questiongeico has decided that everyone will work in units with people who perform similar jobs. all of the procurement employees work in one department. all of the human resource employees work in one department and all of the printing employees work in the print shop. this type of structure is called:

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Answer 1

The structure that Geico has adopted where employees who perform similar jobs work in units is known as a functional structure.

A functional structure is a type of organizational structure where employees with similar job roles are grouped together into functional departments, such as finance, marketing, human resources, and so on. This type of structure is efficient because it allows employees to share knowledge, skills, and resources, and enables the company to focus on its core competencies.

In Geico's case, it has created departments based on job functions such as procurement, human resources, and printing. This structure is beneficial for Geico as it allows the company to focus on these core areas and develop expertise in them, leading to greater efficiency and productivity.

Overall, the functional structure is a widely used organizational structure, especially in large organizations, as it helps in creating a cohesive and efficient workforce.

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walgreens stores in warmer, sunnier parts of the country might dedicate more shelf space to sunscreen, while stores in colder areas might dedicate space to gloves and hats. this is based on which consumer segmentation variable?

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The four cornerstones of market segmentation are demographic, psychographic, geographic, and behavioral; however, you may also use these four additional categories to strengthen your marketing campaigns.

Which 5 market segmentation types are there?

Market segmentation can be done in five different ways: firmographic, geographic, psychographic, and behavioral. Victoria's Secret and their teen-focused brand PINK are an illustration of market segmentation in action. When compared to their brand PINK, which is largely marketed to women, Victoria's Secret primarily targets women.

Which market segmentation example would you give?

Geospatial, demographic, psychographic, and behavioral market segmentation are typical examples. Businesses may demonstrate that they are skilled marketers and generate a higher return on their efforts by understanding market segments.

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one-on-one interaction between a salesperson and a prospective buyer is called ________.

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The one-on-one interaction between a salesperson and a prospective buyer is known as personal selling. Salespeople interact directly with potential buyers to persuade them to buy a product or service.

Personal selling is a method of selling that requires the salesperson to connect with potential buyers on a personal level. Personal selling refers to the sales technique of using a salesperson to engage with potential customers in person. It's a promotional method that entails establishing and maintaining connections with consumers, assessing their needs and preferences, and presenting them with products that meet their needs. Personal selling is often used to promote goods that are expensive, complex, or unfamiliar to the general public.

Personal selling can be a crucial component of an organization's marketing strategy, particularly when the product or service is difficult to understand or is being marketed to a small group of potential customers. Some of the advantages of personal selling include the ability to tailor sales pitches to individual customers, the ability to establish long-term relationships with customers, and the ability to obtain immediate feedback from customers. Personal selling also has some drawbacks, including the high cost of employing a sales force, the difficulty of finding good salespeople, and the time and effort required to train salespeople.

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This information relates to the Cash account in the ledger of Cullumber Company.
Balance September 1 $16,660 Cash deposited $64,000
Balance September 30 $17,860 Checks written $62,800
The September bank statement shows a balance of $16,760 on September 30 and the following memoranda.
Credits Debits
Collection of electronic funds transfer $1,990 NSF check: H. Kane $720
Interest earned on checking account 55 Safety deposit box rent 70
At September 30, deposits in transit were $4,908 and outstanding checks totaled $2,553.
Required:
Prepare the bank reconciliation on September 30, 2017.

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Both the adjusted bank balance and the adjusted ledger balance are equal ($19,115), which indicates that the bank reconciliation has been prepared successfully.

How do we calculate  bank statement balance?

To prepare the bank reconciliation on September 30, 2017, you will need to follow these steps:

Step 1: Start with the bank statement balance.
Bank statement balance: $16,760

Step 2: Add deposits in transit.
Deposits in transit: $4,908
Adjusted bank balance: $16,760 + $4,908 = $21,668

Step 3: Subtract outstanding checks.
Outstanding checks: $2,553
Adjusted bank balance: $21,668 - $2,553 = $19,115

Step 4: List the ledger balance.
Ledger balance: $17,860 (given in the question)

Step 5: Add any credits from the bank statement that are not in the ledger.
- Collection of electronic funds transfer: $1,990
- Interest earned on checking account: $55
Total credits: $1,990 + $55 = $2,045
Adjusted ledger balance: $17,860 + $2,045 = $19,905

Step 6: Subtract any debits from the bank statement that are not in the ledger.
- NSF check: H. Kane: $720
- Safety deposit box rent: $70
Total debits: $720 + $70 = $790
Adjusted ledger balance: $19,905 - $790 = $19,115

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alyssa is undertaking a management initiative to focus all aspects of her company's value chain on improving the quality of their products. the name of this strategy is .

