Profile information is essential for a planner's Cvent experience as it affects the level of trustworthiness and credibility of the planner's profile. It is highly recommended that planners keep their profile information up-to-date and accurate to ensure that their events are successful.
The profile information of a planner includes details about their professional background, education, experience, contact details, and previous events they have organized. These details help potential attendees, vendors, and suppliers determine whether the planner is suitable for their needs.
A planner's profile also includes their ratings and reviews from previous attendees and suppliers, which can significantly affect their reputation and success in the industry. An incomplete or inaccurate profile may result in a low rating or negative reviews, which can negatively impact a planner's success on the Cvent platform.
Additionally, accurate profile information helps to create a level of trust between the planner and attendees or vendors, which is crucial for the success of any event. Therefore, keeping one's profile information accurate, up-to-date, and complete is crucial for a planner's success on the Cvent platform.
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when one person uses the good, others are also able to use it. A. nonrivalrous. B. unrivalrous. C. unexcludable. D. nonexcludable.
Unexcludable is the person uses the good, others are also able to use it. (C)
Unexcludable goods are goods that are available to everyone and cannot be limited to certain individuals. This means that when one person uses the good, others are also able to use it. This is beneficial to society because more people are able to benefit from the good.
Unexcludable goods are sometimes referred to as “public goods” because everyone can benefit from them, regardless of whether or not they paid for them. Unexcludable goods are usually provided by governments and other public entities, such as parks and public libraries.
These types of goods are usually funded through taxes or other means, and cannot be limited to certain individuals. They are beneficial because they are available to everyone, regardless of income or status, and they often provide important services to a large number of people.(C)
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a corporate bond pays 6.25 percent interest. how much would a municipal bond have to pay to be equivalent to this on an aftertax basis if you are in the 28 marginal percent tax bracket?
To be comparable to a corporate bond earning 6.25% interest on an after-tax basis for someone in the 28% marginal tax bracket, a municipal bond would have to pay a yield of 6.25%.
To compare the after-tax yield of a corporate bond paying 6.25% interest with that of a municipal bond, we need to calculate the taxable equivalent yield of the municipal bond. The taxable equivalent yield is the yield a tax-exempt investment would have to pay to provide the same after-tax return as a taxable investment.
Here's how to calculate the taxable equivalent yield of the municipal bond:
Calculate the after-tax yield of the corporate bond. If the corporate bond pays 6.25% interest, the after-tax yield for someone in the 28% marginal tax bracket would be:
6.25% x (1 - 0.28) = 4.50%
Calculate the taxable equivalent yield of the municipal bond. Let x be the yield of the municipal bond. Since the interest from municipal bonds is tax-exempt, the after-tax yield of the municipal bond is simply x. We need to solve for x such that x is equal to the after-tax yield of the corporate bond, which is 4.50%.
x = 4.50% / (1 - 0.28)
x = 6.25%
Therefore, a municipal bond would have to pay a yield of 6.25% to be equivalent to a corporate bond paying 6.25% interest on an after-tax basis for someone in the 28% marginal tax bracket.
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latoya filed her tax return on february 10 this year. when will the statute of limitations expire for this tax return if latoya understated her income by 40 percent? multiple choice 1 6 years from february 10th 6 years from april 15th 3 years from april 15th 3 years from february 10th indefinitely cannot be opened after april 15th how would your answer change if latoya intentionally failed to report as taxable income any cash payments she received from her clients? multiple choice 2 6 years from february 10th 6 years from april 15th 3 years from april 15th 3 years from february 10th indefinitely cannot be opened after april 15th
The statute of limitations for a tax return is typically 3 years from the due date of the return (April 15th) or the date it was filed (whichever is later). In this case, the statute of limitations would expire 3 years from February 10th.
If Latoya intentionally failed to report any cash payments she received from her clients, the statute of limitations would change from 3 years to 6 years from the date the return was filed (February 10th). This is because the IRS has 6 years to open an audit when a taxpayer has understated their income by more than 25%.
Since Latoya understated her income by 40%, the IRS has 6 years to open an audit.
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which of the following documents will a project manager use to evaluate the impact of a project? final schedule scope document final budget risk register
Scope is the document used by a project manager to analyze performance expectations and quality when monitoring project progress.
The project plan details every task necessary to complete a project. Along with any elements that determine project success, it also contains the features and functions of the end deliverable.
