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.

Answers

Answer 1

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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Related Questions

The U.S. tax structure influences a firm’s willingness to finance with debt. The tax structure____________ more debt
a) discourages
OR
b) encourages

Answers

The U.S. tax structure influences a firm’s willingness to finance with debt. The tax structure encourages more debt.

What is the U.S. Tax Structure?

The tax system of the United States is a federal, state, and local government tax scheme. Federal income tax and payroll taxes are charged by the federal government. Most states tax personal income and business income. In addition, local taxes are charged on property and transactions. The tax system aims to fund public services and benefits, such as Social Security and Medicare, while also lowering the burden on low-income households.The Tax structure and Financing of Firms with DebtThe U.S. tax structure's characteristics and incentives can influence a corporation's funding decisions, especially its willingness to finance with debt. Firms choose to finance through debt or equity, based on their need for money, their future growth prospects, and the potential cost of capital. A firm is more likely to use debt financing if the U.S. tax structure is more generous. Because interest payments are tax-deductible, the government is effectively subsidizing them. As a result, if a company borrows money, it may save money on taxes. When the tax structure is less favorable, firms are less likely to issue debt because the tax savings aren't significant enough to outweigh the cost of borrowing.Therefore, the tax structure of the United States promotes the use of debt financing by firms.

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the process of accessing, processing, maintaining, evaluating, and disseminating business knowledge, facts, or data. It involves putting a reliable data storage-and-retrieval system in place. is called ?

Answers

The procedure for obtaining, handling, keeping up with, analyzing, and sharing business knowledge, facts, or data. It entails setting up a dependable data storage and retrieval system. information management, to put it simply.

Which business operations control the flow of goods and services from the producer to the end user or consumer?

Marketing is the practice of commercial operations that control the movement of goods and services from producers to consumers or users in order to please customers and achieve the goals of the company.

1. The strategic planning and achievement of a company's objectives, including its sales targets, are embodied in marketing.

What is the name of the feature of commercial activity that deals with the distribution of products and services made by industry?

All the acts that assist in the delivery of goods to the final consumer, whether directly or indirectly, can be referred to as part of commerce. Producing items won't be useful unless and until they are used by the final consumer. Consumers are dispersed over several locations while goods are manufactured in one location.

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devon had a starting balance of $54.00 in his savings passbook. he made these transactions: deposits of $54.87 and $86.35; withdrawals of $45.00 and $27.50; interest $2.50. what is his final balance? responses $125.22 $125.22 $120.22 $120.22 $98.22 $98.22 $12.22

Answers

The  final balance of Devon's savings passbook is $125.22.

A savings passbook is a physical booklet or record that tracks deposits, withdrawals, and interest earned on a savings account. It serves as a record of all transactions made by the account holder.

The final balance in Devon's savings passbook can be calculated as follows:

Starting balance: $54.00

Deposits: $54.87 + $86.35 = $141.22

Withdrawals: $45.00 + $27.50 = $72.50

Interest: $2.50

Final balance: $54.00 + $141.22 - $72.50 + $2.50 = $125.22

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the firm repurchases shares from a major shareholder through private discussions. this is an example of: an open-market transaction a tender offer transaction a direct negotiation transaction

Answers

An open-market transaction is when a firm repurchases shares from any investor on the open market. It is usually done through a stock exchange and the terms of the transaction are set by the market conditions.

A tender offer transaction is when the firm makes a public offer to buy back a certain amount of shares from the shareholders at a certain price.

This is usually done at a price higher than the market price and the shareholders have to decide whether to accept the offer or not. A direct negotiation transaction is when the firm repurchases shares from a major shareholder through private discussions.

The terms of the transaction are negotiated between the two parties and the price may not be the same as the market price.

This is usually done to avoid any disruption to the market. In this type of transaction, the major shareholder may have an advantage as they can negotiate a better price than the market price.