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The strategy that Alyssa is undertaking is commonly known as "Total Quality Management (TQM)."

What is Total quality management?

Total Quality Management (TQM) is a management approach that emphasizes the importance of quality in all aspects of an organization's operations. It involves a continuous effort to improve the quality of products, services, and processes, with the ultimate goal of meeting or exceeding customer expectations.

TQM is based on the belief that quality is everyone's responsibility, not just the responsibility of a specific department or individual. It requires the active participation of all employees in the organization, from top-level management to front-line workers.

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suppose the total cost for various levels of output for a competitive price-taker firm are given in the table below: q tc 0 10 1 12 2 15 3 19 4 24 5 30 6 37 7 46 8 55 9 65 if the market price is $8, how many units should the firm produce to maximize profit? group of answer choices 5 6 7 8

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The firm should produce 6 units to maximize profit at a market price of $8.

To determine the profit-maximizing level of output, we need to calculate the marginal cost and marginal revenue at each level of output, and then compare them to find the level of output where marginal revenue equals marginal cost.

From the table, we can calculate the firm's total cost and average cost at each level of output. We can also calculate the firm's total revenue, which is equal to the market price multiplied by the level of output.

Using this information, we can calculate the marginal cost and marginal revenue as follows:

Marginal cost = change in total cost / change in quantity

Marginal revenue = change in total revenue / change in quantity

We can then compare the marginal cost and marginal revenue at each level of output to determine the profit-maximizing level of output. At an output of 6 units, marginal cost is equal to marginal revenue, which means that the firm should produce 6 units to maximize profit.

At an output of 5 units, marginal cost is $7 and marginal revenue is $8, which means that the firm can increase profit by producing one more unit. At an output of 7 units, marginal cost is $9 and marginal revenue is $8, which means that the firm can increase profit by reducing output. Therefore, the profit-maximizing level of output is 6 units.

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company has total assets of $9,900,000 and a total asset turnover of 2.49 times. assume the return on assets is 11 percent. what is the company's sales?

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The company's sales is $22,410,000.

A company's sales or revenues are compared to the value of its assets using the asset turnover ratio. The asset turnover ratio can be used to gauge how effectively a business uses its assets to produce revenue.

We can calculate sales using total asset turnover, and net income using return on assets. Starting with the overall asset turnover, we discover that sales are:

Total asset turnover = Sales / Total assets

2.49 = Sales / $9,000,000

Sales = $22,410,000

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Find the per capita GDP when the GDP of a country is $1.5 trillion and the country's population is 300 million

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The nation's GDP per person would be $5,000. The total production produced inside a country's borders is represented by its GDP.

How can you locate the GDP?

GDP determines the dollar amount of the consumable goods and services produced in a country over a given time period (such as a quarter of a year).

The GDP, which is commonly calculated "without twice adding the intermediate products and services used used to make them," is the market price pf all the final goods and services produced or sold in an amount of time by a nation or nations.

You could divide the nation's GDP ($1.5 trillion) by its population (300 million) to obtain its GDP per capita.

GDP per person equals $1.5 trillion divided by 300 million, or $5,000.

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Answer:$5000

Explanation:

productive efficiency is achieved when firms produce goods and services question content area bottom part 1 a. at the lowest cost. b. of the highest quality. c. most desired by society. d. at the highest profit margin.

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Productive efficiency is achieved when firms produce goods and services at the lowest cost.

What is productive efficiency?

Productive efficiency is an economic condition in which the economy generates the most goods and services possible. It implies the economy's efficiency in resource use, which helps to achieve the maximum amount of output from a minimum amount of input.

Productive efficiency is achieved when goods and services are produced at the lowest cost possible.

What is a good and service?

Goods and services refer to what people consume or use to satisfy their wants and needs. They can be physical goods or intangible services that are marketed and sold to consumers, businesses, or other organizations.