The scope statement, a document that lists a project's goals, deadlines, duties, and outputs, defines the project's scope. Projects have a foundation for success thanks to scope statements, which align standards among stakeholders. Once a project is under way, it is crucial to maintain its direction and boundaries.
A project's objective should always be defined before anything else. A requirement for quality The "goodness" of the finished product extent is measured by its quality. In other words, quality standards are basically limitations imposed on the provided scope.
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you are worried about the risk posed by potentially destructive riots that might effect your $6 million government data center located in a large city in pacific northwest part of the united states. based on opinions by qualified experts, it was determined that there was a chance that your data center would suffer some sort of damage every year. you were advised that the damage would likely destroy p percent of the building and equipment if that happened. what is the single loss expectancy of your data center to destructive rioting?
The single loss expectancy (SLE) of your data center to destructive rioting is the product of the annual rate of occurrence (ARO) and the expected monetary value (EMV).
The ARO is the likelihood that an incident of rioting could occur, and the EMV is the cost of the damage caused. To determine the ARO, you need to consider the size of the city, its population, and any recent history of rioting in the area.
The EMV is the amount of damage that could be done to the data center if an incident of rioting were to occur. This can be calculated by estimating the cost of replacing the equipment and repairs to the building that would be necessary.
Once you have the ARO and EMV calculated, the SLE can be calculated by multiplying the two values. The SLE is the expected monetary loss of the data center if an incident of rioting were to occur. This number can then be used to determine the level of risk associated with keeping the data center in the city.
It is also important to consider other potential sources of damage or destruction that could occur. This could include natural disasters, vandalism, theft, or cyber attacks. In these cases, the same process can be followed to determine the SLE of the data center.
By calculating the SLE of your data center, you can make an informed decision as to whether or not it is worth the risk of keeping it in the city. Additionally, you can use the SLE to calculate the cost of purchasing insurance for the data center.
In conclusion, the single loss expectancy of your data center to destructive rioting can be calculated by multiplying the annual rate of occurrence and expected monetary value. This number can then be used to determine the level of risk associated with keeping the data center in the city.
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in the long run, real gdp will tend to a. move above potential output. b. equal potential output. c. move below potential output. d. move either above or below potential output. e. decrease.
In the long run, real GDP will tend to equal potential output. The correct option is (b).
What is Real GDP?GDP stands for Gross Domestic Product, and it is the total economic output of a country. Real GDP, on the other hand, adjusts the GDP figure to account for inflation over time.
It is the total value of goods and services produced by a country in a year, adjusted for inflation or deflation.
Real GDP is a useful indicator of a country's economic performance over time.
When real GDP rises, it indicates that the country's economy is expanding, while a decline in real GDP indicates that the economy is contracting.
In the long run, the economy will return to its natural rate of output, which is also known as potential output.
Potential output is the economy's capacity to produce goods and services without putting upward pressure on inflation. In the long run, real GDP will tend to equal potential output.
Therefore, the correct option is (b). Real GDP will tend to equal potential output in the long run.
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if the variable cost per unit increases by $1, spending on advertising increases by $1,650, and unit sales increase by 230 units, what would be the net operating income?
The net operating income will be $1,507.
Sales (current) = 22,400
Sales (revised) =[(1,000 + 230) X 22,400/1,000] = 27,552
Variable Expenses (current) = [12,800/1000 = 12.80] = 12,800
Variable Expenses (revised) = [12.80 + 1 = 13.8; 13.8 X 1,250] =17,250
Contribution Margin (current) = 9,600
Contribution Margin (revised) = 11,125
Fixed Expenses (current) = 7,968
Fixed Expenses (revised) = [7,968 + 1,650] = 9,618
Net Operating Income =[11,125 - 9,618]= 1,507
The question is incomplete, complete question "Oslo Company prepared the following contribution format income statement based on a sales volume of 1,000 units (the relevant range of production is 500 units to 1,500 units):
Sales ---------------------22,400
Variable Expenses -------12,800
Contribution Margin -----9,600
Fixed Expenses -----------7,968
Net Operating Income ---1,632
if the variable cost per unit increases by $1, spending on advertising increases by $1,650, and unit sales increase by 230 units, what would be the net operating income?"