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goofy inc. bought a sizeable amount of crazy co.'s bonds for $202,000 on may 5, 2020, and classified the investment as available-for-sale. the market value of the bonds declined to $113,000 by december 31, 2020. goofy reclassified this investment as trading securities in december of 2021 when the market value had risen to $155,000. what effect on 2021 net income should be reported by goofy for the crazy co. bonds?

Answers

The effect on the 2021 net income reported by Goofy for the Crazy Co. bonds is a gain of $42,000.

- Available-for-sale securities are reported at fair value on the balance sheet, and any unrealized gains or losses are recognized in other comprehensive income (OCI), which is a component of equity¹. Therefore, when the market value of the bonds declined to $113,000 by December 31, 2020, Goofy recognized an unrealized loss of $89,000 ($202,000 - $113,000) in OCI. This loss did not affect net income or retained earnings in 2020.

- Trading securities are also reported at fair value on the balance sheet, but any unrealized gains or losses are recognized in net income¹. Therefore, when Goofy reclassified the investment as trading securities in December of 2021, it had to adjust the carrying value of the bonds to their fair value of $155,000 and recognize an unrealized gain of $42,000 ($155,000 - $113,000) in net income. This gain increased net income and retained earnings in 2021.

- Note that the original cost of the bonds ($202,000) is no longer relevant after the reclassification because both available-for-sale and trading securities are measured at fair value. The only difference is where the unrealized gains or losses are reported: in OCI for available-for-sale securities and in net income for trading securities.

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question content area top part 1 goods that a retailer has available to sell to its customers are classified as inventory. question content area bottom part 1 true false

Answers

The given statement  "The goods that a retailer has available to sell to its customers are classified as inventory," is true. because inventory is a category of goods that a retailer has available to sell to its customers.

It's the value of the goods or raw materials that a company keeps on hand to facilitate its production or sales. In other terms, inventory is the complete sum of products or raw materials that a business has in stock that it hasn't yet sold. Businesses that have inventory on hand are frequently referred to as "inventory-holding" companies. And this statement, "The goods that a retailer has available to sell to its customers are classified as inventory," is true.Therefore, the correct option is TRUE.

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the japanese businessperson appears to prefermultiple choicemore personal space.to do business with someone else.more small talk.to renegotiate.to waste time.

Answers

The Japanese businessperson appears to prefer more personal space to do business with someone else.

This is likely because the Japanese culture values personal space and boundaries, and sees direct interaction as more meaningful than small talk.

This preference for personal space can also influence the negotiation process, as the Japanese businessperson may prefer to quickly come to an agreement rather than waste time with lengthy and in-depth renegotiations.

Explaining further, the Japanese businessperson may also be less inclined to use multiple choice when conducting business, as they may prefer direct interactions to get a full understanding of the situation.

This also ensures that they can negotiate any agreements while fully understanding the details of the transaction, and make informed decisions.

Ultimately, the Japanese businessperson's preference for more personal space and direct communication helps create strong relationships that are built on trust and mutual respect.

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A firm will expand the amount of output it produces as long as its
A. average total revenue exceeds its average total cost.
B. average total revenue exceeds its average variable cost.
C. marginal cost exceeds its marginal revenue.
D. marginal revenue exceeds its marginal cost.

Answers

A firm will expand the amount of output it produces as long as its marginal revenue exceeds its marginal cost. The correct option is (D).

Marginal revenue refers to the incremental revenue gained from producing one additional unit of a good or service. In economics, marginal revenue is a critical concept since it influences the production decisions of businesses. Marginal cost refers to the change in total cost that results from the production of one more unit of a good or service. This concept is used to determine how much production should be increased or decreased based on how much it costs to produce each additional unit. It is a critical concept in business management because it helps determine the optimal level of production at any given time.

Marginal Revenue and Marginal Cost are both essential concepts in microeconomics, and they both play a vital role in determining the optimal amount of goods and services to produce in a given time.

Thus, the correct option is (D).

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fact pattern 2-1a java cafes, inc., and kaffe import corporation dispute a term in their contract . refer to fact pattern 2-1a. resolving the dispute between java and kaffe by having a neutral third party render a binding decision is one of the advantages of

Answers

One of the advantages of resolving the dispute between Java Cafes, Inc. and Kaffe Import Corporation by having a neutral third party render a binding decision is that both parties may be able to reach a mutually agreeable resolution without the need for lengthy and costly litigation.