What does it mean when firms produce goods and services at the lowest cost?

Productive efficiency is achieved when firms produce goods and services at the lowest cost. This implies that resources are used efficiently to produce goods and services at the lowest cost possible.

When the cost of producing goods and services is low, businesses can reduce the prices of their products, which will ultimately benefit the consumers. In addition, producing goods and services at the lowest cost will increase a firm's profits margin, which will encourage more investment and expansion of the business.

Summary Productive efficiency is achieved when firms produce goods and services at the lowest cost. This means that resources are being utilized efficiently and the economy is generating the highest amount of output possible.

Producing goods and services at the lowest cost will ultimately benefit the consumers as prices will be lowered.

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Companies often consider outsourcing so they can focus on their core competencies.True or False

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The given statement "Companies often consider outsourcing so they can focus on their core competencies" is True because this helps businesses to reduce costs, increase efficiency, and achieve their goals faster by focusing on their core competencies.

Outsourcing refers to the practice of obtaining goods or services from outside suppliers rather than performing them in-house. Many businesses outsource their non-core activities to third-party service providers, freeing up resources and allowing them to concentrate on their core business activities. This helps businesses to reduce costs, increase efficiency, and achieve their goals faster by focusing on their core competencies.

The core competency is the distinctive competence of an organization, which is essential for its long-term competitive advantage. It is the ability to perform some essential tasks better than its competitors, which distinguishes the company from the rest of the industry. Outsourcing non-core activities can enable companies to allocate more resources to their core competencies, improving their overall performance and profitability. In summary, outsourcing allows companies to concentrate on their core competencies by delegating non-core activities to third-party service providers.

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you own a building that a local business wants to rent for the next 10 years. the business owner has offered to pay $50,000 today or pay $8,700 at the end of each of next 10 years. if your required rate of return is 12%, which payment schedule should you accept?

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The two payment schedules of discounted cash flow method should be accepted from the business owner to keep track of the payment schedules.

When deciding between two payment schedules, the discounted cash flow method should be used to calculate the present value of both payment schedules. This method considers the time value of money in that it takes into account that money received today is worth more than money received in the future. In this situation, the present value of the payments from the tenant is calculated by determining the present value of the $8700 per year for 10 years discounted at the rate of 12%.



Using a financial calculator, the present value of $8700 per year for 10 years discounted at 12% is $64,972. Therefore, the present value of the payments from the tenant is less than the $50,000 offered up front. This means that the owner should accept the $50,000 upfront payment from the tenant.



When deciding between two payment schedules, the discounted cash flow method should be used to determine the present value of both payment schedules. In this case, accepting the $50,000 up front payment from the tenant would be the most profitable option for the owner since it is higher than the present value of the $8700 payments over 10 years.

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alicia is leading a task force on increasing customer satisfaction. she takes the time to learn about her teammates’ views and suggestions and incorporates their input into her final decision. ( _______ )

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Alicia's approach to learning about her teammates' views and suggestions and incorporating their input into her final decision is an example of good listening skills.

Listening is a critical skill for effective leadership, as it helps to build trust, foster collaboration, and promote open communication. By actively listening to her teammates, Alicia is demonstrating that she values their input and wants to understand their perspectives. Effective listening involves not only hearing what someone is saying but also paying attention to their body language, tone of voice, and other nonverbal cues.

It also involves asking questions to clarify and deepen understanding, and reflecting back to ensure that the message has been received accurately. By demonstrating good listening skills, Alicia is creating a positive work environment where everyone feels heard and valued. This can help to increase motivation, engagement, and productivity among her teammates, as they feel more connected to the task force's goals and objectives.

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hull a stock price is currently $20. suppose that at the end of 3 months it will be either $22 or $18. the risk-free interest rate is 4% per annum with continuous compounding. compute the arbitrage-free price of a 3-month european put option with a strike price of $19 by using the replication argument.

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The arbitrage-free price of a 3-month European put option with a strike price of $19 can be computed by using the replication argument. Since there is no arbitrage opportunity present, the price of the option must equal the cost of the replicating portfolio.

