The financing cycle includes procedures for authorizing, executing, and recording transactions that involve:
a. Mortgages
d. Bank Loans
e. Capital Stock
a. Mortgages - This involves a lender providing a loan to a borrower, secured by the borrower's property (i.e. a house). The lender and borrower typically enter into a contract that outlines the terms of the loan, such as the interest rate, repayment period, and other conditions.
d. Bank loans - This involves a lender providing a loan to a borrower, typically secured by the borrower's assets. The lender and borrower typically enter into a contract that outlines the terms of the loan, such as the interest rate, repayment period, and other conditions.
c. Capital stock is the total amount of money a company has to use for investments, operations, and other purposes. It consists of the company's issued shares of common and preferred stock and is obtained from the sale of these shares or from borrowing funds. The capital stock is also known as share capital, shareholder's equity, or a company's net worth.
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A contract with an illegal object is not voidable
True
False
Answer:false
Explanation:
False
A voidable contract is legal. Its a void contract that is illegal- thus this statement is false
Hope this helped you- have a good day bro cya)
What will most likely cause a lender to deny credit?
OA short credit history with high balances
O Possession of two credit cards
OA small amount of debt owed
OA historic credit score of 300
Answer:
A historic credit score of 300
Explanation:
A credit score is a numeric record that expresses the reliability of a borrower to repay loans. The credit score or credit rating is determined by, among other things, credit history, income level, and the individual's income to debt ratio.
Credit scores range between 300 and 850. 300 is the lowest and the poorest score. A score of 300 indicates that the borrower has a bad history of debt repayment. They are always late on repayments, miss on installments, or have defaulted on loans. Lenders consider such persons as high-risk borrowers and are likely to deny them credit facilities.
List three advantages of buying an existing business
Question 7 of 10
Business health insurance plans are
A. required
B. varied
C. non-existent
D. uniform
so
Forward Co. discarded a machine that cost $5,000 and was fully depreciated. The entry to record this transaction would include a credit to the
account.
Based on the fact that Forward Co. discarded a machine with cost $5,000, the entry to record this transaction in the books would include a credit to Machinery.
How do you dispose of fixed assets?When fixed assets are to be disposed of, the accumulated depreciation upt to that point is looked at to calculate the net book value.
This would then show the company if they made a profit or a loss when they sold the fixed asset with a profit being made when the selling price is higher than the net book value.
Regardless of the price the fixed asset is sold at, the company would record a credit to the fixed asset (machinery) account to show that the fixed asset account is decreasing.
In conclusion, there will be a credit to machinery.
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define central bank.
Answer:
An institution that manages the currency and monetary policy of a state of formal monetary union and over sees a banking system. The Federal Reserves are in control of these banks
Explanation:
Good luck
A common law rule that requires that the terms of the offeree’s acceptance adhere exactly to the terms of the offeror’s offer for a valid contract to be formed is called:
1. The Mirror-Image Rule.
2. A Quasi-Contract.
3. Quantum Meruit.
4. An Option Contract
The management of Unter Corporation, an architectural design firm, is considering an investment with the following cash flows: Year Investment Cash Inflow 1 $ 69,000 $ 4,000 2 $ 9,000 $ 8,000 3 $ 9,000 4 $ 10,000 5 $ 13,000 6 $ 11,000 7 $ 14,000 8 $ 12,000 9 $ 11,000 10 $ 11,000 Required: 1. Determine the payback period of the investment. 2. Would the payback period be affected if the cash inflow in the last year were several times as large?
1. The payback period of Unter Corporation's investment occurs in Year 8.
2. The payback period would not be affected if the cash inflow in the last year were several times as large.
What is the payback period?The payback period is the year that investment costs equal cash inflows.
The payback period is a simple investment appraisal technique that does not factor in the time value of money.
The payback period concentrates on the length of time an investor achieves a break-even point.
Year Investment Cash Inflow Cumulative Inflow
1 $ 69,000 $ 4,000 $4,000
2 $ 9,000 $ 8,000 12,000
3 $ 9,000 21,000
4 $ 10,000 31,000
5 $ 13,000 44,000
6 $ 11,000 55,000
7 $ 14,000 69,000
8 $ 12,000 81,000
9 $ 11,000 92,000
10 $ 11,000 103,000
Total $78,000
Thus, in Year 8 (payback period), the investment cost of $78,000 will be fully recovered in cash inflows.
