PLEASE, HELPPPPPPPPPPPPPPPPPPPPPPPP!!!!!!!!! I NEED THIS NOW, IT HAS TO BE 100 WORDS, PLEASE HELP. I WILL GIVE BRAINLEST AND 5 STAR RATING AND THANKS!!!



Using the information learned in Unit 4, create a company, including the creation of a product or service.


Next, create the advertising for that product or service to reach a target market. Advertising can include a flyer, brochure, commercial, video, website, etc. Make sure you are advertising to a target market.


Finally, explain how you will use the elements of a marketing mix. Remember if you create a business that is an industry you need to use the 4P's (product, price, place, and promotion). If you choose to create a service business, you need to use the 7P's (product, price, place, promotion, people, process, and physical)

Answers

Answer 1

We have created a company called "FreshBites" that offers a subscription-based meal kit service delivering fresh and healthy meals to busy individuals and families.

FreshBites aims to target health-conscious individuals and families who value convenience without compromising on nutritious meals. The advertising campaign will include a combination of digital marketing strategies, such as social media ads, targeted email campaigns, and a visually appealing and user-friendly website showcasing the diverse menu options and customizable meal plans.

Partnerships with fitness influencers and health bloggers will help reach the target market. The marketing mix for FreshBites will encompass the 7P's, including product (meal kits), price (subscription plans at competitive prices), place (nationwide delivery service), promotion (digital advertising and influencer collaborations), people (knowledgeable customer service), process (seamless ordering and delivery process), and physical (high-quality ingredients and sustainable packaging).

This comprehensive approach will ensure effective marketing and customer satisfaction for FreshBites.

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Related Questions

Wheel rims, tires, and hubs are major components making up part of the axle end or, what the trucking industry calls the wheel____________.

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Wheel rims, tires, and hubs are major components making up part of the axle end or, what the trucking industry calls the wheel end.

Wheel rims, tires, and hubs are major components of the wheel end, which is part of a vehicle's axle that supports the wheel and connects it to the vehicle's suspension system. The wheel end is responsible for bearing the weight of the vehicle, transmitting power to the wheels, and allowing the wheels to rotate smoothly.

Proper maintenance and repair of the wheel end components is crucial for ensuring the safe and efficient operation of a vehicle. Regular inspection and replacement of worn or damaged wheel end components can help prevent road accidents and breakdowns on the road.

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Describe the type of targeting that allows advertisers to reach customers at the right moment along with how it works.

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The type of targeting that allows advertisers to reach customers at the right moment is called "real-time targeting." It is a form of digital advertising that uses data to serve ads to consumers in real-time.

Real-time targeting works by collecting data from various sources, such as a user's browsing history, search queries, and social media activity. This data is then used to build a profile of the user, which advertisers can use to deliver relevant ads in real-time. For example, if a user is browsing for flights to New York, they may see an ad for a hotel in New York in real-time.

Real-time targeting is effective because it allows advertisers to reach customers at the moment when they are most likely to engage with an ad. By delivering ads in real-time based on a user's behavior, advertisers can increase the relevance and effectiveness of their campaigns.

Real-time targeting can also help advertisers to optimize their campaigns based on real-time data, making it a powerful tool for digital marketers. However, it is important to note that real-time targeting must be used responsibly and with consideration for user privacy.

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Salma is taking university entrance exams. Because the number of students that will enter the university is limited and students with better results will be accepted in the university, the exam is competitive. Salma notices that her friend Mariam, who is sitting next to her, cheated by looking at two answers in her exam paper. She faces an ethical dilemma: should she report her friend's cheating, or let it go? If Salma uses Virtue Ethics to solve this ethical dilemma, which of the following is true? * O Salma will report Mariam's cheating if she values the virtue of fairness over loyalty O Salma will report Mariam's cheating only if she thinks Mariam will perform better than her in the exam O Salma will report Mariam's cheating if she values the virtue of loyalty over fairness O Salma will not report Mariam's cheating since she thinks Mariam will not perform better than her in the exam

Answers

If Salma uses Virtue Ethics to solve this ethical dilemma, it is true that "Salma will report Mariam's cheating if she values the virtue of fairness over loyalty" (option C).

Virtue Ethics is an approach that emphasizes the development of moral character and is based on the idea that a person who has good moral character will make moral choices. It's focused on developing virtues, such as courage, compassion, and honesty, as a way to become a better person and to create a better society.

Mariam cheated during the entrance exam, and Salma witnessed it. Salma faces an ethical dilemma since reporting her friend's cheating would violate her loyalty and friendship to Mariam. Salma must choose between what is right and what is loyal. If Salma uses Virtue Ethics to solve this ethical dilemma, it is true that Salma will report Mariam's cheating if she values the virtue of fairness over loyalty.

Answer is option C.

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Distribution channel expert Bernard LaLonde once said, "American management's philosophy has been: If you're smart enough to make it, aggressive enough to sell it—then any dummy can get it there. Now we're paying for [that philosophy]. " Briefly discuss the distribution problems managers with this philosophy likely encounter

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Managerswith this philosophy deal with a variety of distribution concerns, including ineffective routes for distribution, subpar customer service, a lack of adaptation and flexibility, a constrained geographic reach, and problems with inventory management, to mention a few.