The replicating portfolio consists of borrowing the strike price at the risk-free rate and investing the proceeds in the stock. Thus, the replicating portfolio consists of borrowing $19 at the 4% per annum risk-free rate (0.04/4), and investing the proceeds in the stock at the current price of $20.

At the end of the 3 months, the value of the replicating portfolio will either be $2 if the stock price rises to $22, or -$1 if the stock price falls to $18. Hence, the price of the put option must be $1 in order to replicate the above payoff.

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when the parties agree in advance to set damages at a specified sum, the contract is said to contain a(n):

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When the parties agree in advance to set damages at a specified sum, the contract is said to contain a liquidated damages clause.

A liquidated damages clause is a term of a contract that specifies a fixed amount of damages to be paid if one of the parties breaches the contract. This clause is included in a contract when it is difficult or impossible to accurately estimate the actual damages that would be incurred by the non-breaching party in the event of a breach.

In a liquidated damages clause, both parties agree in advance to the specified sum, which represents the maximum amount of damages that can be awarded in the event of a breach. The clause serves as a form of security for both parties since it reduces uncertainty and risk.

The enforceability of a liquidated damages clause depends on whether it is a reasonable estimate of the actual damages that would be incurred in the event of a breach. If the specified sum is deemed to be excessive and disproportionate to the actual damages incurred, the clause may be considered a penalty and declared unenforceable by the courts.

In conclusion, when the parties agree in advance to set damages at a specified sum, the contract is said to contain a liquidated damages clause. This clause serves as a form of security for both parties since it reduces uncertainty and risk. However, the enforceability of the clause depends on whether it is a reasonable estimate of the actual damages that would be incurred in the event of a breach.

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the formula for a gdp gap is: multiple choice question. real gdp plus nominal gdp actual gdp plus potential gdp real gdp minus nominal gdp actual gdp minus potential gdp

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The formula for a GDP gap is: actual GDP minus potential GDP.

What is GDP?

GDP (Gross Domestic Product) is a measure of a country's economic performance, which measures the total market value of all final goods and services produced within a country in a given period of time. GDP growth, as opposed to GDP itself, measures the economic growth of a country.

The formula for a GDP gap is given below:

GDP gap = actual GDP – potential GDP

This implies that potential GDP is the amount that the economy could generate if all its resources, including labor, capital, land, and technology, were employed efficiently.

The GDP gap is the difference between actual and potential GDP. When an economy produces less than its potential GDP, it is said to be in a recession. When an economy produces more than its potential GDP, it is said to be in an expansion. When the actual GDP and potential GDP are equal, the economy is said to be at full employment.

GDP is determined by multiplying the amount of goods and services produced (output) by their prices (prices). The nominal GDP is determined by using current prices, while the real GDP is determined by using constant prices.

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Keynes believed that fluctuations in investment would lead to fluctuations in real GDP and prices due to the influence of "animal spirits" on businesspeople's behavior. "Animal spirits" refer to the emotions and confidence levels of businesspeople in the economy.

1. When businesspeople feel optimistic about the economy, they are more likely to carry out lots of investment. This increased investment leads to an increase in aggregate demand, as businesses spend more on capital goods, such as machinery and equipment. As a result, real GDP, which measures the total value of goods and services produced in an economy, increases. This is because businesses are producing more goods and services to meet the higher demand.

2. Higher investment also creates a multiplier effect. When businesses invest, they create income for workers who produce those capital goods. These workers, in turn, have more income to spend on other goods and services, leading to increased consumption. This increase in consumption further stimulates demand, leading to more production and an increase in real GDP.

3. On the other hand, when businesspeople feel pessimistic about the economy, they tend to cut back on their investment spending. This reduction in investment decreases aggregate demand, as businesses spend less on capital goods. Consequently, real GDP decreases, as businesses produce fewer goods and services to meet the lower demand.

4. Lower investment can also have a multiplier effect in the opposite direction. When businesses reduce their investment, it leads to a decrease in income for workers who produce those capital goods. These workers, in turn, have less income to spend on other goods and services, leading to decreased consumption. This decrease in consumption further dampens demand, leading to less production and a decrease in real GDP.

5. Fluctuations in investment can also influence prices. When investment increases, it puts pressure on the demand for resources such as labor and raw materials. This increased demand can lead to higher prices. Conversely, when investment decreases, the reduced demand for resources can lead to lower prices.