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On November 1, 2021, Vinfast Co. receives $3,600 cash from FPT Co. for consulting services to be provided evenly over the period November 1, 2021, to April 30, 2022—at which time Vinfast credited $3,600 to Unearned Consulting Fees. The adjusting entry on December 31, 2021 would include a
a. Debit to Unearned Consulting Fees for $1,200
b. Debit to Unearned Consulting Fees for $2,400.
c. Credit to Consulting Fees Earned for $2,400.
d. Debit to Consulting Fees Earned for $1,200.
Answer: A. Debit to Unearned Consulting Fees for $1,200
Explanation:
Following the information given in the question, Vinfast Co. receives $3,600 cash from FPT Co. for consulting services to be provided evenly over the period November 1, 2021, to April 30, 2022.
Since we want to know the adjusting entry on December 31, 2021, a period form November 1, 2021 to December 31, 2021 is a period of two months out of the 6 months period. Therefore, the unearned consultancy fee will be:
= $3600 × 2/6
= $1200
Therefore, there'll be a debit to the unearned consulting Fees for $1,200. Also, there'll be a credit to the consulting fees earned account by $1200.
PLS HELPPPPP MEEE FAST
Answer:
Explanation:
the price of the domestic currency with respect to another currency.
so a
The Good Life offers a common stock that pays an annual dividend of $2.7 a share. The company has promised to maintain a constant dividend. How much are you willing to pay for one share of this stock if you want to earn a 9 percent return on your equity investments?
Stock value = Dividend per share / (Required Rate of Return – Dividend Growth Rate).
What is Stock value?An intriguing investment for value investors is a stock that looks to trade at a cheaper price in relation to its fundamentals, such as dividends, earnings, or sales.
An investment that trades for less than what the company's performance might otherwise suggest is called a value stock. Since the price of the underlying shares may not reflect the performance of the company, investors in value stocks try to profit from market inefficiencies.
When a corporation is seen negatively by investors, its stock will trade at a discount. A value stock typically has a lower equity price than the stock prices of businesses in the same sector.
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Which of the following is not a product category?
a. Shaving products
b. Sunscreen
c. Soft drinks
d. Tobacco products
e. All of these are product categories.
Answer:
All of these are product categories.
An increase in supply: (2)
(a) Indicates that more is supplied at higher prices.
(b) Indicates that more is supplied at lower prices.
(c) Indicates that more is supplied at all prices.
(d) The demand curve will become more inelastic.
Answer:
A). Indicates that more is supplied at higher prices.
Explanation:
As per the law of supply, an increase in supply would signify that 'the firms are willing to sell more goods at a higher price' because they can make more profit now as compared to the supply at a lower price. The supply and price of a normal good have a positive association and therefore, an increase in price stimulates the supply as well. However, there are certain other factors responsible for the increase in supply like a fall in costs of production, an increase in the number of producers in the market, etc yet among the given options, the first one asserts a true claim. Thus, option A is the correct answer.
As a stock analyst Mooch covers the common stock of GE, which sells for $11 per share and just paid a dividend of $.52. The best estimate Mooch can come up is that the dividends for GE will be $.55 and then $.605 for the next two years, with steady state annual growth rate of 10 percent thereafter. What required return per year for the common stock of GE must be?
If as a stock analyst Mooch covers the common stock of GE, which sells for $11 per share and just paid a dividend of $.52. The required return per year for the common stock of GE must be is 5%.
How to find the required return?Let make use of Gordon Growth Model to calculate the required return per year for the common stock of GE.
Gordon Growth Model formula:
Required return = D1 / (P0) + g
Where:
D1 = next year's dividend = $.55
P0 = current price of the stock = $11
g = steady state growth rate of dividends =10%
Let plug in the formula
Required return = $.55 / ($11) + 0.10
Required return = 5%
Therefore the required return per year for the common stock of GE is 5%.
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Which situation would MOST benefit from creating performance-based goals?
A singing a favorite song on stage
B. building a dresser and bed for your room
C. succeeding in competitive video gaming
D. buying a new house in a new city
Option D. buying a new house in a new city is the situation would most benefit from creating performance-based goals. So option d is the correct option.
How do performance-based goals work?Employees are expected to meet performance goals, which are short-term objectives. Employees can better comprehend the type of work expected of them or of their roles when goals are clearly defined. Additionally, it aids companies in properly assessing workers and directing them.
A performance-based strategy is what, exactly?Performance-based learning is a method of teaching and learning that places an emphasis on students' ability to carry out or accomplish particular tasks as a result of training. In this paradigm, students show that they can apply or use knowledge rather of just memorizing it.