1. Ineffective distribution channels: Managers that adhere to this ideology might not spend enough time and effort optimising their distribution channels, which could result in ineffectiveness and increased expenses.

2. Subpar customer service: A lack of distribution-related attention may lead to late delivery, harmed goods, and a generally subpar customer experience, all of which can have a negative effect on customer satisfaction and brand reputation.

3. A lack of adaptability and flexibility: Managers who adhere to this attitude might not be able to modify their distribution plans in response to shifting market dynamics, which would make it difficult to satisfy client needs and maintain competitiveness.

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List 3 factors that are impediment to traditional barter system

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Hi! The traditional barter system faces several impediments that hinder its efficiency as a means of exchange. Three key factors include the lack of a common measure of value, the double coincidence of wants, and difficulties in storing value.

First, the barter system lacks a common measure of value, which makes it challenging to determine the value of goods and services being exchanged. Without a universally accepted unit of value, such as money, individuals must negotiate and agree on the worth of items being traded, leading to inconsistent and subjective valuations.

Second, the barter system relies on the double coincidence of wants, meaning both parties in a transaction must have what the other wants in the exact proportion required. This can be difficult to achieve, as individuals' needs and preferences differ. The need for a double coincidence of wants limits the number of successful exchanges and makes the barter system less efficient than a monetary economy.

Lastly, storing value is a challenge in the barter system. Unlike money, which can be easily stored and transported, physical goods may be perishable, bulky, or require special care, making them impractical for saving or accumulating wealth. This hinders long-term planning and investment, further limiting the effectiveness of the barter system.

In summary, the traditional barter system faces significant impediments, such as the lack of a common measure of value, the need for a double coincidence of wants, and difficulties in storing value, which limit its efficiency as a means of exchange.

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Discuss the factors that may affect the choice of strategy 20marks.please provide an answer that warrants the marks

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The choice of strategy is influenced by various factors such as organizational objectives, internal resources and capabilities, external environment, industry structure, risk and uncertainty, and time horizon.

There are several factors that may affect the choice of strategy for a business or organization. These factors include:

1. Organizational objectives: The choice of strategy should be in line with the organization's overall goals and objectives. This ensures that the chosen strategy is effective in achieving the desired outcomes.

2. Internal resources and capabilities: A company's resources, such as financial assets, human resources, and technological capabilities, can greatly influence the choice of strategy. The chosen strategy should be aligned with the organization's strengths and limitations.

3. External environment: Factors such as competition, market conditions, regulatory environment, and socio-political factors can impact the choice of strategy. Companies must adapt their strategies to respond to changes in the external environment effectively.

4. Industry structure: The structure of the industry, including factors such as the level of competition and the bargaining power of suppliers and buyers, can also affect the choice of strategy. Companies must choose strategies that align with the dynamics of their industry.

5. Risk and uncertainty: The level of risk and uncertainty in the market can influence the choice of strategy. A company may choose a more conservative approach in a highly uncertain market, while it may opt for an aggressive strategy in a stable and predictable market.

6. Time horizon: The timeframe for achieving the desired results is another factor that influences the choice of strategy. A short-term focus may lead to the selection of strategies that prioritize immediate gains, while a long-term perspective may require a more gradual approach to growth and development.

In conclusion, factors such as organizational objectives, internal resources and capabilities, external environment, industry structure, risk and uncertainty, and time horizon influences a business's choice of strategy. It is crucial for businesses to consider these factors while making strategic decisions to ensure that they effectively achieve their goals.

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Answer:

-cause and effect

-topical

-sequential

Explanation:

I made it up

jk I just got it right (odyssey ware)

T 8 Quiz Dante is making his first purchase using a credit. He asks his friend Tay to educate him about using credit. What is the BEST advice Tay can give him? OA Be prepared to pay back the original amount and additional interest. OB. Make all of your purchases using credit once you have it. You have as much time as you need to pay back your debts. O D. Credit purchases ahways cost less than paying with cash. Reset Next​

Answers

The BEST advice Tay can give Dante about using credit is; "Be prepared to pay back the original amount and additional interest." Option A is correct.

Credit refers to the ability to borrow money or obtain goods or services with the promise to pay for them at a later time.

This advice is important because when you use credit, you are borrowing money that you will need to repay with interest. Failing to pay back your debts on time can result in high-interest charges, late fees, and damage to your credit score. Therefore, it is important to use credit responsibly and only make purchases that you can afford to pay back in a timely manner.

Hence, A. is the correct option.

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Indexing and filing are complementary to each other justify​

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Indexing and filing are complementary to each other because indexing provides a systematic method of categorizing and organizing information, while filing provides a physical location for storing that information.

Indexing is the process of identifying and assigning descriptive labels or codes to items of information to facilitate their retrieval. Filing, on the other hand, is the physical arrangement of those items of information in a designated location.

Indexing helps to create a logical structure for organizing information, enabling users to easily locate and retrieve specific items of information. For example, indexing can be used to categorize information based on subject, author, date, or any other relevant attribute. This helps to ensure that related information is grouped together and can be easily accessed when needed.

Filing, in turn, provides a physical location for storing the information that has been indexed. Once items of information have been indexed, they need to be filed in a way that makes them easily accessible. Filing systems can be organized in a variety of ways, such as alphabetical, numerical, chronological, or subject-based. The choice of filing system will depend on the nature of the information being filed and the needs of the users.