In summary, Keynes believed that fluctuations in investment, influenced by businesspeople's "animal spirits," can lead to fluctuations in real GDP and prices. Increased investment boosts aggregate demand, leading to higher real GDP and potentially higher prices. Conversely, decreased investment reduces aggregate demand, resulting in lower real GDP and potentially lower prices.

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the best vacations include positive interactions between the visitor and the host. in our indispensable tips on how to mind your manners when traveling, we include which tidbit for interacting with waitstaff?

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We include the advice to be courteous and respectful while interacting with waitstaff in our guidelines on how to mind your manners when traveling, including saying "please" and "thank you" and tipping correctly.

One crucial pointer for communicating with waitstaff is to always be nice and respectful, according to our invaluable advice on how to mind your manners when traveling. The face of the regional hospitality business is frequently the wait staff, who may offer insightful information about regional culture and customs. Being patient, using the words "please" and "thank you," and refraining from being unduly demanding or critical are all important ways to demonstrate respect. In order to express appreciation for the local culture and to demonstrate a willingness to interact with the local community while visiting a new location, it can be useful to learn a few fundamental phrases in the language there.  Overall, positive interactions with waitstaff can enhance the overall travel experience and help visitors to connect with the local culture in a meaningful way.

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which company is the official sports betting partner of the denver nuggets?

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Kroenke Sports & Entertainment

if the u.s. dollar appreciates relative to foreign currency, what is likely to be the result for the u.s. company that has branches abroad? if the u.s. dollar appreciates relative

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When the US dollar appreciates relative to foreign currency, the likely result for the US company that has branches abroad is that the revenue generated by the branches abroad will decrease due to the currency exchange rate.What is currency exchange rate?A currency exchange rate is the amount of one country's currency that must be exchanged for the currency of another country to purchase one unit of the other currency.

A currency exchange rate between two countries' currencies determines the amount of one country's currency that must be exchanged for a unit of another country's currency. The currency exchange rate determines the value of the currency in the international market.Explanation:When the US dollar appreciates, it becomes stronger compared to other currencies. As a result, companies that have branches abroad will see their profits decrease. The revenue generated by these branches abroad will be worth less when converted into US dollars.In other words, if a US-based company has a subsidiary in Europe that generates revenue in euros, when the US dollar appreciates, the value of those euros decreases when converted back into US dollars. This, in turn, decreases the company's revenue and profits.When the US dollar appreciates, the US company that has branches abroad will also face more intense competition from foreign companies in the international market. This is because the goods and services offered by US companies become more expensive relative to those offered by foreign companies. This can lead to a decrease in market share and profitability for US companies operating abroad.

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what are the differences between a closed-end investment company and a mutual fund? what are the sources of return from an investment in a closed-end investment company? why can a closed-end investment company sell for a discount from nav but a mutual fund cannot sell for a discount? what differentiates a reit from a firm involved in building, developing, and owning properties? what differentiates a mortgage trust from an equity trust? what advantages do reits offer investors over direct investments in real estate properties? using the information on the taxation of reit distributions, what was the tax status of recent annual distributions made by plum creek timber (pcu), udr, and wre? how do etfs differ from mutual funds? why may they be considered alternatives to index mutual funds? why does arbitrage virtually assure that an etf will sell for its nav? how may mutual funds, closed-end investment companies, and etfs be used to take positions in foreign securities? why are hedge funds and private equity funds of little interest to most investors? why may investing in an etf such as the various ishares be preferable to acquiring shares in a mutual fund that makes foreign investments? several closed-end investment companies and ishares invest in the same country, such as the aberdeen japan equity fund (jeq) and the ishares msci japan (ewj). compare their monthly percentage changes (i.e., monthly returns) for three years, and compute the correlation coefficient between the two sets of returns. repeat the process using an index of u.s. stocks such as the s

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The main difference between the two is that the closed-end investment company has a fixed number of shares that are traded on the stock market, while the mutual fund is an open-ended fund with an unlimited number of shares.

Sources of return from an investment in a closed-end investment company (CEIC) include dividends from underlying investments, capital appreciation from underlying investments, and net investment income. A CEIC can sell for a discount from its net asset value (NAV) because it is not required to redeem its shares, while a mutual fund must redeem its shares at NAV, meaning it cannot sell for a discount.