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in what ways can the strategies of an organization like the African National Congress be compared to those of a business organization? use swot analysis.
The ways in which strategies of an organization like the African National Congress be compared to those of a business organization is assessement of their internal and external environments to develop effective strategies.
How can the strategies be compared to those of a business organization?The strategies of the African National Congress (ANC) can be compared to those of a business organization using the SWOT analysis framework. Strengths of the ANC include its historical legacy, broad support base, and strong leadership.
Weaknesses include internal factionalism, corruption, and limited resources. Opportunities for the ANC include growing youth activism and a focus on social justice issues. Threats include increasing political polarization and economic inequality. Similarly, a business organization would assess its strengths, weaknesses, opportunities, and threats to develop a strategic plan for success.
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For which corporate structure is income and/or losses from the company reported through a means OTHER than personal tax returns?
The answer is Limited partnerships are type of corporate structure in which income and/or losses from the company reported through a means OTHER than personal tax returns.
Profits are passed through to personal tax returns, and the general partner the partner without limited liability, must also pay self-employment taxes.
Why Do We Pay Taxes?Government programs like Social Security and Medicare as well as public infrastructure and services like roads and schools are funded by tax income.
What does economics use as an example of taxation?Taxes are levied on tangible property, such as real estate and business deals like the sale of stocks or the purchase of a home. Taxes might be in the form of income, corporate, capital gains, property, inheritance, or sales taxes.
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Select all that apply
Which statements are true regarding trade credit? (Select all that apply)
It is the most widely used source of short-term funds.
It is used by large and small businesses.
It is usually more convenient than bank loans.
It is more expensive long term than other loans.
Regarding trade credit, the following assertions are true: Both large and small enterprises utilize it. Usually, it is more practical than bank loans. As a result, choices (B) and (C) are accurate.
When products and services are purchased on credit, trade credit refers to the loan provided by one merchant to another. The ability to buy materials on trade credit makes it possible. Business groups frequently utilize trade credit as a form of short-term finance.
Customers that have a respectable level of financial standing and goodwill are given it. 2020 Kuveya
Trade credit may take many different forms and is widely used. Different specialized versions are used by various businesses. They all share the bank loans collaboration of businesses to use money effectively to achieve diverse business goals.
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Answer:
it is you by large and small businesses
it is usually more convenient than bank loans
it is the most widely used source of short term funds
Explanation:
August 1 M. Harris, the owner, invested $8,000 cash and $34,400 of photography equipment in the company. August 2 The company paid $3,300 cash for an insurance policy covering the next 24 months. August 5 The company purchased supplies for $1,520 cash. August 20 The company received $2,100 cash from taking photos for customers. August 31 The company paid $881 cash for August utilities. Analyze each transaction above by showing its effects on the accounting equation—specifically, identify the accounts and amounts (including + or −) for each transaction. Use the following partial chart of accounts: Cash; Supplies; Prepaid Insurance; Equipment; M. Harris, Capital; Services Revenue; and Utilities Expense.
Answer:
Date : August 1
Assets (Cash $8,000 and Equipment $34,400) = Increase $42,400
Liabilities = No Effect
Equity (Capital $42,400) = Increase $42,400
Date : August 2
Assets (Cash and Equipment) = $3,300 decrease -cash and $3,300 increase - equipment
Liabilities = No effect
Equity = No Effect
Date : August 5
Assets (Cash and Supplies) = $1,520 decrease -cash and $1,520 increase - equipment
Liabilities = No effect
Equity = No Effect
Date : August 20
Assets (Cash ) = Increase $2,100
Liabilities = No Effect
Equity (Services Revenue) = Increase $2,100
Date : August 31
Assets (Cash = Decrease $881
Liabilities = No Effect
Equity (Utilities Expense) = Decrease $881
Explanation:
The accounting equation is stated as : Assets = Equity + Liabilities
Each and every transaction first identify the Accounts affected, then determine which accounts fall within the Asset, Equity or Liabilities category and the effect thereof to the category.
If the economy were run with a strictly Keynesian point of view, what would the government's role be in regards to the U.S. economy?
a. The government is responsible for managing the economy.
b. The government is responsible for monitoring the economy but not interfering with it.
c. The government is responsible for managing the economy with a hands-off approach.
Answer:
A.