Together, indexing and filing provide a comprehensive system for managing and organizing information. Indexing ensures that information is categorized and labeled in a logical manner, while filing provides a physical location for storing that information.

Without indexing, filing can become chaotic, with information scattered randomly throughout the filing system. Without filing, indexing can be of little use, as there would be no organized system for storing and accessing the information that has been indexed. Therefore, indexing and filing are complementary to each other, working together to create an efficient and effective system for managing and organizing information.

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Discuss with any one you know in practical organization and get examples on the following concepts you learnt in the five chapters of this course

1. How the organization values or understands the importance of communication for its success?

2. What are the perceived Barriers to Communication in this organization?

3. What are the main (minimum 2 maximum 3) communication principles followed in the organization?

4. Get examples of downward, upward and horizontal communication in the organization 5. Is there public relation department in the organization? What is its function?

The way how!

Just get someone who works in a given bigger organization and as him/her to give you examples on what you have learnt here, and clearly report the examples you got from him with a maximum

Answers

In the organization I discussed with, communication is highly valued as it ensures smooth operations and effective collaboration among team members.

They recognize that clear communication is essential for the success of the company. Some perceived barriers to communication in this organization include language differences, cultural barriers, and technological challenges. These barriers can sometimes create misunderstandings or misinterpretations of messages.

The organization follows three main communication principles: clarity, active listening, and timely feedback. These principles promote efficient communication by ensuring that messages are clear, employees listen attentively to each other, and feedback is provided promptly.

Examples of downward communication include management sending directives to employees, while upward communication may involve employees submitting suggestions or concerns to management. Horizontal communication occurs among peers, such as coworkers discussing projects or sharing information.

The organization has a public relations department, responsible for managing the company's image and reputation. This includes developing and maintaining relationships with media, stakeholders, and the public, as well as creating and distributing press releases and other promotional materials.

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Rachel bought 1,500 shares of cawh consolidated bank at a price of $24. 85 each. As the price climbed, she sold off parts of her holdings. She sold off 250 shares at $28. 32 apiece, she sold 800 of her shares at $33. 60 apiece, and she sold off the remainder of her shares at $39. 94 apiece. If rachel’s broker charges a commission of $65 per $1,000 of stock bought or sold, how much profit did rachel make, to the nearest dollar?.

Answers

Rachel made a profit of approximately $8,859 from buying and selling her shares in Cawh Consolidated Bank.

To calculate Rachel's profit from buying and selling 1,500 shares of Cawh Consolidated Bank, we'll follow these steps:
1. Calculate the initial cost of buying 1,500 shares at $24.85 each: 1,500 * $24.85 = $37,275.
2. Calculate the commission paid for buying the shares: ($37,275 / $1,000) * $65 = $2,422.875 (rounded to $2,423).
3. Calculate the revenue from selling the shares:
  a. 250 shares at $28.32 each: 250 * $28.32 = $7,080.
  b. 800 shares at $33.60 each: 800 * $33.60 = $26,880.
  c. 450 shares at $39.94 each (since she sold all her shares): 450 * $39.94 = $17,973.


4. Calculate the total revenue from selling the shares: $7,080 + $26,880 + $17,973 = $51,933.
5. Calculate the commission paid for selling the shares: ($51,933 / $1,000) * $65 = $3,375.645 (rounded to $3,376).
6. Calculate the net profit by subtracting the initial cost, buying commission, and selling commission from the total revenue: $51,933 - $37,275 - $2,423 - $3,376 = $8,859.
So, Rachel made a profit of approximately $8,859.

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at which financial institution can you open a savings account?
a. check casher/currency exchange
b. payday lender
c. credit union
d. you can open a savings account at all of these.

Answers

Answer:

C

Explanation:

Because the other options are check cashing or lending places.

The extent to which you feel positive or negative about various aspects of your work is called job ______

Answers

The extent to which you feel positive or negative about various aspects of your work is called job satisfaction.

Job satisfaction is a term used to describe the degree to which an individual is content with their job.

It refers to the extent to which an individual feels positive or negative about various aspects of their work, such as pay, benefits, workload, relationships with colleagues and supervisors, opportunities for growth and development, and overall work environment.

Job satisfaction can be influenced by a variety of factors, including the individual's personal values, the company culture, and the nature of the work itself.

Research has shown that job satisfaction is linked to a number of important outcomes. Individuals who are satisfied with their jobs are more likely to be motivated, engaged, and committed to their work. They are also less likely to experience burnout or turnover, which can be costly for both individuals and organizations.

Conversely, individuals who are dissatisfied with their jobs may experience a range of negative outcomes, including stress, anxiety, and depression. They may also be more likely to engage in counterproductive work behaviours, such as absenteeism, tardiness, or even sabotage.

Given the important role that job satisfaction plays in individual well-being and organizational success, many employers have begun to focus on creating positive work environments that promote job satisfaction.

This can involve a range of strategies, including providing competitive compensation and benefits, fostering a positive company culture, offering opportunities for growth and development, and ensuring that employees have the resources they need to do their jobs effectively.

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Unstable export markets, worsening terms of trade, and limited access to the markets in advanced countries are just a few of the problems that have plagued developing nations in africa, asia, latin america, and the middle east. for example, developing countries have worsening terms of trade because of _________________--. developing nations have formed international commodity agreements (icas) between leading producing and consuming nations of commodities. to promote stability in commodity markets, icas have relied on production and export controls, buffer stocks, and multilateral contracts. for example, setting a minimum price for importers may help to ____________.

