

The non-exclusive listing agreement allows Bob to work with multiple brokers simultaneously, increasing the chances of finding a buyer. It also gives him the flexibility to sell the property on his own without any obligation to the broker.

It is important to note that in a non-exclusive listing agreement, the broker does not have an exclusive right to market the property, and the homeowner can work with other brokers or even sell the property on their own. The agreement typically outlines the responsibilities of both parties, including the marketing plan, showing arrangements, and commission structure.

In conclusion, by offering a commission to brokers in his ad, Bob is inviting them to bring potential buyers to his property. If a broker brings a buyer who purchases the property, they will be entitled to a commission under a non-exclusive listing agreement. This agreement provides flexibility for the homeowner while still giving the broker a chance to earn a commission.

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1. In what return cases do retailers ban a customer from making returns or closing a customer’s account?
2. Why do you think retailers wouldn’t budge when a customer complains strongly about a return ban or his/her account being closed?

Answers

Retailers may ban a customer from making returns or close their account in cases where they suspect fraudulent activity, abuse of the return policy, or a consistent pattern of excessive returns. This is done to protect the retailer from financial losses and maintain the integrity of their return policies.

Retailers may not budge when a customer complains strongly about a return ban or their account being closed because they have established policies and procedures to address such situations. They need to adhere to these policies to ensure consistency and fairness among all customers, while also minimizing the risk of financial loss due to fraudulent returns or abuse of the return policy. Additionally, they may have conducted an investigation and found sufficient evidence to support their decision, making it difficult to reverse.

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Explain why a country would place a quota on certain imported goods. (site 1)

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A country may place a quota on certain imported goods for various reasons. One of the main reasons is to protect domestic industries from foreign competition.

When imports flood the domestic market, local industries may suffer due to the cheaper prices offered by foreign competitors. A quota can limit the amount of imports, ensuring that domestic industries have a chance to compete and survive.

Another reason why a country may place a quota on certain imported goods is to improve the balance of trade. By limiting imports, a country can reduce its trade deficit and ensure that it is exporting more than it is importing. This can help to strengthen the country's economy and create jobs for its citizens.

In addition, a quota can also be used to address national security concerns. Certain goods may be restricted due to their potential use in military or other sensitive applications. By limiting the amount of such goods that can be imported, a country can safeguard its national security interests.

Overall, a quota on certain imported goods can be seen as a protectionist measure designed to promote the interests of the domestic economy and society.

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wickland company installs a manufacturing machine in its production facility at the beginning of the year at a cost of $117,000. the machine's useful life is estimated to be 10 years, or 130,000 units of product, with a $3,000 salvage value. during its second year, the machine produces 10,400 units of product. determine the machines' second year depreciation under the straight-line method. multiple choice $12,000. $9,120. $11,700. $11,400. $9,360.

Answers

The machines' second year depreciation under the straight-line method is $11,400. Option 4 is correct.

The annual straight-line depreciation expense for the machine can be calculated as follows:

Depreciation expense = (Cost of asset – Salvage value) / Useful lifeDepreciation expense = ($117,000 – $3,000) / 10 = $11,400 per year

Since we are calculating the depreciation expense for the second year, we can simply take $11,400 and use it as the depreciation expense for that year. Therefore, the answer is $11,400.

The straight-line depreciation method assumes that the value of the asset decreases evenly over its useful life. In this case, the annual depreciation expense is calculated by taking the cost of the asset minus its salvage value, and dividing that by the number of years or units of production it is expected to last.

In the second year, the depreciation expense is simply the same amount as in the first year, since the value of the asset is assumed to decrease at a constant rate over its useful life. Hence Option 4 is correct.

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The seattle study found that, after implementation of the minimum wage, the average number of hours worked by low-wage workers fell by __________________, while the average wage of these workers rose by ________________. as a result, the average income of low-wage workers ______________ .

Answers

The Seattle study found that, after the implementation of the minimum wage, the average number of hours worked by low-wage workers fell by 9%, while the average wage of these workers rose by 3%. As a result, the average income of low-wage workers increased by 2%.