This type of alternative dispute resolution (ADR) can often be more efficient, cost effective, and less time consuming than traditional legal proceedings. Additionally, the resolution process can be conducted in a confidential setting, protecting the parties involved from potentially embarrassing or damaging disclosures. Furthermore, since the decision is binding, the parties are legally obligated to abide by the outcome.

In the particular dispute outlined in Fact Pattern 2-1a, having a neutral third party render a binding decision can help resolve the issue in an expeditious and impartial manner. Ultimately, the parties will be able to move on with the contractual agreement and any related business dealings in accordance with the agreed upon resolution.

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the process of measuring, communicating, and managing employee performance in the workplace so that performance is aligned with organizational strategy is called . a. performance appraisal b. performance management c. problem-solving d. employee feedback

Answers

The process of measuring, communicating, and managing employee performance in the workplace so that performance is aligned with organizational strategy is called performance management. The correct option is B.

What is performance management?

Performance management is a continuous process in which an organization sets goals, targets, and objectives to enhance the overall productivity of its workforce.

Performance management is the process of measuring, communicating, and managing employee performance in the workplace so that performance is aligned with organizational strategy. It includes a variety of HR procedures and tools used to assist employee development and performance evaluation.

Communicating plays a critical role in performance management. It's critical to provide feedback, goals, and areas for improvement to employees on a frequent basis.

Therefore, the correct option is B.

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the market is currently at equilibrium. if a binding price ceiling of p1 is imposed, by how much would the quantity demanded change from the market equilibrium? a. it would increase by 12,000 units. b. it would decrease by 30,500 units. c. it would decrease by 12,000 units. d. it would increase by 30,500 units. e. it would increase by 30,000 units.

Answers

The market equilibrium is a state in which the supply and demand for a given commodity are balanced at a particular price level. In this state, the price of the commodity is such that the quantity demanded is equal to the quantity supplied. It is said to be at equilibrium. When a binding price ceiling of p1 is imposed, the quantity demanded changes by decreasing by 12,000 units.

An explanation of the solution If a binding price ceiling is imposed on the market, the equilibrium price will be replaced with the price ceiling, and the quantity demanded will exceed the quantity supplied. In this situation, some of the buyers will be unable to obtain the product they desire. To find out how much the quantity demanded will change from the market equilibrium, we must first determine the market equilibrium price and quantity.

We can then compare the quantity demanded at the equilibrium price with the quantity demanded when the price ceiling is imposed. Market Equilibrium is calculated by the intersection of the supply and demand curves. At this intersection point, the supply and demand are equal to each other. It is the price level at which the market is said to be in equilibrium. In this question, the market is already at equilibrium; thus, we can skip the market equilibrium calculation part.

Since the binding price ceiling of P1 is imposed, it means that the ceiling price will be set below the equilibrium price. This implies that the quantity demanded will be higher than the quantity supplied, resulting in a shortage of the product. The difference between the quantity demanded and supplied is 12,000 units, which means that the quantity demanded decreases by 12,000 units. Therefore, option (c) would decrease by 12,000 units is the correct answer.

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a business uses week-by-week sales data to predict sales for the coming week using moving averages. this is an example of: a. moving average times series forecasting method b. experiential smoothing c. delphi method d. market research

Answers

This is an example of Moving Average Time Series Forecasting Method. Moving Average Time Series Forecasting Method is a forecasting technique based on the average of a set of previous data points. The correct answer is Option

In this technique, the average of a given set of data points is calculated and used to forecast the future data points. The data points can be of any duration, such as days, weeks, or months. In this example, the business uses week-by-week sales data to predict sales for the coming week using a moving average.

To calculate the moving average, the business must take the average of the last several weeks' sales data and use that as the forecast for the upcoming week. The number of data points used in the average can vary, depending on the forecast time horizon and the accuracy of the forecast.