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the creation of a single market increases price competition for businesses. in other words, it creates a(n) group of answer choices opportunity. threat. strength. dynamism. weakness.
The creation of a single market increases price competition for businesses. in other words, it creates a(n) (B) threat.
In a single market, businesses from different regions or countries are able to operate freely and compete with one another, leading to a more intense competitive environment. This means that businesses must continually improve their products or services, optimize their costs, and be more efficient in order to maintain or gain market share. A single market may force businesses to lower their prices in order to stay competitive.
As a result, profit margins may decrease, and companies may need to find ways to cut costs in order to maintain profitability. This could lead to potential job losses, reduced investment in research and development, or other negative consequences for the economy. However, it is important to note that a single market can also present opportunities for businesses. Companies that are able to adapt and compete effectively may benefit from the increased access to customers and resources, as well as the potential for economies of scale. This can lead to increased profitability and growth.
In summary, the creation of a single market increases price competition for businesses, which can be considered a threat. Companies need to adapt and find ways to stay competitive in order to succeed in this environment, and those that do may benefit from the opportunities that a single market offers. Therefore, the correct option is B).
The question was incomplete, Find the full content below:
The creation of a single market increases price competition for businesses. in other words, it creates a(n) group of answer choices
A. opportunity.
B. threat.
C. strength.
D. dynamism.
E. weakness.
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benson enterprises pays lower salaries than its competitors in order to control labor costs, especially when the firm's financial condition is weak. which type of compensation policy is most likely in place at benson enterprises? group of answer choices economical pay policy individual rate policy conservative pay policy market lag policy
The type of compensation policy that is most likely in place at Benson Enterprises is the conservative pay policy.
What is a conservative pay policy?A conservative pay policy is a compensation policy in which the organization pays its employees below-market compensation levels. The most common reason for implementing a conservative pay policy is to keep labor costs low when the company's financial situation is weak.
Companies will use this policy to control labor costs and save money. They believe that this policy would help them recover from the crisis. Benson Enterprises pays lower salaries than its competitors to control labor costs, especially when the firm's financial condition is weak. This shows that they have a conservative pay policy in place. So, the correct option is the conservative pay policy.
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for a school economics project, maya has to calculate the future gdp of imaginary country econland 20 years from now. if the present gdp is $985 and the country's growth rate is 5%, what is the future gdp of econland? round your answer to the nearest whole number.
The future GDP of Econland is $2,617.
GDP stands for Gross Domestic Product. It is a widely used economic indicator that measures the total value of all goods and services produced within a country's borders during a specific period, typically a year. GDP provides a measure of the economic activity and size of an economy.
GDP includes the value of goods and services produced by various sectors such as agriculture, manufacturing, services, and construction. It encompasses both consumer spending on final goods and services and investment by businesses and government. GDP also accounts for net exports, which is the difference between exports and imports.
GDP is an important measure for assessing the overall health and growth of an economy. It is used to compare the economic performance of different countries, track changes in economic activity over time, and guide policy decisions.
Future GDP = Present GDP × (1 + Growth Rate/100)^Number of Years
Given that the present GDP is $985 and the growth rate is 5%, and we want to calculate the future GDP 20 years from now, we can substitute these values into the formula:
Future GDP = $985 ×(1 + 5/100)²⁰
Future GDP = $985 × (1.05)²⁰
Future GDP ≈ $985 × 2.653297705
Future GDP ≈ $2,616.56 = 2617$
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suppose the economy currently has an inflationary gap. the fed engages in contractionary monetary policy. the impact of contractionary monetary policy will be to .
The contractionary monetary policy will reduce the inflationary gap in the economy.
The contractionary monetary policy will decrease the supply of money and credit available in the economy, thereby increasing the interest rates. It will discourage borrowing and spending by individuals and companies.
As a result, the demand for goods and services in the economy will decrease, and the aggregate demand curve will shift to the left.
An inflationary gap is a macroeconomic concept that refers to the difference between the actual GDP and the potential GDP of the economy.
If the economy is operating above its full-employment level, there will be upward pressure on prices and wages, leading to inflationary pressures. In this case, the inflationary gap exists. The contractionary monetary policy can be used to close the inflationary gap.
Contractionary monetary policy is a policy implemented by the central bank to reduce the money supply and credit availability in the economy. The aim is to control inflation, reduce demand pressures and stabilize the economy.