Answers

Developing countries have worsening terms of trade because of declining commodity prices, fluctuations in exchange rates, and protectionist policies in developed countries.

Setting a minimum price for importers may help to ensure that producers receive a fair price for their commodities and prevent them from being exploited by buyers who may use their market power to drive down prices.

International commodity agreements (ICAs) have been used as a policy tool to address the challenges faced by developing countries in international trade since the 1950s. These agreements are designed to promote cooperation between producing and consuming countries, regulate supply and demand, and stabilize prices in commodity markets.

ICAs are typically formed between a group of leading producers and consumers of a specific commodity. For example, the International Coffee Agreement is an ICA that includes over 70 coffee producing and consuming countries. These agreements are designed to provide benefits for both producers and consumers. Producers benefit from more stable prices and increased revenue for their exports, while consumers benefit from greater supply security and more predictable prices.

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(l.o. 1) on january 1, 2020, alton co. purchased $100,000 of 10%, olson, inc. bonds with interest payable on july 1 and january 1 for $107,000. on february 1, 2020, alton purchased $100,000 of 12%, ehrlich co. bonds with interest payable on august 1 and february 1 for $95,000. alton classifies the olson and ehrlich bonds as trading debt securities. on december 31, 2020, the fair value of the olson and ehrlich bonds are $110,000 and $94,000, respectively. at december, 2020, what adjusting entry should be made by alton

Answers

The adjustment entry for Alton at December 31, 2020, should reflect the change in the fair value of the trading debt securities, which are the Olson and Ehrlich bonds.

For the Olson bonds, the fair value has increased from $107,000 to $110,000. Therefore, Alton has an unrealized gain of $3,000 ($110,000 - $107,000).

For the Ehrlich bonds, the fair value has decreased from $95,000 to $94,000. Therefore, Alton has an unrealized loss of $1,000 ($94,000 - $95,000).

The adjusting entry for Alton at December 31, 2020, would be:

Unrealized Gain/Loss on Trading Debt Securities           $2,000

    Olson Bonds                                                            $3,000

    Ehrlich Bonds                                                          ($1,000)

This entry increases the unrealized gain on the Olson bonds and decreases the unrealized loss on the Ehrlich bonds. The net effect is an increase in Alton's net income by $2,000.

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A company whose parent operations ate baded in kenya hg as establish a branch in Tanzania wjose financial year ends the same year as the calendar year. The expenses paid at the branch during the year amounted to Tsh 18,000,000. The following information is also available at the branch. (1) accrued expenses amounted to Tsh 15,000,000 (2) prepaid expenses amounted to Tsh 18,000,000. (3) non- current assets of Tsh 120,000,000. The exchange rate available in are l: historic rate( 1Ksh,= Tsh15), closing rate( 1Ksh=Tsh10), average rate ( 1Ksh=Tsh12), actual rate(1Ksh=Tsh11. 82). Compute the amount of expenses in the currency of the head office ( use presentation method)​

Answers

To compute the amount of expenses in the currency of the head office, we need to convert the Tanzanian shilling amounts to Kenyan shillings using the appropriate exchange rate. If the company uses the historical rate method, expenses will be converted at the exchange rate prevailing at the time the transactions occur.

Using the historical rate method, the expenses paid at the branch amount to Ksh 2,700,000 (18,000,000/15). The accrued expenses of Tsh 15,000,000 would be converted at the historical rate of 1Ksh=Tsh15, giving a Kenyan shilling equivalent of Ksh 1,000,000. The prepaid expenses of Tsh 18,000,000 would also be converted at the historical rate, giving a Kenyan shilling equivalent of Ksh 1,200,000. The non-current assets of Tsh 120,000,000 would be converted at the historical rate, giving a Kenyan shilling equivalent of Ksh 8,000,000.
Using the closing rate method, the expenses paid at the branch would be converted at the closing rate of 1Ksh=Tsh10, giving a Kenyan shilling equivalent of Ksh 1,800,000. The accrued expenses of Tsh 15,000,000 and prepaid expenses of Tsh 18,000,000 would also be converted at the closing rate, giving Kenyan shilling equivalents of Ksh 1,500,000 and Ksh 1,800,000 respectively. The non-current assets of Tsh 120,000,000 would be converted at the closing rate, giving a Kenyan shilling equivalent of Ksh 12,000,000. Using the average rate method, the expenses paid at the branch would be converted at the average rate of 1Ksh=Tsh12, giving a Kenyan shilling equivalent of Ksh 2,160,000. The accrued expenses of Tsh 15,000,000 and prepaid expenses of Tsh 18,000,000 would also be converted at the average rate, giving Kenyan shilling equivalents of Ksh 1,250,000 and Ksh 1,500,000 respectively. The non-current assets of Tsh 120,000,000 would be converted at the average rate, giving a Kenyan shilling equivalent of Ksh 10,000,000.
Using the actual rate method, the expenses paid at the branch would be converted at the actual rate of 1Ksh=Tsh11.82, giving a Kenyan shilling equivalent of Ksh 2,043,600. The accrued expenses of Tsh 15,000,000 and prepaid expenses of Tsh 18,000,000 would also be converted at the actual rate, giving Kenyan shilling equivalents of Ksh 1,267,857 and Ksh 1,523,810 respectively. The non-current assets of Tsh 120,000,000 would be converted at the actual rate, giving a Kenyan shilling equivalent of Ksh 10,071,429.In conclusion, the amount of expenses in the currency of the head office will depend on the accounting policy of the company and the exchange rate used. The presentation method used will determine the amount of expenses converted at historical, closing, average, or actual rates.