The study, which examined the effects of Seattle's minimum wage increase to $13 per hour in 2016, found that the overall impact on low-wage workers was mixed. While some workers saw an increase in pay due to the minimum wage increase, others saw a decrease in hours worked, which offset the wage gains.

It is important to note that the effects of minimum wage increases can vary depending on a variety of factors, including the size of the increase, the industry and location, and the overall state of the economy. Some studies have shown that minimum wage increases can help reduce poverty and increase worker productivity, while others have suggested that they can lead to job loss and reduced work hours.

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Raytheon wishes to use an automated environmental chamber in the manufacture of electronic components. The chamber is to be used for rigorous reliability testing and burn-in. It is installed for $1,400,000 and will have a salvage value of $200,000 after 8 years. Its use will create an opportunity to increase sales by $650,000 per year and will have operating expenses of $250,000 per year. All dollar amounts are expressed in real dollars. Depreciation follows MACRS 5-year property, taxes are 25%, the real after-tax MARR is 10%, and inflation is 4. 2%. Determine the actual after-tax cash flows for each year

Answers

The actual after-tax cash flows for each year can be calculated using the following method.

First, calculate the depreciation expenses for the environmental chamber using the MACRS 5-year property depreciation schedule. Subtract this from the purchase price to get the net cost of the chamber. Then, multiply the net cost by the tax rate (25%) to get the total tax expense.

Next, calculate the net sales from the increased sales opportunity and subtract the operating expenses from this number to get the net income. Finally, subtract the tax expense from the net income to get the after-tax income. Add this amount to the salvage value to get the total after-tax cash flow for each year.

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Which step of the six sigma dmaic procedure monitors the process to make sure high performance levels are maintained

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The step of the Six Sigma DMAIC (Define, Measure, Analyze, Improve, Control) procedure that monitors the process to ensure high performance levels are maintained is the Control step.

Once the improvements have been made and the process is performing at the desired level, it is important to ensure that the changes are sustained over time. The Control step involves putting measures in place to monitor the process and ensure that it continues to meet the desired level of performance.

This step also involves creating a plan for responding to any issues that arise and making adjustments as necessary. By monitoring the process and making any necessary adjustments, the organization can maintain the improvements that were made and continue to achieve high levels of performance over the long term.

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Money earns ________

Answers

Answer:

money earns mia kha... I mean. interest

the order-taking process should be , , and so that customers do not waste time and endure unnecessary mental or physical effort. short; curt; abrupt simple; slow; effortful short; sweet; ineffective polite; fast; accurate

Answers

The order-taking process should be polite, fast, and accurate so that customers do not waste time and and endure unnecessary mental or physical effort. So, correct option is D.

Customers expect a seamless and hassle-free ordering experience, and any unnecessary steps or delays can lead to frustration and dissatisfaction.

A short order-taking process means that the steps involved in placing an order should be minimal, with the fewest possible clicks or actions required. A simple process means that the customer should not have to jump through hoops or navigate a complex system to place an order. The process should be easy to understand and follow.

Efficiency is crucial, as customers want to receive their orders in a timely manner. The order-taking process should be designed to minimize wait times and ensure accuracy.

Using language that is polite and respectful is also important in the order-taking process. The order taker should be trained to speak in a friendly and helpful manner, and to ensure accuracy by repeating the order back to the customer.

So, correct option is D.

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You are a manufacturer of casual shoes for women, and you believe that a good market exists for your product line in Canada. What information do you need in order to be prepared to make the right decision on the most appropriate distribution channels through which to sell your product?

Answers

To make the right decision on the most appropriate distribution channels for your casual women's shoes in Canada, you need these information: market research, competitors analysis, distribution cost, Local regulations and requirements and Infrastructure.

The information to make the right decision on the most appropriate distribution channels

1. Market research: Understand the target customer demographics, preferences, and purchasing habits in and Canada. This will help you identify the best channels to reach your potential buyers.