The contractionary monetary policy can be implemented through various tools, including raising the reserve requirement, increasing the discount rate, selling government securities, and reducing the money supply.
The impact of contractionary monetary policy is a reduction in the aggregate demand in the economy, which can lead to lower inflation and stable economic growth.
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Which of the following situations will benefit lenders of fixed interest rate loans?
A) The actual inflation rate is equal to the natural rate of unemployment.
B) The actual inflation rate is less than the expected inflation rate.
C)The actual inflation rate is equal to the fixed interest rate.
D) The consumer price index is greater than 100.
E) There is no cyclical unemployment.
The actual inflation rate is less than the expected inflation rate will benefit lenders of fixed interest rate loans.
Option B is correct.
What does a high rate of inflation indicate?A steady rise in overall prices is called inflation. While high inflation can indicate an overheated economy, moderate inflation is associated with economic growth. Demand rises even faster and producers continually raise prices if economic growth accelerates rapidly.
What effect does inflation have?Due to price increases, inflation has a negative effect on households' purchasing power. Different parts of the economy feel the effects of inflation, which are good for some and bad for others.
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the objective of assembly-line balancing is to: question 29 options: minimize the imbalance among workstations while trying to achieve a desired output rate. maximize the cost of operations while trying to reduce the cycle time. maximize the cycle time while trying to minimize the cost of operations. minimize the imbalance among workstations while trying to maximize the cycle time.
The target of assembly-line balancing is to minimize the imbalance among workstations while attempting to accomplish an output rate. option (A) is correct.
Line balancing's primary goal is to uniformly convey the responsibility across the workstation to decrease both man-machine inactive time and the general measure of inactive time on a given degree of creation.
The principal objective of line adjusting is to convey the errand equitably over the workstation so that inactive opportunity to the man of the machine can be limited [2] and to limit the complete inactive time all in all workstation on a specific degree of result [3] as a rule, the primary reason for line adjusting is how to limit the number. Therefore, option (A) is correct.
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This question is not complete, Here I am attaching the complete question:
The objective of assembly-line balancing is to:
A. minimize the imbalance among workstations while trying to achieve a desired output rate.
B. maximize the cost of operations while trying to reduce the cycle time.
C. maximize the cycle time while trying to minimize the cost of operations.
D. minimize the imbalance among workstations while trying to maximize the cycle time.
Discuss whether or not private sector firms are likely to charge lower prices than public sector firms.
Answer: Maybe not
Explanation:
Private sectors are expensive. Theoretically, they are basically customer oriented and do not come under any political pressure. However, in terms of public sector firms, they are more likely to be influenced by political pressures.
Public sectors are less expensive but deteriorate in terms of quality. On the other hand, the private sectors appear to be good in terms of quality. Thus, if the public sector increases its quality and if government works well on the quality issue, the problem can be solved.
There can be many ways that the government can help with the issue. One way is that the government can raise funds for the public sector. By doing such, middle-class people especially can get help as the prices tend to be low in public sector firms. It is also found that though of low quality but middle-class people tend to move towards the public sector more.
your father is now planning to retire, and his employer has promised him a guaranteed, but fixed, income of $50,000 per year for the rest of his life. if the rate of inflation is 5% per year, how much in current dollars will the payment at the end of 20th year be worth? a. $19,798.47 b. $20,800.77 c. $20,293.43 d. $18,844.47 e. $19,315.58
At the end of the twentieth year, the present value of the guaranteed income payment is $18,844.47. Option D is correct.
To determine the value of the guaranteed income in today's dollars, we need to adjust for the effects of inflation over the next 20 years. We can use the following formula to calculate the present value of the future payments:
Present Value = Future Value / (1 + r)^n
Where:
⇒ r = the inflation rate
⇒ n = the number of years in the future
In this case, we need to find the present value of the income payment at the end of the 20th year, which means that n = 20. The future value of the income payment is $50,000, and the inflation rate is 5%. Substituting these values into the formula, we get:
⇒ Present Value = $50,000 / (1 + 0.05)^20
⇒ Present Value = $50,000 / 2.6533
⇒ Present Value = $18,844.47
Therefore, the present value of the guaranteed income payment at the end of the 20th year is $18,844.47. Option D is correct.