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The town of cumberland levied property taxes in the amount of $1,600,000. the town estimates that 1 percent will be uncollectible. the journal entry to record the tax levy in the governmental activities general journal will include: the town of cumberland levied property taxes in the amount of $1,600,000. the town estimates that 1 percent will be uncollectible. the journal entry to record the tax levy in the governmental activities general journal will include: a debit to allowance for uncollectible current taxes for $16,000. a debit to estimated revenues for $1,600,000. a credit to revenues for $1,584,000. a debit to cash for $1,584,000.

Answers

The journal entry to record the tax levy in the governmental activities general journal will include a debit to estimated revenues for $1,600,000 and a credit to revenues for $1,584,000.

The journal entry to record the tax levy in the governmental activities general journal for the town of Cumberland would be as follows:

Debit: Estimated Revenues $1,600,000
Credit: Revenues $1,584,000
Debit: Allowance for Uncollectible Current Taxes $16,000

This entry reflects the $1,600,000 property tax levy, with an estimated 1% ($16,000) being uncollectible. The credit to Revenues reflects the amount expected to be collected, while the debit to Estimated Revenues represents the full amount levied.

Finally, the debit to Allowance for Uncollectible Current Taxes accounts for the estimated amount that will not be collected. No debit to Cash is necessary at this point, as the taxes have not yet been collected.

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Companies use the cycle to evaluate and improve performance.

Answers

Companies often use a performance management cycle to evaluate and improve their employees' performance.

This cycle typically involves several stages, including goal-setting, performance planning, ongoing feedback and coaching, performance evaluation, and recognition and rewards.

During the goal-setting stage, managers work with their employees to set specific, measurable, achievable, relevant, and time-bound (SMART) goals. These goals help employees understand what is expected of them and provide a framework for evaluating their performance.

In the performance planning stage, managers and employees collaborate to create a plan for achieving the goals set in the previous stage. This plan may include specific tasks, deadlines, and milestones.

Throughout the cycle, managers provide ongoing feedback and coaching to their employees. This

feedback helps employees understand how they are performing in relation to their goals and provides opportunities for them to make adjustments as needed.

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the complete question is:

explain how companies use the cycle to evaluate and improve performance?

The following transactions occurred during december 31, 2021, for the microchip company.

a. on october 1, 2021, microchip lent $90,000 to another company. a note was signed with principal and 8% interest to be paid on september 30, 2022.
b. on november 1, 2021, the company paid its landlord $6,000 representing rent for the months of november through january. prepaid rent was debited.
c. on august 1, 2021, collected $12,000 in advance rent from another company that is renting a portion of microchip’s factory. the $12,000 represents one year’s rent and the entire amount was credited to deferred rent revenue.
d. depreciation on office equipment is $4,500 for the year.
e. vacation pay for the year that had been earned by employees but not paid to them or recorded is $8,000. the company records vacation pay as salaries expense.
f. microchip began the year with $2,000 in its asset account, supplies. during the year, $6,500 in supplies were purchased and debited to supplies. at year-end, supplies costing $3,250 remain on hand.

required:
1. if microchip’s accountant employed reversing entries for accruals, prepare the adjusting entries at the end of 2021 for only those entries that would be reversed.
2. prepare the appropriate reversing entries at the beginning of 2022.

Answers

Adjusting and reversing entries for Microchip Company on December 31, 2021. Please find the step-by-step explanations below:

1. Prepare the adjusting entries at the end of 2021 for only those entries that would be reversed:

a. Interest Expense:
Interest = Principal x Rate x Time
Interest = $90,000 x 8% x (3/12) = $1,800

Adjusting Entry:
Debit Interest Expense $1,800
Credit Interest Payable $1,800

e. Vacation Pay:
Adjusting Entry:
Debit Salaries Expense $8,000
Credit Salaries Payable $8,000

f. Supplies:
Supplies used during the year = Beginning balance + Purchased - Ending balance
Supplies used = $2,000 + $6,500 - $3,250 = $5,250

Adjusting Entry:
Debit Supplies Expense $5,250
Credit Supplies $5,250

2. Prepare the appropriate reversing entries at the beginning of 2022:

a. Interest Expense:
Reversing Entry:
Debit Interest Payable $1,800
Credit Interest Expense $1,800

e. Vacation Pay:
Reversing Entry:
Debit Salaries Payable $8,000
Credit Salaries Expense $8,000

f. Supplies:
Reversing Entry:
Debit Supplies $5,250
Credit Supplies Expense $5,250

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at the end of 2022, a $5,000 understatement was discovered in the 2022 ending inventory as reflected in the inventory records. what were the effects of the $5,000 inventory error (before correction) on the year 2022 financial statements?

Answers

The $5,000 understatement in ending inventory would have caused an equal understatement in cost of goods sold (COGS) and an overstatement in gross profit for the year 2022.