Moving Average Time Series Forecasting Method is used to identify trends in sales data and make predictions based on those trends. This method can help businesses make more accurate sales forecasts and better allocate resources.

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the allowance method is required by gaap for financial reporting purposes. group startstrue or falsetrue, unselectedfalse

Answers

The statement "the allowance method is required by GAAP for financial reporting purposes" is True.

The allowance method is a method of accounting for bad debts, which involves estimating the amount of uncollectible accounts at the end of each period.

What is GAAP?

GAAP stands for Generally Accepted Accounting Principles. GAAP refers to a collection of principles, standards, and procedures that businesses must follow while recording and reporting financial transactions and events. It aims to ensure that financial statements are accurate, reliable, and relevant to the needs of stakeholders.

 

The allowance method is required by GAAP for financial reporting purposes. The provision for bad debts or bad debt expense is the amount that a firm adds to its bad debt reserve in a given reporting period. The provision for bad debts is included in the income statement as an expense, which reduces net income.

The bad debt reserve is included in the balance sheet as a contra asset account, which lowers the net value of accounts receivable. By utilizing the allowance method, a business can more accurately estimate its bad debts expense and provide more dependable financial statements.

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according to the experts, the organizations of the 2020s will possess one of the following characteristics: a. heavily analytical approaches to problem-solving b. increased rigidity in organizational culture c. increased product orientation d. learning as a core competency

Answers

According to experts, the organizations of the 2020s will possess increased product orientation, heavily analytical approaches to problem-solving, increased rigidity in organizational culture, and learning as a core competency.

About Organization Oriented

The extent to which individuals identify themselves with the organization's goals, attitudes, and behavioral norms is a likely indicator of the intrinsic satisfaction to be derived from participating in an organizational success.

The previous two sections have focused on the importance of individual and group dynamics in the process of delivering change.

When it comes to the overall organization, although the mix of individual vs. group adopters will be different in each situation, the end goal is to use established individual and group adopters to promote change to the rest of the organization.

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Review the following graph. If Mexico produces 300 million tons of food, it can produce _________ million units of clothing without specialization or trade. Each ton of food in Mexico has an opportunity cost of __________ units of clothing. image Click to view larger image. A. 900; 450 B. 0; 3 C. 450; 3 D. 0; 450 E. 900; 3

Answers

Opportunity cost of producing food in terms of clothing, the maximum amount of clothing that Mexico can produce without specialization or trade is 450 million units of clothing, So, the answer is option c) 450; 3.

Each ton of food in Mexico has an opportunity cost of 1.5 units of clothing. This means that in order to produce one ton of food, Mexico must give up the opportunity to produce 1.5 units of clothing.

To find the maximum amount of clothing that Mexico could produce without specialization or trade, we can use the slope of the production possibilities frontier. The slope is the opportunity cost of producing food in terms of clothing.

We can find the slope by taking the change in clothing divided by the change in food. The slope is given by: (450 million units of clothing - 0 million units of clothing) / (300 million tons of food - 0 million tons of food) = 450/300 = 1.5.

Therefore, the maximum amount of clothing that Mexico can produce without specialization or trade is given by: 300 million tons of food × 1.5 units of clothing per ton of food = 450 million units of clothing.So, the answer is option C: 450; 3.

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what best described the ethical situation when a prospective client sends an email with confidential client information to a lawyer? group of answer choices

Answers

The ethical situation when a prospective client sends an email with confidential client information to a lawyer can be described as a breach of confidentiality and privileged communication.

What is confidentiality and privileged communication?

Confidentiality and privileged communication are two terms that relate to information shared with a lawyer. Privileged communication implies that the information given by the client to the lawyer cannot be used against the client.

Whereas confidentiality means that the lawyer is obliged to keep any information disclosed to them by the client, confidential. It ensures that the lawyer cannot reveal any information to a third party without the client’s consent.

The situation when a prospective client sends an email with confidential client information to a lawyer is an ethical issue. According to the rules of ethics, lawyers are required to keep all client information confidential.