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which of the following direct labor variances uses the standard hours allowed for the actual number of units produced? price efficiency a. yes yes b. no no c. yes no d. no yes multiple choice option b option d option c option a
The correct option is B and D, that is, no, no, and yes.
The direct labor variance that uses the standard hours allowed for the actual number of units produced is called "efficiency variance". Option B and D are correct because efficiency variance uses the standard hours allowed for the actual number of units produced.
What is Direct Labor Variance?
The difference between actual direct labor costs and standard direct labor costs is referred to as direct labor variance. It aids in determining the efficiency of the direct labor force.
There are two types of direct labor variances: Rate Variance and Efficiency Variance.
What is the Efficiency Variance?
The Efficiency Variance is defined as the difference between the actual time worked by the employees and the standard time allowed for the actual number of units produced.
If the actual working hours of the employees are greater than the standard time allowed, the variance will be negative, indicating that the workforce is not as efficient as expected. A favorable efficiency variance occurs when actual time worked is less than standard time allowed for actual output.
Therefore, the correct option is B and D, that is, no, no, and yes.
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organizations must communicate benefits information to employees so that they will group of answer choices be informed of future career opportunities within the organization. be legally liable in an employee lawsuit. appreciate the value of their benefits. be motivated to work harder. choose the least-expensive benefits package.
Organizations must communicate benefits information to employees so that they will appreciate the value of their benefits.
Clearly outline the benefits: Begin by providing a clear and concise outline of the benefits package offered by the organization. This may include health insurance, retirement plans, paid time off, and any other perks provided to employees.
Explain the value: Help employees understand the monetary value of the benefits package. By providing comparisons to industry standards or discussing the costs the organization is covering on their behalf, employees can better appreciate the value of the benefits they receive.
Provide resources: Offer employees resources, such as brochures, webinars, or workshops, that can help them better understand the benefits package and how it impacts their overall compensation. Encourage questions and feedback: Create open channels of communication where employees can ask questions or provide feedback about the benefits package. This not only helps to ensure they understand the information, but also fosters a positive and open work environment.
Communicate changes and updates: Regularly update employees on any changes or enhancements to the benefits package, so they are always informed of the latest offerings.
Link benefits to company culture: Emphasize how the benefits package aligns with the organization's values and culture, helping employees feel more connected to the company.
By following these steps, organizations can effectively communicate benefits information to their employees, ensuring they appreciate the value of their benefits and feel more motivated to work harder. This will also help in creating a positive work environment and fostering employee loyalty.
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thurman corporation issued 300,000 shares of $0.50 par value capital stock at its date of incorporation for cash at a price of $4.5 per share. during the first year of operations, the company earned $120,000 and declared a dividend of $35,000. at the end of this first year of operations, the balance of the common stock account is:
The balance of the common stock account at the end of Thurman Corporation's first year of operations is $150,000
Explanation:
Given,
Thurman Corporation issued 300,000 shares of $0.50 par value capital stock at its date of incorporation for cash at a price of $4.5 per share.
During the first year of operations, the company earned $120,000 and declared a dividend of $35,000.
Balance of the common stock account is to be calculated.
Common stock account is shown on the Shareholder's Equity section of the balance sheet and represents the total par value of common stock that is authorized and issued.
To find the balance of the common stock account, the par value of common stock issued must be multiplied by the number of common stock shares issued.
So, Balance of the common stock account = Par Value of Common Stock × Number of Shares Issued
Par Value of Common Stock = $0.50
Number of Shares Issued = 300,000
The balance of the common stock account = $0.50 × 300,000 = $150,000
At the end of this first year of operations, the balance of the common stock account is $150,000.
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complete computer services reports total assets of $1,000, total liabilities of $200, and total equity of $800.what is complete computer services debt ratio?
1.) You are looking to buy a car and you have been offered a loan with an APR of 6%?, compounded monthly.
a. What is the true monthly rate of? interest?
b. What is the? EAR?
The true monthly rate of interest is 0.5%.