This is because COGS is calculated as the beginning inventory plus purchases during the year minus ending inventory. If ending inventory is understated, then COGS is overstated by the same amount. As a result, the net income for the year 2022 would be overstated by $5,000 before the correction of the inventory error.

Additionally, the balance sheet would also be affected as the understated ending inventory would cause an understatement in total assets and retained earnings.

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which of the following statements about andrew carnegie is incorrect? he vertically integrated his company, controlling all steps in manufacturing steel, from mining the coal, iron ore, and other raw materials to selling the finished products made of steel. he learned innovative organizational, accounting, and managerial practices while working for the pennsylvania railroad, which he then applied to steel manufacturing. he believed in paying his workers decent wages in order to build employee loyalty and reduce labor turnover. he sold his carnegie steel company to j. p. morgan's federal steel; this formed u.s. steel, the first billion dollar corporation.

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Andrew Carnegie did pay his workers relatively higher wages than his competitors, his primary motivation was to reduce labor unrest and increase productivity rather than building employee loyalty.

The incorrect statement about Andrew Carnegie is: he believed in paying his workers decent wages in order to build employee loyalty and reduce labor turnover. Andrew Carnegie was a Scottish-American industrialist and philanthropist who played a key role in the expansion of the American steel industry in the late 19th century. He was born in 1835 in Dunfermline, Scotland, and immigrated to the United States with his family in 1848.

After working various jobs, including as a telegraph messenger boy and a bobbin boy in a cotton factory, Carnegie eventually landed a job as a telegraph operator for the Pennsylvania Railroad.

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Identify each of the following​ as: ​(i) part of an expansionary fiscal​ policy, ​(ii) part of a contractionary fiscal​ policy, or ​(iii) not part of fiscal policy. A. The corporate income tax rate is increased. This is ▼ part of an expansionary fiscal policy part of a contractionary fiscal policy not part of fiscal policy. B. Defense spending is increased. This is ▼ part of an expansionary fiscal policy part of a contractionary fiscal policy not part of fiscal policy. C. The Federal Reserve lowers the target for the federal funds rate. This is ▼ part of an expansionary fiscal policy part of a contractionary fiscal policy not part of fiscal policy. D. Families are allowed to deduct all their expenses for daycare from their federal income taxes. This is ▼ part of an expansionary fiscal policy part of a contractionary fiscal policy not part of fiscal policy. E. The individual income tax rate is decreased. This is ▼ part of an expansionary fiscal policy part of a contractionary fiscal policy not part of fiscal policy

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A, D, and E are part of a contractionary fiscal policy, B is Part of an expansionary fiscal policy and C is Not part of a fiscal policy. Fiscal policy refers to the use of government spending and taxation to influence the economy.

An increase in the corporate income tax rate and a decrease in the individual income tax rate are both examples of fiscal policy, as they involve changes in taxation. The former is part of a contractionary fiscal policy, as it is likely to decrease corporate profits and investment and slow down the economy. The latter is part of an expansionary fiscal policy, as it would increase disposable income and consumer spending, and stimulate the economy. Defense spending is also an example of fiscal policy, as it involves government spending, and is part of an expansionary fiscal policy, as it would increase aggregate demand and output.The Federal Reserve lowering the target for the federal funds rate is not an example of fiscal policy, but rather a monetary policy tool, as it involves changes in interest rates and the money supply. Lowering the target rate is part of an expansionary monetary policy, as it can lead to lower borrowing costs and increased investment and spending.Allowing families to deduct all their expenses for daycare from their federal income taxes is an example of fiscal policy, as it involves changes in taxation. This is part of an expansionary fiscal policy, as it would increase disposable income and consumer spending, and stimulate the economy.

Expansionary fiscal policy involves increasing government spending and/or decreasing taxes in order to stimulate economic growth and combat recession. This can lead to an increase in aggregate demand and output and can lead to inflation if the economy is already at full employment.

Contractionary fiscal policy involves decreasing government spending and/or increasing taxes in order to slow down the economy and combat inflation. This can lead to a decrease in aggregate demand and output and can lead to a recession if the economy is already operating below its potential.

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sales revenue is forecasted to grow by 8% next year, forecasted net income is expected to be $35,000, and all current assets and current liabilities vary proportionally with sales. if $40,000 worth of net noncurrent assets are required to be purchased next year, what is the external financing needed? assume that the company does not pay dividends, and that all noncurrent liabilities and equity (except retained earnings) will be the same level as the current year.

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Sales revenue is forecasted to grow by 8% next year, which means that the company's operations are expected to expand. Along with this growth, current assets and current liabilities will also vary proportionally with sales, indicating that the company's working capital needs will increase in line with the revenue growth.

Forecasted net income for the next year is expected to be $35,000. Since the company does not pay dividends, this entire amount will be added to retained earnings, contributing to the company's internal financing capacity.In addition to the growth in working capital, the company will require $40,000 worth of net noncurrent assets to be purchased next year. This capital expenditure is necessary for the company to maintain its operations and support the anticipated growth in sales revenue.

To calculate the external financing needed, we need to consider the company's internal financing capacity (retained earnings) and the additional investments required (net noncurrent assets and the increase in working capital). The formula to calculate the external financing needed is:

External Financing Needed = (Net Noncurrent Assets + Increase in Working Capital) - Retained Earnings
Since all noncurrent liabilities and equity (except retained earnings) will remain at the same level as the current year, the only change in the company's financing structure is the increase in retained earnings.