Explanation:
The keynesian prescription for stabilizing the economy implies government intervention at macroeconomic level-increasing aggregate demand when private demand falls and decreasing aggregate demand when private demand rises.
Data warehouses should be refreshed periodically. To start, all data should be _____.
The first step is to gather all the data from the various sources and load it into the data warehouse.
How can it be explained in detail?ETL stands for extraction, transformation, and loading, and refers to this first stage. Data is gathered from a variety of sources during the extraction stage, including operational systems, transactional databases, and external sources. The data is cleaned, formatted, and changed during the transformation step so that the data warehouse can use it consistently. Last but not least, the converted data is imported into the data warehouse during the loading step.
To guarantee that the data in the data warehouse is correct and current, the data warehouse should undergo frequent refreshment once the initial ETL process is finished and the data is loaded. Regular incremental updates or infrequent complete refreshes are two ways to do this.
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The list price of an item is $96.60. The supplier is offering a series trade discount of 10/10/19. Find the net cost.
The net cost of the item is $
(Round to the nearest cent as needed.)
The net cost of the item, after applying the series trade discount, is $63.41.
To calculate the net cost of the item, we need to apply the series trade discount provided. The series trade discount is given as 10/10/19, which means there are three successive discounts applied.
Let's break down the discounts:
The first discount is 10%.The second discount is 10%.The third discount is 19%.To find the net cost, we need to calculate the price after each discount.
Step 1: Apply the first discount of 10%
List price - (10% of list price)
List price - (10/100 * List price)
List price - 0.1 *
List price = 0.9 * List price
Step 2: Apply the second discount of 10%
0.9 * List price - (10% of 0.9 * List price)
0.9 * List price - (10/100 * 0.9 * List price)
0.9 * List price - 0.09 * List price
0.81 * List price
Step 3: Apply the third discount of 19%
0.81 * List price - (19% of 0.81 * List price)
0.81 * List price - (19/100 * 0.81 * List price)
0.81 * List price - 0.1539 * List price
0.6561 * List price
Now, to find the net cost, we multiply the list price by the result of the series of discounts:
Net cost = List price * 0.6561
Given that the list price is $96.60, we can calculate the net cost:
Net cost = $96.60 * 0.6561
Calculating this, we find:
Net cost = $63.41 (rounded to the nearest cent)
Therefore, the net cost of the item, after applying the series trade discount, is $63.41.
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Federal Semiconductors issued 11% bonds, dated January 1, with a face amount of $800 million on January 1, 2021. The bonds sold for $739,814,813 and mature on December 31, 2040 (20 years). For bonds of similar risk and maturity the market yield was 12%. Interest is paid semiannually on June 30 and December 31. Required: 1. to 3. Prepare the journal entries to record their issuance by Federal on January 1, 2021, interest on June 30, 2021 (at the effective rate) and interest on December 31, 2021 (at the effective rate). 4. At what amount will Federal report the bonds among its liabilities in the December 31, 2021, balance sheet
Answer:
calcule estúpido malparido
Sheffield Company uses a periodic inventory system. For April, when the company sold 560 units, the following information is available. Units Unit Cost Total Cost April 1 inventory 240 $27 $ 6,480 April 15 purchase 370 32 11,840 April 23 purchase 390 35 13,650 1,000 $31,970 Compute the April 30 inventory and the April cost of goods sold using the LIFO method.
Answer:
$19,090
Explanation:
LIFO assumes that the last units to arrive will be sold first. Therefore, the cost of goods sold will be based on later (recent) prices.
Therefore,
Cost of Sales = 390 units x $35 + 170 x $32 = $19,090
Perfect competition is a theoretical construct. Outline some valid criticisms of this model
Perfect competition is thought of as a theoretical idea rather than something that applies to contemporary industry. This is solely attributable to the way that markets are naturally influenced by economic variables, which leads to a clustering of elements.
Criticisms of perfect competitionSome of the criticisms of perfect competition include:
It is frequently argued that the foundation of price theory for product markets, represents all agents as passive, omitting the active attempts to increase one's welfare or profits through price undercutting, product design, advertising, and innovation.Another criticism is that of who sets the price to be followed. The perfect competition model can thus be used to explain a centralized economy rather than a decentralized "market" economy. This implies that such a model is more closely related to communism than to capitalism.Another common criticism is that it is frequently untrue that shifts in supply and demand over the short term affect prices; this is especially true in the manufacturing sector, where production adjustments frequently occur without significantly affecting prices.Learn more on perfect competition here https://brainly.com/question/2964027
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Windborn Company has 15,000 shares of cumulative preferred 1% stock, $100 par and 50,000 shares of $30 par common stock.