EAR is the 6.17%.
a. The true monthly rate of interest can be found by dividing the APR (annual percentage rate) by the number of months in a year, which is 12. So, 6% divided by 12 is 0.5%. Therefore, the true monthly rate of interest is 0.5%.
b. The EAR (Effective Annual Rate) takes into account the effects of compound interest. To calculate the EAR, we first need to calculate the periodic rate of interest, which is the interest rate per compounding period. In this case, the periodic rate of interest is the monthly rate of interest, which we have already calculated as 0.5%. The formula to calculate EAR is:
EAR = (1 + periodic rate of interest)^n - 1
where n is the number of compounding periods in a year. Since the loan is compounded monthly, n = 12. Plugging in the values, we get:
EAR = (1 + 0.5%)^12 - 1
EAR = 6.17%
Therefore, the EAR on the loan with an APR of 6%, compounded monthly, is 6.17%.
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your parents are giving you $260 a month for 4 years while you are in college. at an interest rate of .59 percent per month, what are these payments worth to you when you first start college in one month?
The total value of the payments received at the start of college in one month is $11,228.69.
The value of the monthly payments of $260 for 4 years at an interest rate of 0.59 percent per month, when received at the start of the college term in one month, can be calculated using the present value formula.
The present value of the payments is the sum of the present values of each individual payment. The present value of a single payment can be calculated using the formula:
PV = FV / (1 + r)^n
where PV is the present value, FV is the future value, r is the interest rate per period, and n is the number of periods.
For the given scenario, the total number of periods is 48 (12 months x 4 years), and the interest rate per period is 0.59 percent.
Therefore, the present value of the payments is:
PV = $260 x [1 - 1 / (1 + 0.0059)^48] / 0.0059
PV = $11,228.69
Thus, the total value of the payments received at the start of college in one month is $11,228.69.
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do the benefits of encouraging customers to provide feedback outweigh the risks? why/why not?
Yes, the benefits of encouraging customers to provide feedback outweigh the risks.
The reason why the benefits of encouraging customers to provide feedback outweigh the risks is because of the following reasons: Feedback helps to identify the areas that need improvement, as well as the areas in which a company is doing well.
A customer who receives excellent service is more likely to return to the business for future purchases and recommend it to others. Customers who receive poor service, on the other hand, are more likely to express their dissatisfaction to others, resulting in negative word-of-mouth advertising. Feedback from customers may assist in determining whether or not a product or service is effective in achieving its intended goals.
Businesses can make better-informed decisions as a result of this knowledge. Risks may arise if a customer is dissatisfied with the product or service and chooses to share negative feedback with others, causing harm to the business's reputation. Nonetheless, by actively encouraging feedback, businesses can quickly address any problems that arise and show their customers that they care about their opinions.
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he essential point of a double-entry system of accounting is that every transaction: multiple choice affects accounts on both sides of the balance sheet. is recorded in both the journal and the ledger. increases one ledger account and decreases another. affects two or more ledger accounts and is recorded by an equal dollar amount of debits and credits.
The essential point of a double-entry system of accounting is that every transaction affects two or more ledger accounts and is recorded by an equal dollar amount of debits and credits.
The double-entry system of accounting is a bookkeeping method that records each financial transaction with equal and opposite entries to two distinct accounts.
A double-entry bookkeeping system is based on the accounting equation that assets equal liabilities plus equity. Double-entry bookkeeping is designed to minimize errors and to provide a detailed view of the financial situation of a company.
Every transaction affects two or more accounts, and the dollar amount of the debit must equal the dollar amount of the credit.
As a result, each transaction is recorded in at least two accounts, and the total debits must equal the total credits. To summarize, a double-entry system of accounting is characterized by transactions that affect two or more accounts and are recorded by equal dollar amounts of debits and credits.
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which type of information system is used only by operational managers
a. Transaction processing system
b. Information reporting system
c. Decision support system
d. Management analytic system
e. Expert system
The information system that is used only by operational managers is the Transaction processing system. The correct answer is option a.
Why do Operational Managers use Transaction Processing Systems?The primary reason why operational managers utilize Transaction Processing Systems (TPS) is that they need to handle the day-to-day activities of the organization. These activities consist of routine and repetitive tasks that are done on a regular basis. To complete these tasks, the managers need a TPS. They also need the system to record and analyze data to determine whether or not the tasks were done efficiently and effectively.
TPS are used to handle large volumes of data on a regular basis. These systems may be used in various fields such as finance, healthcare, manufacturing, and retail, among others. They can assist with anything from basic record-keeping to inventory management and order processing.
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katlin told her real estate agent that she is looking for an investment property. she recently took a class on buying low and selling high, so she plans to buy a home in a low-income neighborhood, furnish it with high-end appliances and all the latest in home technology. her real estate agent cautions her against this strategy, because...?