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agent r holds a north carolina nonresident insurance license when they move to north carolina. to continue being licensed, r must apply for resident licensure within:

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R must apply for a North Carolina resident insurance license within 30 days of becoming a resident of the state.  

This is to ensure that R is in compliance with the North Carolina Department of Insurance (NCDOI) licensing requirements.  The NCDOI requires all non-resident insurance license holders to obtain a North Carolina resident license before they can transact business in the state.  

The application process includes submitting a completed license application, passing a background check, paying the applicable licensing fee, and submitting proof of successful completion of a pre-licensing course.

Once the application is approved, R will receive a resident license. This will allow R to continue transacting business in North Carolina.

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when designing advertising, a firm seeks to direct its message to a specific segment of the population which is referred to as the sponsorial consumers. implied consumers. concentrated market. niche market. target audience.

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When designing advertising, a firm seeks to direct its message to a specific segment of the population which is referred to as the target audience.

What's Target Audience

The target audience is a specific segment of the population that a company directs its message to in order to advertise.

The targeted consumer is the person or group of people for whom a product or service is intended or marketed.Target marketing is a marketing strategy that allows a firm to tailor its marketing mix to satisfy the specific needs of the target market. A target market is a group of individuals or organizations for whom a firm creates and maintains a marketing mix.

The target market determines the type of advertising that the company will utilize. Hence, when designing advertising, a firm seeks to direct its message to a specific segment of the population which is referred to as the target audience.

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mary ehrat, an employee of eddington company, has gross earnings for the month of october of $8,000. fica taxes are 7.65% of gross earnings, federal income taxes amount to $1,270 for the month, state income taxes are 2% of gross earnings, and mary authorizes voluntary deductions of $20 per month to the united fund. what is the net pay for mary ehrat?

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According to the united fund, Mary Ehrat's net pay for the month of October is $5,938.

First, we need to calculate the FICA taxes, which stands for Federal Insurance Contributions Act. FICA taxes are Social Security and Medicare taxes that are deducted from an employee's paycheck. Mary's FICA taxes are 7.65% of her gross earnings, which means we can calculate her FICA taxes as follows:

FICA taxes = Gross earnings x 7.65%

FICA taxes = $8,000 x 0.0765

FICA taxes = $612

After calculating the FICA and federal income taxes, we need to calculate the state income taxes, which are taxes that employees pay to their state government. Mary's state income taxes are 2% of her gross earnings. This means we can calculate her state income taxes as follows:

State income taxes = Gross earnings x 2%

State income taxes = $8,000 x 0.02

State income taxes = $160

Finally, we need to deduct Mary's voluntary contribution to the United Fund. Mary authorized a voluntary deduction of $20 per month to the United Fund. This means we can deduct $20 from her net pay calculation.

To calculate Mary's net pay, we need to subtract all the deductions from her gross earnings:

Net pay = Gross earnings - FICA taxes - Federal income taxes - State income taxes - Voluntary contribution to the United Fund

Net pay = $8,000 - $612 - $1,270 - $160 - $20

Net pay = $5,938

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a monthly credit card interest rate of 1.5% is equal to and effective annual rate of 19.56%. true false

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This statement is true. The effective annual rate (EAR) is the actual annual interest rate earned or paid on an investment or loan, taking into account the compounding of interest over time.

The EAR is higher than the nominal interest rate because of the effect of compounding.

To convert a monthly interest rate to an annual rate, we need to use the formula:

Effective annual rate = (1 + Monthly interest rate)^12 - 1

Plugging in the numbers given, we get:

Effective annual rate = (1 + 0.015)^12 - 1

= 1.1956 - 1

= 0.1956 or 19.56%

Therefore, a monthly credit card interest rate of 1.5% is equal to an effective annual rate of 19.56%.

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how is project cost management different when using an agile approach?

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When using an agile approach, project cost management is different in the following such as Prioritize requirements, Early and frequent cost analysis, Maintain flexibility and Rapid iteration.

Prioritize requirements: Agile prioritizes requirements based on customer needs, which may change throughout the project. Therefore, the cost of the project must be managed with flexibility in mind. In other words, the budget must be flexible enough to accommodate changing requirements.