A prospective client who sends confidential client information in an email should be informed of the ethical concerns that surround such an action. If the lawyer replies to the email, they must ensure that they do not provide any confidential client information without first obtaining consent from the prospective client.

What is the implication of the situation?

The implication of the situation when a prospective client sends an email with confidential client information to a lawyer is that the lawyer must ensure that they follow all ethical rules and guidelines. This will enable the lawyer to protect the client’s interests while maintaining their professional responsibility.

If the lawyer fails to protect the client’s information or provide information that has not been authorized by the client, they may face legal and professional consequences.

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what issues should you consider as an hr manager if you are overseeing the design (or redesign) of a benefits program of a large organization?

Answers

As an HR manager overseeing the design or redesign of a benefits program of a large organization, there are several issues to consider

Some of these issues are as follows:

Costs - Consider the total costs of the program and the cost to the organization compared to what the program will offer to employees.

Eligibility - Determine who is eligible for the program and what the criteria for eligibility is.

Coverage - Decide what type of coverage the benefits program will offer.

Flexibility - Determine how flexible the program should be and what options should be available for employees.

Competition - Compare the program to similar ones offered by other organizations and and make sure your program is competitive.

By considering these issues, an HR manager can develop a benefits program that benefits both the employees and the organization.

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please help and please explain why!!!!

Answers

An investment portfolio with 80% of its value in stock A and 20% in stock Bis would have an anticipated return and standard deviation of 7.5% and 9.1%, respectively.

Is the portfolio riskier than the two stocks, and if so, why?

The more stocks you have in your portfolio, the less exposed you are to unsystematic risk. a collection of ten or more equities, particularly those from different businesses or sectors.

Does a portfolio include the stocks A and B?

There are two equities in a portfolio: A and B. The standard deviation of return for stock A is 24%, whereas the standard deviation of return for stock B is 18%. 60% of the portfolio is made up of stock A, and 40% of the portfolio is made up of stock B.

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a company had the following accounts and amounts on december 31. using this information, compute total assets for the company. cash $ 15,000 total equity 27,000 accounts receivable 13,500 services revenue 36,000 equipment 19,500 rent expense 6,000 accounts payable 9,000 wages expense 18,000 multiple choice $28,500. $48,000. $33,000. $34,500. $57,000.

Answers

When receivables are collected, the entity must report them by using debiting money and crediting money owed receivable. The effect of the stated transaction on the complete modern property is zero. Take note that money owed receivable and money are both contemporary assets.

What is the impact of collection of accounts receivable in full on the accounting equation?

Collection of Cash from an Account Receivable

When the enterprise receives money from an accounts receivable, your money account increases by means of the quantity of the collection and the money owed receivable account decreases via the equal amount.

The impact on the company's stability sheet is an extend in present day belongings and an expand in owner's or stockholders' equity. The company's profits assertion will additionally file the quantity of the revenues earned.

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what is the main determinant of a country's standard of living? incomes natural resources productivity gdp

Answers

The main determinant of a country's standard of living is productivity.

Despite the fact that both economic and non-economic factors are measured, economic factors are more important in determining a country's standard of living. Common metrics for assessing a nation's standard of living include gross domestic product (GDP) per capita and per capita income. Our quality of life is a good indicator of our financial health. In other words, it describes the material well-being and standard of living of the citizens of a particular nation.

Productivity is the main factor affecting standard of living and the only one that can be maintained over the long term. A comparison tool used to contrast two different geographic areas is the standard of living. Metrics could include the wealth, comfort, goods, and necessities that residents of various socioeconomic classes can access in those areas.

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according to the simple monetary model, money is growing at 5% in the united states and 6% in the united kingdom, while real gdp is rising at 3% in the united states and at 5% in the united kingdom. what will this do to the exchange rate? (10 points)

Answers

The simple monetary model predicts that the exchange rate between the US and the UK will move in the opposite direction of the difference between money growth rate and real GDP growth rate.