2. Competitor analysis: Study the distribution channels used by your competitors in the Canadian market. This will give you insights on the most effective channels and potential gaps you can fill.

3. Distribution costs: Analyze the costs associated with different distribution channels, such as setting up a physical store, selling through e-commerce platforms, or partnering with local retailers.

4. Local regulations and requirements: Research any legal requirements and regulations for selling products in Canada, including import/export rules, taxes, and product safety standards.

5. Infrastructure: Assess the logistics infrastructure in Canada, such as transportation networks and warehousing facilities, to determine the feasibility and efficiency of various distribution channels.

By gathering this information, you can make an informed decision on the most appropriate distribution channels for your casual women's shoes in the Canadian market.

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3. Explain what Ross chose to do when his tour in New York came to an end

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Ross chose to return to his hometown in Texas after his tour in New York came to an end.

He had been away from home for quite some time and was eager to be reunited with his family and friends.

Additionally, Ross had gained valuable experience during his time in New York and was excited to apply his new skills and knowledge to his work back home.

Ross was grateful for the opportunity to work in New York but ultimately decided that being close to his loved ones and continuing his career in Texas was the best decision for him.

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Your portfolio has provided you with returns of 11.4 percent, 6.2 percent, −.7 percent, and 14.6 percent over the past four years, respectively. what is the geometric average return for this period?

Answers

The geometric average return for the given period is 10.22%.

To calculate the geometric average return for the given period, we need to use the following formula:

Geometric average return =  [tex][(1 + R1) * (1 + R2) * (1 + R3) * (1 + R4)] ^{(1/4)-1}[/tex]

Where R1, R2, R3, and R4 are the returns for the four years.

Plugging in the values, we get:

Geometric average return = [tex][(1 + 0.114) * (1 + 0.062) * (1 - 0.007) * (1 + 0.146)] ^ {(1/4)-1}[/tex]
= [tex][1.114 * 1.062 * 0.993 * 1.146] ^ {(1/4) - 1}[/tex]
= [tex]1.2925 ^ {0.25 - 1}[/tex]
= 0.1022 or 10.22%

Therefore, the geometric average return for the given period is 10.22%.

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Darrell owns a parcel of land that he purchased by obtaining a loan from the First National Bank, and the loan has not been paid off yet. Darrell agrees to sell the land to Paul for $50,000. Darrell and Paul together go to the First National Bank to discuss the sale and purchase with the banker. Darrell, Paul, and the banker sign an agreement stating that Paul will assume the mortgage and that Darrell will be discharged from all further liability on the mortgage. In this case: Group of answer choices the bank is a third party donee beneficiary. Darrell is a third party beneficiary of the agreement between Paul and the bank. The bank can collect from Darrell if Paul defaults. The agreement among the three is a novation

Answers

In this scenario, Darrell owns a parcel of land that he purchased by obtaining a loan from First National Bank.

He agrees to sell the land to Paul for $50,000, and they both go to the bank to discuss the sale and purchase. They sign an agreement with the banker that Paul will assume the mortgage and Darrell will be discharged from all further liability on the mortgage.

This agreement between the three parties is called a novation. It is a legal concept that allows for the substitution of one party in a contract with another, effectively releasing the original party from all obligations and transferring them to the new party.

In this case, Paul is assuming the mortgage from Darrell, effectively becoming the new borrower. Darrell is being discharged from all further liability on the mortgage, which means that he will no longer be responsible for any payments or defaults. The bank is not a third party donee beneficiary nor is Darrell a third party beneficiary of the agreement between Paul and the bank. Therefore, the bank cannot collect from Darrell if Paul defaults as he is no longer liable. The correct option is Darrell owns a parcel of land that he purchased by obtaining a loan from First National Bank.

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Born On The 4th Of Supply Industrial Goods paid a quarterly dividend of $3. 5 per share last quarter. Today, the company announced that future dividends will be increasing by 0. 6% quarterly. If you require a 8. 5% annual rate of return, how much, to the nearest cent, are you willing to pay to purchase one share of this stock today?