Early and frequent cost analysis: Agile cost management requires early and frequent cost analysis, as the project's requirements may change as the project progresses. It's essential to assess costs regularly to ensure that the project remains within budget.

Maintain flexibility: Agile's cost management approach values flexibility. It's important to be adaptable and ready to alter plans or budgets to meet the project's changing demands. This way, it would be much easier to execute the project plan efficiently.

Rapid iteration: Agile's cost management approach encourages fast iterations. As a result, project costs should be divided into smaller, more manageable pieces. This way, the project team can evaluate and modify the cost management strategy on a regular basis. As the project progresses, it is important to be able to pivot the budget if necessary. The cost management strategy should be reevaluated and adjusted based on how the project is going.

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a team leader with a free rider problem could maximize performance by: specifying performance levels and due dates. instructing them to do their best. punishing free riders who fail to meet standards assigning another team member to monitor their performance.

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Assigning another team member to monitor the free rider's performance could be beneficial because they could offer feedback and support if necessary.

How can a team leader maximize performance?

There are several strategies that team leaders can use to improve the performance of free riders. The following are some of the methods used by team leaders to manage free riders: Instructing team members to do their best. Specifying performance levels and due dates.

Punishing free riders who fail to meet standards. Assigning another team member to monitor their performance. Team leaders must ensure that all team members are aware of the team's objectives and what is expected of them. This could be accomplished by setting performance goals and deadlines, which would give them a clear understanding of their responsibilities. Free riders can be penalized if they fail to meet the standards set by the team leader.

Finally, assigning another team member to monitor the free rider's performance could be beneficial because they could offer feedback and support if necessary.

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the strategy through which a firm changes its set of businesses or its financial structure is called: a. downsizing. b. restructuring. c. an acquisition. d. a merger.

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The strategy through which a firm changes its set of businesses or its financial structure is called restructuring. Option B is correct.

Restructuring is a strategic process that a company undergoes to make significant changes to its organizational structure, operations, and financial structure. The main objective of restructuring is to improve the company's financial performance, increase efficiency, and remain competitive in the market.

Restructuring can involve different types of changes, such as downsizing, divestitures, mergers and acquisitions, or changes in the company's financial structure. Down-sizing involves reducing the company's size by eliminating jobs, departments, or business units to reduce costs. Divestitures involve selling off a part of the company's business or assets to focus on core operations. Mergers and acquisitions involve combining two companies to create a larger entity with more resources or acquiring another company to expand the company's operations.

Financial restructuring involves changing the company's financial structure, such as issuing bonds, taking out loans, or restructuring debt to lower interest rates or extend the repayment period. This can help to improve the company's financial health and reduce the risk of bankruptcy.

The process of restructuring can be challenging and may involve significant changes to the company's culture, operations, and workforce. It requires careful planning and implementation to ensure that the company achieves the desired outcomes and minimizes negative impacts on employees, customers, and other stakeholders. Option B is correct.

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as a percentage of the federal workforce federal employment has increased since the 1950s. true or false

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False, Since 1950, fewer individuals have found work in the federal bureaucracy, while more people have found work in state and local governments.

When did the federal labor force grow most quickly?

As the United States entered World War II in 1941, the number of government agencies and employees grew even more as a result of the needs of the war. Under Roosevelt, the federal employment grew dramatically throughout those 12 years, rising from a little more than 500,000 employees in 1933 to a record-breaking number of more than 3.5 million in 1945.

In the United States, the phrase "federal bureaucracy" is used to characterize the administrative division of the executive government. According to some sources, the local government has expanded over time even as the workforce has shrunk. Throughout the past 30 years, there has been a slight decline in the percentage of government workers in the American workforce overall. This is a result of a slightly higher number of locals choosing to join the workforce, whether it be public or private, driven by the possibility of earning a somewhat better wage, which, while not particularly significant, can make a difference at the end of the month.

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dolan company's accounting records reflect the following inventories: dec. 31, 2022 dec. 31, 2021 raw materials inventory $310,000 $260,000 work in process inventory 300,000 160,000 finished goods inventory 190,000 150,000 during 2022, $800,000 of raw materials were purchased, direct labor costs amounted to $670,000, and manufacturing overhead incurred was $640,000. (assume that all raw materials used were direct materials.) the total raw materials available for use during 2022 for dolan company is:

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The total raw materials available for use during 2022 for Dolan Company is $1,010,000.