The following amounts were distributed as dividends:
20Y1 $30,000
20Y2 12,000
20Y3 45,000
Common Stock
(dividends per share)
I cannot figure out Y1 or Y3
The dividends per share for the common stock in year 1 (Y1) is $0.60 per share, and in year 3 (Y3) is $0.90 per share.
To calculate the dividends per share for the common stock in year 1 (Y1) and year 3 (Y3), we need to determine the total dividends distributed and divide them by the number of common shares outstanding.
Given information:
Cumulative preferred stock: 15,000 shares, 1% dividend
Common stock: 50,000 shares, $30 par value
Dividends distributed:
Y1: $30,000
Y2: $12,000
Y3: $45,000
First, let's calculate the dividends per share for the cumulative preferred stock in each year.
Dividends per share for cumulative preferred stock = (Par value * Dividend rate) / Number of preferred shares
Dividends per share for cumulative preferred stock = ($100 * 1%) / 15,000 shares
Dividends per share for cumulative preferred stock = $1 / 15,000
Dividends per share for cumulative preferred stock = $0.000067 per share
Now, let's calculate the dividends per share for the common stock in year 1 (Y1) and year 3 (Y3).
For Y1:
Total dividends for common stock = Dividends distributed - (Dividends per share for cumulative preferred stock * Number of preferred shares)
Total dividends for common stock = $30,000 - ($0.000067 * 15,000)
Total dividends for common stock = $30,000 - $1.005
Total dividends for common stock = $29,998.995
Dividends per share for common stock in Y1 = Total dividends for common stock / Number of common shares
Dividends per share for common stock in Y1 = $29,998.995 / 50,000 shares
Dividends per share for common stock in Y1 = $0.5999799 per share (rounded to $0.60 per share)
For Y3:
Total dividends for common stock = Dividends distributed - (Dividends per share for cumulative preferred stock * Number of preferred shares)
Total dividends for common stock = $45,000 - ($0.000067 * 15,000)
Total dividends for common stock = $45,000 - $1.005
Total dividends for common stock = $44,998.995
Dividends per share for common stock in Y3 = Total dividends for common stock / Number of common shares
Dividends per share for common stock in Y3 = $44,998.995 / 50,000 shares
Dividends per share for common stock in Y3 = $0.8999799 per share (rounded to $0.90 per share)
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Which of the following would appear in the cash flows from investing activities section of the statement of cash flows?
a. Cash received from stock issued
b. Cash received from bonds payable
c. Depreciation expense on equipment
d. Cash paid for equipment
The correct answer is:
d. Cash paid for equipment
Cash flows from investing activities include transactions related to the acquisition or sale of long-term assets such as property, plant, and equipment. Cash paid for the purchase of equipment would be categorized as an investing activity because it involves the outflow of cash for the acquisition of a long-term asset.
A company uses the periodic average cost inventory method. On August 1, it purchases 5 units units of inventory at $6.50 and on August 20, it purchases 10 units at $7.25. There are 3 units of inventory left at the end of the month. How much is cost of goods sold?
There are just 3 units of inventory left at the end of the month. The price for the goods sold was $82.50.
How does the average cost technique determine ending inventory?Tally every each item in the inventory that is still unsold. Then, multiply that amount by the typical item cost. The result is the overall average cost of ending inventory.
What is the regular inventory's average cost approach?The periodic average cost technique examines inventory by taking into account all period expenditures, invoices, and other alterations that are only known at the end of the period. It is beneficial to periodically value the inventory.
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Target market demographics can help you determine which ____________________ would be most effective for marketing.
A) business card fonts
B) social media platforms
C) style of flyers
Target market demographics can help you determine which social media platforms would be most effective for marketing. Thus, the correct answer is option B.
A target market is a group of people who have been selected as the most likely potential purchasers for a product based on factors such as age, income, and lifestyle.
When a company creates, packages, and advertises its product, identifying the target market is an important element of the decision-making process and helpful in marketing. Everyone who can be defined as belonging to a given age group, income level, gender, occupation, and education level is included in the target market demographics.
Therefore, the appropriate answer is option B.
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Name some of the faculties of Nepal Sanskrit University?
Explanation:
Agricultural Engineering
Answer:
Veda, Philosophy, astronomy, yoga, homeopathy, naturopathy, history, Buddha Darshan etc