Answers

Based on the constant growth model, the value of one share of stock of Born On The 4th Of Supply Industrial Goods with a quarterly dividend of $3.5 and a 0.6% quarterly dividend increase, with an 8.5% annual rate of return requirement, would be $44.94.

To calculate the value of a share of stock using the dividend discount model, we can use the formula:

V = D / (r - g)

where:

V = the value of the stock

D = the expected future dividend

r = the required rate of return

g = the expected growth rate of the dividend

In this case, the current dividend is $3.5 per share, and the quarterly growth rate is 0.6%. We can convert this to an annual growth rate by multiplying by 4:

g = 4 * 0.6% = 2.4%

The required rate of return is 8.5%. We can convert this to a quarterly rate by dividing by 4:

r = 8.5% / 4 = 2.125%

Now we can use the formula to calculate the value of the stock:

V = $3.5 / (2.125% - 2.4%) = $3.5 / (-0.275%) = -$1,272.73

This negative value doesn't make sense, so we need to check our calculations. The problem is that the growth rate is higher than the required rate of return, which means the formula doesn't work in this case. When the growth rate is higher than the required rate of return, we need to use the constant growth model instead:

V = D1 / (r - g)

where:

D1 = the next expected dividend

g = the expected growth rate of the dividend

r = the required rate of return - the growth rate

To use this model, we need to calculate the next expected dividend. To do this, we can multiply the current dividend by (1 + g) to get the next quarter's dividend:

D1 = $3.5 * (1 + 0.6%) = $3.522

Now we can use the constant growth model to calculate the value of the stock:

V = $3.522 / (8.5% - 0.6%) = $44.94

Therefore, you would be willing to pay $44.94 to purchase one share of this stock today.

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Most courts hold that joint ventures operate under the same legal principles as partnerships except:

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Most courts hold that joint ventures operate under the same legal principles as partnerships except that joint ventures are typically formed for a specific business purpose or project, whereas partnerships are often formed for ongoing business operations.

Additionally, joint ventures may have a more limited scope of authority and responsibility compared to partnerships, and may not have the same fiduciary duties owed to each other as partners in a traditional partnership.

However, the specific legal treatment of joint ventures can vary depending on the jurisdiction and the specific terms of the agreement between the parties.

Joint ventures and partnerships are two types of business relationships that share many similarities. Both involve two or more individuals or entities coming together for a specific business purpose, and both typically involve shared profits and losses. However, there are some important differences between the two.

Joint ventures may have a more limited scope of activities and may be dissolved once the project is completed.

Another key difference between joint ventures and partnerships is the level of control and management exercised by each party.

In a partnership, all partners typically have equal rights to participate in management and decision-making, while in a joint venture, the parties may agree to assign specific responsibilities and decision-making authority to one or more parties.

In addition, joint ventures may be subject to different tax treatment than partnerships, depending on the specific structure and purpose of the venture.

Overall, while joint ventures and partnerships share many similarities, the key difference lies in their intended scope and duration. Joint ventures are typically formed for a specific project or purpose, while partnerships are intended to be ongoing relationships.

As a result, joint ventures may operate under slightly different legal principles and may have different management structures and tax implications than partnerships.

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what were the advantages and disadvantages to ikea of working collaboratively with other companies and ngos to improve sustainability in its cotton supply chain?

Answers

Working cooperatively with other businesses and non-profit organisations for sustainability in the cotton supply chain for IKEA has benefits such as enhanced credibility, sharing of resources and experience, and potential cost savings.

What competitive advantage does IKEA's supply chain possess?

A crucial element of IKEA's supply chain strategy is its approach to international sourcing. This entails sourcing products from a variety of nations, including the US, Europe, and Asia. As a result, IKEA can access a wider variety of goods at reduced prices, which aids in its ability to compete in the retail industry.

Why does IKEA value sustainability?

Through cooperation with partners, coworkers, and other stakeholders, we are taking aggressive steps towards a more sustainable future to address the challenges of unsustainable consumerism, climate change, and increasing inequality.

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