By applying this formula, you can determine the amount of external financing needed for the company to support its growth and achieve its financial objectives for the next year.

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Ryan, a college student, went to see his hair stylist, melissa. ryan, who had black, curly hair, requested straight, blond hair. melissa told him that she could make those changes, but that there would be significant upkeep involved. melissa made the changes, but ryan did not do the upkeep required. ryan proceeded to falsely claim that melissa did not do what ryan asked her to do, that melissa lied to him, and that melissa was professionally incompetent. ryan made the statements about melissa to friends of his. he also wrote a letter to his college newspaper saying that melissa's shop should be avoided at all costs because melissa was incompetent in fact, melissa was a good hair stylist and enjoyed a good reputation up until the time that ryan started his criticism, melissa threatened to sue ryan for defamation, but ryan told melissa that she could not prevail because she could not prove loss of income. melissa had to admit that while her reputation had been damaged somewhat and she felt embarrassed and humiliated, the damage was primarily among the college population. her income kept increasing from other segments of the community, and she had suffered no net loss. all her appointment times were booked for weeks ahead. which of these apply to the defamation printed in the school newspaper?
a. it is libel but not slander. it is slander but not libel.
b. it is both libel and slander.
c. no tort was committed because the falsehood involved matters of appearance, not business-related matters.
d. no tort was committed because an editorial, not a formal news report, was involved.

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The defamation printed in the newpaper applies to option a. i.e. It is libel but not slander.

Libel refers to written or published false statements that harm a person's reputation, while slander refers to spoken false statements. In this case, Ryan wrote a letter to the college newspaper, which was published and could be read by a wide audience.

Ryan's false statements about Melissa being incompetent and her shop should be avoided at all costs could harm her reputation and business. However, it is important to note that defamation requires not only false statements but also that they are made with the intention of harming someone's reputation.

Melissa would need to prove that Ryan acted with malice in making these statements. Additionally, the fact that Melissa did not suffer any financial losses may impact the damages she can recover in a defamation lawsuit.

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Name Maker is an online company that sells high-end gift wrapping that can have custom slogans or names printed on it, such as the name of a person celebrating a birthday or a couple who is getting married. This made-to-order gift wrapping is priced from $24. 95 to $32. 95 per 12-foot roll. This is an example of

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This is an example of a niche market business that offers personalized products at a premium price.

Name Maker's strategy or specialisation strategy is to differentiate itself from generic gift wrapping options by offering customized, high-quality wrapping paper that appeals to customers who are looking for a unique and thoughtful gift-giving experience.

By focusing on a specific market segment that values personalization and quality, Name Maker is able to charge a premium price for its products and generate a loyal customer base. This is an example of a targeted marketing strategy that aims to meet the needs of a specific group of customers rather than trying to appeal to everyone.

Name Maker's business model relies on offering a wide range of customization options for its gift wrapping products. Customers can choose from a variety of colors, patterns, and font styles to create a unique design that reflects their personal taste and the occasion they are celebrating. The company also offers personalized ribbons, gift tags, and other accessories to complement the custom gift wrap.

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Identify at least 3 health care administration positions and their corresponding responsibilities. Then choose the one that interests you the most. Describe how you will prepare yourself to obtain the skills and abilities needed for the job.

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The 3 health care administration positions and their corresponding responsibilities are Medical Office Administrator,

Hospital Administrator, and Nursing Home Administrator.

1. The Medical Office Administrator (MOA): is a position in the medical field that is responsible for the day-to-day operations of a physician's office or clinic. The MOA is responsible for providing excellent customer service, managing patient files, and communicating with health insurance companies about claims and payments.

2. Hospital Administrator: A Hospital Administrator is responsible for the smooth operation of a hospital or a particular department within a hospital. The administrator must work to ensure that the hospital runs efficiently and meets the needs of both patients and medical staff. The hospital administrator is responsible for developing policies, managing budgets, and leading a team of healthcare professionals.

3. Nursing Home Administrator: A Nursing Home Administrator (NHA) is responsible for the day-to-day operations of a nursing home. The NHA ensures that the facility is clean and well-maintained, that patients receive high-quality care, and that staff members are well-trained and motivated. The NHA is also responsible for managing the budget, ensuring that the facility complies with state and federal regulations, and maintaining a positive relationship with residents and their families. I am most interested in the Medical Office Administrator position. To prepare myself to obtain the skills and abilities needed for the job, I will start by getting a bachelor's degree in Healthcare Administration. I will also enroll in medical billing and coding courses to understand the ins and outs of the billing process. I will seek an internship or shadow a Medical Office Administrator to gain hands-on experience.

Additionally, I will read books and attend seminars on medical office management to stay up-to-date on the latest trends and practices.

Three healthcare administration positions and their corresponding responsibilities are:

1. Hospital Administrator: They oversee the day-to-day operations of a hospital, ensuring that it runs efficiently and effectively. Responsibilities include strategic planning, budget management, and staff supervision.

2. Health Services Manager: They plan, direct, and coordinate medical and health services for a specific department or facility. Responsibilities include creating and implementing policies, managing staff, and ensuring compliance with regulations.