Since the money growth rate in the US is 5%, and the real GDP growth rate is 3%, the exchange rate will appreciate. On the other hand, since the money growth rate in the UK is 6% and the real GDP growth rate is 5%, the exchange rate will depreciate. This means that the US dollar will become stronger relative to the UK pound.

The appreciation of the US dollar is due to the higher money growth rate relative to the real GDP growth rate, which means that there is more money circulating in the US economy relative to the UK economy. This leads to an increase in the demand for US dollars, which in turn causes the value of the US dollar to appreciate.

On the other hand, since the money growth rate in the UK is higher than the real GDP growth rate, there is more money circulating in the UK economy relative to the US economy, leading to a decrease in the demand for UK pounds and a depreciation of the UK pound.

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how were war communism and the new economic policy different in their policies and their results?

Answers

War communism and the New Economic Policy have quite different goals and outcomes. While the New Economic Policy promoted greater economic freedom and market-based policies, War Communism placed a greater emphasis on state control and centralization.

War communism and the New Economic Policy were two distinct economic policies that were implemented in Soviet Russia during the early 20th century. War communism was an emergency measure put in place during the Russian Civil War and aimed to consolidate the revolution and win the war. It emphasized state control and centralization, with the nationalization of industry and the requisitioning of grain from peasants. This led to widespread famine and economic dislocation. In contrast, the New Economic Policy allowed for limited private enterprise, the return of small-scale farming, and the use of currency. This market-oriented approach led to an increase in agricultural and industrial production and a significant improvement in living standards. Ultimately, the New Economic Policy was more successful in stabilizing the economy and setting the stage for future growth.

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a four-year, $19,000, noninterest-bearing note was received by willis company for a credit sale. assuming a market rate of 10%, determine (1) sales revenue recognized upon issuance of the note and (2) interest revenue recognized over the term of the note.

Answers

1. Sales Revenue Recognized

The sales revenue recognized upon issuance of the noninterest-bearing note for a credit sale is the present value of the note at the time of issuance. The present value of the note is calculated by discounting the future cash flows expected to be received from the note to their present value at the time of issuance.

The formula for calculating the present value of the non interest-bearing note is:

P = F / (1 + i)n

Where:

P = Present value of the note

F = Future cash flows

i = Market rate of interest

n = Number of periods

Therefore, the present value of the note is: P = $19,000 / (1 + 10%)4

                                                                        P = $13,191.83

Therefore, the sales revenue recognized upon issuance of the noninterest-bearing note for a credit sale is $13,191.83.

2. Interest Revenue Recognized Over the Term of the Note

The interest revenue recognized over the term of the non interest-bearing note is the difference between the future cash flows expected to be received from the note and the present value of the note at the time of issuance.

Since the note is noninterest-bearing, the future cash flows expected to be received from the note are equal to the face value of the note, which is $19,000.

The present value of the note at the time of issuance is $13,191.83.

Therefore, the interest revenue recognized over the term of the note is:

Interest revenue = Future cash flows - Present value of the note

Interest revenue = $19,000 - $13,191.83

Interest revenue = $5,808.17

Therefore, the interest revenue recognized over the term of the non interest-bearing note is $5,808.17.

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a product sells for $295 per unit, and its variable costs per unit are $217. total fixed costs are $439,000. if the firm wants to earn income of $82,820, how many units must be sold?

Answers

A product sells for 295 per unit, and its variable costs per unit are 217. Total fixed costs are 439,000. If the firm wants to earn income of 82,820, the number of units that must be sold is 6700

Let the number of units that must be sold be x. The contribution margin is calculated as follows:

Selling price per unit - Variable cost per unit = Contribution margin

Therefore, the contribution margin for each unit sold is 295 - 217 = 78.

The total contribution margin for x units sold is 78x.

The equation for calculating the number of units that must be sold is:

Total contribution margin = Total fixed costs + Desired income

Therefore, 78x = 439,000 + 82,820

Simplifying the equation above 78x = 521,820

Dividing both sides of the equation by 78: x = 6,700

Therefore, the firm must sell 6,700 units to earn an income of 82,820.