What is an inventory?

An inventory is an itemized list of items held in stock by a business. An inventory is a business asset that is intended to be sold in the normal course of business.

The total raw materials available for use during 2022 for Dolan Company are:

Inventories December 31, 2021

Raw materials inventory $260,000

Work in process inventory $160,000

Finished goods inventory $150,000

Raw materials purchased during 2022 $800,000

Direct labor costs for 2022 $670,000

Manufacturing overhead incurred $640,000

The total raw materials available for use during 2022 for Dolan Company is $1,010,000.

How to calculate the total raw materials available for use during 2022?

Total Raw Materials Available for Use = Beginning Raw Materials Inventory + Raw Materials Purchased – Ending Raw Materials Inventory

Beginning Raw Materials Inventory = $260,000   Raw Materials Purchased = $800,000  Ending Raw Materials Inventory = $310,000

Therefore, Total Raw Materials Available for Use = $260,000 + $800,000 – $310,000= $1,010,000.

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nico nelson, a management trainee at a large new york-based bank, is trying to estimate the real rate of return expected by investors. he notes that the 3-month t-bill currently yields 3 percent and has decided to use the consumer price index as a proxy for expected inflation. what is the estimated real rate of interest if the cpi is currently 2 percent?

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Subtracting the predicted inflation rate from the nominal interest rate yields the estimated real rate of interest. Nico Nelson has selected the 3-month T-bill yield as the nominal interest rate in this situation,

which is currently at 3%. In addition, he has utilized the Consumer Price Index (CPI) as a proxy for projected inflation, which is now at 2%. As a result, the anticipated actual rate of interest is as follows: Real interest rate = nominal interest rate minus expected inflation rate = 3% - 2% = 1% Based on the facts provided, the anticipated actual rate of interest expected by investors is 1%. This indicates that after accounting for inflation, Nico Nelson has selected the 3-month T-bill yield as the nominal interest rate in this situation,  investors may anticipate a real return of 1% on their assets.

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from the textbook, explain the terms, destination contract and shipment contract. read the below attached opinion by a federal district court judge in pennsylvania relating to a destination contract under the ucc. essentially, the seller shipped the machine to the buyer using a trucking company. while in transit, the machine fell from the trailer and was destroyed. the court ruled that the ucc allocated risk of loss to the buyer. do you agree with the court's decision. why?

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Destination Contract: A destination contract is an agreement under the Uniform Commercial Code (UCC) where the risk of loss of goods passes from the seller to the buyer upon delivery of the goods at the buyer's destination.

This contract also ensures that the buyer has title of the goods and has a duty to pay for them.

Shipment Contract: A shipment contract is a contract under the UCC where the risk of loss of the goods passes from the seller to the buyer upon delivery of the goods to the common carrier.

The seller must arrange for the shipment of the goods to the buyer, but the buyer has title of the goods and has a duty to pay for them.

In the opinion of the federal district court judge in Pennsylvania, the machine was being transported by a trucking company and fell from the

trailer and was destroyed, and the court ruled that the UCC allocated risk of loss to the buyer.

I agree with the court's decision because a destination contract requires the seller to deliver the goods to the buyer at the buyer's destination, so the risk of loss passes from the seller to the buyer upon delivery.

The buyer has title of the goods and the duty to pay for them, and the seller no longer bears any responsibility for the goods once they are delivered to the buyer.

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the stock return for ford over the past 5 years has been: 15%, -9%, 1%, 8%, and 1%. what is the volatility of ford's returns?

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The volatility of Ford's returns is 9.64%.

The volatility of Ford's returns can be calculated by taking the standard deviation of the returns over the past 5 years. Standard deviation is a measure of the variation of a data set from its mean.

In this case, the mean return is 2.6%. To calculate the standard deviation, we subtract the mean from each return, square the results, and add them together. The sum is then divided by the total number of returns (5) and then take the square root of that result.

Using the above formula, the standard deviation of Ford's returns over the past 5 years is 9.64%. Therefore, the volatility of Ford's returns is 9.64%.

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