3. Healthcare Consultant: They provide expert advice and support to healthcare organizations, helping them improve their services and overall performance. Responsibilities include conducting research, analyzing data, and recommending solutions.

The position that interests me the most is a Health Services Manager. To prepare myself for this role, I will obtain a bachelor's degree in health administration, followed by a master's degree in health services management or a related field. I will also gain experience in the healthcare industry through internships and entry-level positions to familiarize myself with the processes and challenges of managing healthcare services. Additionally, I will pursue certifications in healthcare management, such as the Certified Health Care Manager (CHCM) credential, to further enhance my skills and abilities in this field.

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from past data, alice is projecting an expected monthly return for microsoft stock of 1%. the expected monthly standard deviation of return is 8.65% and the monthly risk-free rate 0.15%. when annualizing these metrics, what annual sharpe ratio do you expect to achieve on an investment in microsoft stock?

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We expect to achieve an annual Sharpe ratio of 0.3406 on an investment in Microsoft stock based on the given projections.

The Sharpe ratio is a measure of the excess return (i.e., return above the risk-free rate) per unit of risk (i.e., standard deviation). To analyze the monthly Sharpe ratio, we multiply the monthly Sharpe ratio by the square root of 12 (i.e., the number of months in a year) to get the annual Sharpe ratio.

The monthly excess return of Microsoft stock is the expected monthly return minus the monthly risk-free rate;

Excess return = Expected monthly return - Monthly risk-free rate

Excess return = 1% - 0.15% = 0.85%

The monthly Sharpe ratio is the excess return divided by the monthly standard deviation of return;

Monthly Sharpe ratio = Excess return / Monthly standard deviation

Monthly Sharpe ratio = 0.85% / 8.65% = 0.0984

To annualize the monthly Sharpe ratio, we multiply by the square root of 12;

Annual Sharpe ratio = Monthly Sharpe ratio × √(12)

Annual Sharpe ratio = 0.0984 × √(12) = 0.3406

Therefore, we expect to achieve 0.3406 annual Sharpe ratio.

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After Beth does the research for her new app, she learns that she will have 100 power users who would be willing to pay $5 and 400 casual users who would only be willing to pay $2. The marginal cost to provide the app to any one user is constant at $1 and there are no fixed costs. Suppose Beth cannot use price discrimination and she charges a price of $2 to all consumers. The consumer surplus would be _____

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The consumer surplus would be $300 if Beth charges a price of $2 to all consumers.

The consumer surplus can be calculated as the difference between the maximum amount a consumer is willing to pay and the actual price paid.

For the 100 power users, their maximum willingness to pay is $5, so their consumer surplus is $5 - $2 = $3 per user. For the 400 casual users, their maximum willingness to pay is $2, so their consumer surplus is $2 - $2 = $0 per user.

Total consumer surplus = (consumer surplus per power user x number of power users) + (consumer surplus per casual user x number of casual users)

Total consumer surplus = ($3 x 100) + ($0 x 400) = $300

Therefore, the consumer surplus would be $300 if Beth charges a price of $2 to all consumers.

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A company's current assets are $32,420, its quick assets are $17,490 and its current liabilities are $13,120. its acid-test ratio equals:

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The acid-test ratio of the company would be 1.33. This means that for every dollar of current liabilities, the company need to $1.33 of quick assets available to pay them off.

The acid-test ratio, also known as quick ratio, measures a company's ability to pay off its current liabilities with its quick assets.

The formula for acid-test ratio is:

Acid-test ratio = (Quick assets) / (Current liabilities)

Substituting the given values:

Acid-test ratio = $17,490 / $13,120

Acid-test ratio = 1.33

Therefore, the acid-test ratio of the company is 1.33. This means that for every dollar of current liabilities, the company has $1.33 of quick assets available to pay them off.

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Under a progressive income tax, who would pay the largest proportion of her income in taxes

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Under a progressive income tax system, the individual who would pay the largest proportion of their income in taxes would be the one with the highest income. This is because they are subject to higher tax rates on a larger portion of their income, resulting in a higher overall tax burden relative to their income.

Under a progressive income tax system, individuals with higher incomes pay a larger proportion of their income in taxes. This system is designed to reduce income inequality and redistribute wealth by taxing higher earners at higher rates.

In this system, tax rates are divided into brackets based on income levels. As one's income increases, they move into higher tax brackets and are subject to higher tax rates. Lower-income individuals are taxed at lower rates, while those with higher incomes pay higher rates on the portion of their income that falls into the higher tax brackets.

For example, let's consider three individuals with different incomes: A earns $25,000, B earns $75,000, and C earns $150,000. In a progressive income tax system, A would pay the lowest tax rate, as their income falls into the lowest bracket. B would pay a higher rate on the portion of their income that exceeds the lower bracket's threshold, and C would pay the highest rate on the portion of their income that falls into the top bracket.

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The _____ is used to record a sales transaction when the product or services is provided to the customer and the customer promises to pay later.

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The "accounts receivable" is used to record a sales transaction when the product or service is provided to the customer and the customer promises to pay later.

This method is utilized when businesses extend credit to their customers, allowing them to purchase goods or services without making an immediate payment. Accounts receivable are recorded as current assets on the balance sheet, reflecting the amount that is expected to be collected from customers.

Proper management of accounts receivable is essential for maintaining a healthy cash flow and ensuring the financial stability of a business.

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