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catherine, a senior project manager, has advance knowledge of the projects that her team will be handling in the next six months. this is an example of:

Answers

Catherine, a senior project manager, has advanced knowledge of the projects that her team will be handling in the next six months. This is an example of forecasting.

What is forecasting?

Forecasting is the act of anticipating what will happen in the future. It is an essential activity for every business because it aids in planning and avoiding unexpected situations. Forecasting assists businesses in adapting to change by providing them with insights into how their goods, services, and markets may develop.

Forecasting is a difficult activity, but it is essential to make decisions with any level of certainty, and this includes planning, scheduling, and budgeting. There are many different techniques that can be used to make predictions about the future, but they all have one thing in common: the use of data and statistical analysis.

What is the role of the senior project manager?

The Senior Project Manager is a vital position in a company's project management team. They are responsible for ensuring that projects are delivered on time, within budget, and to the required quality standards. In essence, they are accountable for the success of a project, and they are the ultimate decision-maker for project issues that cannot be resolved by the project team.

The senior project manager's responsibilities include directing the project team, communicating with stakeholders, coordinating the project, risk management, problem-solving, and reporting progress to senior management.

In essence, the senior project manager is the person in charge of the project, responsible for ensuring that it is completed on time, within budget, and to the required quality standards.

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the management system that spans the lifetime of the project is called the . multiple choice lifetime cycle model project lifetime model phase gate model lifetime phase exit model lifetime model

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The management system that spans the lifetime of the project is called the project lifetime model.

The project life cycle model is a sequence of stages that a project passes through from inception to completion. The project lifetime model is a management system that spans the lifetime of the project.

The project lifetime model is a dynamic concept that is adjusted to each project's unique circumstances. Project lifetime models are helpful in achieving the following:

Providing a project framework for the planning and management of work and deliverables, Monitoring and controlling project activities, Facilitating communication and collaboration between stakeholders, Assessing and measuring project progress and achievement, Assisting in the identification and resolution of project problems and issues.

A project lifetime model is made up of a series of stages that a project progresses through. The project life cycle phases are as follows: Initiation, Planning, Execution, Control, Closeout.

In conclusion, the management system that spans the lifetime of the project is called the project lifetime model. The project lifetime model is a management system that spans the lifetime of the project and contains various stages, each with its distinct attributes and objectives.

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The present world is an open one. China's post backwardness was due to its closed door policy (to trade]. After the founding of the People's Republic, we were blockaded by others and so the country remained closed to some extent, which created great difficulties for us. We are suggesting that we should develop a little faster and open up to the outside. So, we have opened fourteen medium and large coastal cities to foreign investment, manufacturing and trade. Our socialist economic base is so huge that it can absorb tens and hundreds of billions of dollars of foreign funds without shaking our socialist foundations. Thus, foreign investment will serve as a major supplement to the building of socialism in our country. We believe that the road we have chosen-building socialism with Chinese characteristics-is the right one. We have followed this road for five and a half years and the pace of development has so far exceeded our expectations.
Deng Xiaoping leader of the communist party of China, speech to a Japanese delegation, 1984 All of the following statements about the 1980s and 1990s are factually accurate. Which could have best been cited at the time to explain a limitation in Deng Xiaoping's arguments about the benefits of enacting the reforms proposed in the passage?
- The economic production of many communist states declined partly because they did not have the capital to invest in new manufacturing centers or repair existing centers. - Some Asian states were forced to adopt free-trade, open-market policies as part of receiving economic assistance from the International Monetary Fund.
- Some Asian states reformed their economies based both on froe-trade, open-market policies and the Japanese model of close cooperation between the government bureaucracy and large corporations. - The Soviet Union collapsed in part because the implementation of economic liberalization policies exposed the weakness of its economy.

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The present world is an open one, which was largely due to China's policy change from its closed door policy to trade. After the founding of the People's Republic, China was blockaded by others, leading to a continued closed-door policy to some extent and creating great difficulties for the country. To overcome these difficulties, China opened fourteen medium and large coastal cities to foreign investment, manufacturing and trade.