Katlin's real estate agent is cautioning her against this strategy because investing in low-income neighborhoods carries higher risks due to a less-stable housing market.
Home values can be unpredictable, and the supply of potential buyers is often lower.
In addition, it is possible that the higher-end appliances and home technology may not add value to the property and can add additional costs to the investment.
It is important to conduct thorough research and consider all risks before making such a large investment.
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five tips on how to properly manage the money saved
Set up the right bank accounts.
Take stock of your current financial situation.
Make a plan for your money.
Set the right financial goals when deciding how to manage your money.
Check in with your finances every day.
what is the profitability index for an investment with the following cash flows given a 14.5 percent required return?
The profitability index for the given investment is 1.9568.
The profitability index (PI) for an investment with the given cash flows and a required return of 14.5% is calculated as follows:
PI = Present Value of Future Cash Flows / Initial Investment = ∑ t = 0 n (Cash Flow at period t / (1 + r)^t ) / Initial Investment
Where ‘r’ is the required return and ‘n’ is the number of periods of cash flows.
For example, let’s assume an investment of $10,000 and cash flows at the end of year 1, 2, and 3 are $5,000, $7,000, and $9,000, respectively. The PI calculation would be:
PI = ($5,000 / (1 + 14.5%)^1) + ($7,000 / (1 + 14.5%)^2) + ($9,000 / (1 + 14.5%)^3) / $10,000
PI = $19,567.95 / $10,000
PI = 1.9568
Therefore, the profitability index for the given investment is 1.9568.
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what should an adjustment letter focus on? check all that apply. preventing a recurrence of the problem blaming the customer apologizing explaining the resolution to the problem communicating compliance
An adjustment letter should focus on preventing the recurrence of the problem, apologizing, explaining the resolution to the problem, and communicating compliance. These are the things that an adjustment letter should focus on.
An adjustment letter is a written communication that a business makes in response to a customer's claim. The letter's aim is to resolve the problem that the customer has complained about by promising to take appropriate action.Resolution: An adjustment letter should explain the resolution to the problem. It is the most critical aspect of an adjustment letter. The issue may be resolved, and the company must convey to the client that they have taken appropriate measures to resolve the issue.Apologizing: Apologizing is also necessary in an adjustment letter. The company should be sorry for any inconvenience caused to the customer. When the business apologizes, it demonstrates that they value their customers.Preventing a recurrence of the problem adjustment letter should also focus on preventing a recurrence of the problem. This is an important aspect of an adjustment letter because it demonstrates that the company is committed to preventing the same problem from recurring in the future. Lastly, an adjustment letter should focus on communicating compliance. The company should assure the customer that they are in compliance with all relevant laws and regulations, and that they are taking all necessary steps to ensure that the same problem does not occur again.Learn more about the resolution here: https://brainly.com/question/31197831
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if direct labor costs are 10000, factory overhead costs are 12000, costs of raw materials requisitioned are 50000, and ending wip is 10000, what is the cost of goods manufactured?
The cost of goods manufactured is $69,000.
Explanation:
To calculate the cost of goods manufactured, we can use the following formula:
Cost of goods manufactured = Direct labor costs + Factory overhead costs + Costs of raw materials requisitioned - Beginning work-in-progress inventory + Ending work-in-progress inventory
Cost of goods manufactured = $10,000 + $12,000 + $50,000 - $0 + $10,000
Cost of goods manufactured = $82,000 - $10,000
Cost of goods manufactured = $72,000
Therefore, the cost of goods manufactured is $72,000.
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which of the following is deductible in calculating drd modified taxable income? group of answer choices charitable contribution deduction dividends received deduction
Charitable contribution deductions are deductible in calculating dividends received deduction (DRD) modified taxable income. This deduction is available for individuals and corporations.
The DRD is also deductible in calculating modified taxable income. This deduction is available to both corporations and individuals and allows them to deduct 70% of the qualified dividends received during the year. The remaining 30% is then subject to taxation. The dividends must also be received from a qualified corporation in order to be eligible for the deduction.
Charitable contributions and dividends received deductions are both deductible in calculating DRD modified taxable income. To qualify for either deduction, contributions must be made to a qualified organization, and dividends must be received from a qualified corporation.
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