With the large socialist economic base, China was able to absorb huge amounts of foreign funds while still maintaining its socialist foundations. Thus, foreign investment served as an important supplement to the building of socialism. The chosen road of “building socialism with Chinese characteristics” has been followed for five and a half years and the pace of development has exceeded expectations.

Many communist states saw a decline in economic production due to a lack of capital to invest in new or repair existing manufacturing centers. To receive economic assistance from the International Monetary Fund, some Asian states were forced to adopt free-trade and open-market policies. In contrast, some other Asian states opted to reform their economies based on both free-trade and open-market policies as well as the Japanese model of close cooperation between the government bureaucracy and large corporations. The Soviet Union collapsed partially due to the implementation of economic liberalization policies which exposed the weak economy.
In conclusion, China's change from a closed-door policy to an open one has allowed foreign investment to serve as a major supplement to the building of socialism. This policy shift, as well as free-trade and open-market policies, have been adopted by many countries, in contrast to the Soviet Union which ultimately failed in part due to their economic liberalization policies.

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a decrease in the income tax will result in: group of answer choices the labor demand curve shifting right. neither the labor supply nor the demand curve shifting. the labor supply curve shifting left and the labor demand curve shifting right. the labor demand curve shifting left. the labor supply curve shifting right.

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A decrease in the income tax will result in the labor demand curve shifting right. The correct answer is "the labor demand curve shifting right".

When the income tax rate decreases, people are able to keep more of their money. This means that they have more disposable income to spend on goods and services. As a result, the demand for goods and services increases, which leads to an increase in the demand for labor.

In other words, employers need more workers to meet the increased demand for their goods and services. This causes the labor demand curve to shift to the right. A shift to the right indicates that employers are willing to hire more workers at each wage rate because they expect to sell more goods and services.

As the labor demand curve shifts to the right, there is an increase in the equilibrium wage rate and quantity of labor employed. This means that workers earn higher wages and more workers are employed. Thus, the decrease in the income tax results in a more significant impact on the labor demand curve than on the labor supply curve.

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German luxury car exports were hurt in 2009 as a result of the recession. How would this decrease in exports have affected Germany's aggregate demand curve? O A. The aggregate demand curve would not have shifted, but there would have been a movement up the aggregate demand curve. O B. The aggregate demand curve would have shifted to the right O C. The aggregate demand curve would not have shifted, but there would have been a movement down the aggregate demand curve. OD. The aggregate demand curve would have shifted to the left.

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The decrease in German luxury car exports would have resulted in a decrease in overall demand for German goods, causing the aggregate demand curve to shift to the left.

What do you mean by demand curve?

This is because exports are a component of a country's aggregate demand, and a decrease in exports would lead to a decrease in overall demand for goods and services in the country.

The aggregate demand curve would have shifted to the left. When exports decrease, it leads to a reduction in net exports, which is a component of aggregate demand. As a result, the aggregate demand curve shifts to the left, indicating a decrease in the overall demand for goods and services in the economy.

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if the fbi requests that a broker-dealer provide private customer information in support of an ongoing anti-money laundering investigation, the broker-dealer is obligated to

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As long as the request is made in line with relevant laws and regulations, you must accede to the FBI's request. Broker-dealers are obligated to notify the Financial Crimes Enforcement Network (FinCEN), a division of the U.S. Treasury Department, of any suspicious activity as part of their AML processes.

A financial organisation or individual that purchases and sells assets, such as stocks, bonds, and mutual funds, on behalf of clients is known as a broker-dealer. Broker-dealers may also offer additional services like research, underwriting of securities offerings, and investment advice. They must register with the Financial Industry Regulatory Authority (FINRA) and are governed by the Securities and Exchange Commission (SEC) (FINRA). Broker-dealers must abide by a number of legal regulations, such as those pertaining to anti-money laundering, safeguarding customer accounts, and treating customers fairly. For their services, they often charge commissions or fees, however they may also receive compensation through trading gains, underwriting charges, and other sources.

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