The correct answer is assessing the needs of organization and the skills of the employees.
What are employees?Employees are individuals who work for a company, organization, or government agency in exchange for compensation. They are hired to perform various roles and responsibilities, which may range from administrative tasks to specialized technical work. Employees are usually managed by supervisors or managers who provide guidance and oversight in their work. Employment typically involves a contractual agreement between the employee and the employer, outlining the terms of their relationship. These terms may include job duties, compensation, benefits, working hours, and other conditions of employment. Employees are an essential component of any business or organization, as they contribute their skills, knowledge, and labor to help achieve the goals and objectives of the company. Their efforts help drive growth, innovation, and success for the organization as a whole.
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What part of the promotional campaign should change across different
promotional materials?
Answer:
information about products or services
Explanation:
The part of the promotional campaign that should change across different promotional materials is Information about products or services as new products and services are added or removed from the company's products and services.
What is a promotional campaign?An integrated marketing communication or a promotional campaign is made up of a number of advertisement messages that all have the same idea and theme.
Because it is an essential component of the firm's identification, a company's slogan, logo, and brand name should be distinctive across all promotional materials. If any of these elements change, it will cause confusion for customers who were doing business with the company before the changes.
As a result, the information regarding items or services should be updated as frequently as feasible throughout various advertising materials.
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Your question is incomplete, but most probably the full question was,
What part of the promotional campaign should change across different promotional materials?
A. Slogan
B. Information about products or services.
C. Company logo.
D. Brand name.
For an ethics and compliance program to properly function, a.it is not necessary to set measurable program objectives. b.the company must wait until after misconduct occurs to develop a means of preventing it. c.consistent enforcement and disciplinary action are essential. d.employees must be monitored using any means necessary. e.the same program should be used in all countries of operation, regardless of cultural differences.
Consistent enforcement and disciplinary action are essential for an ethics and compliance program to function properly.
What is the importance of organizational ethics?A company's policies and codes of ethics serve as a guide for employee behavior, creating an environment focused on development, respect and collaboration.
Therefore, ethics must be coordinated, controlled and reviewed to be consistent with a positive organizational culture.
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At September 30, the end of Beijing Company’s third quarter, the following stockholders’ equity accounts are reported.
Common stock, $12 par value $ 360,000
Paid-in capital in excess of par value, common stock 110,000
Retained earnings 380,000
In the fourth quarter, the following entries related to its equity are recorded.
Date General Journal Debit Credit
Oct. 2 Retained Earnings 50,000
Common Dividend Payable 50,000
Oct. 25 Common Dividend Payable 50,000
Cash 50,000
Oct. 31 Retained Earnings 67,000
Common Stock Dividend Distributable 32,000
Paid-In Capital in Excess of Par Value, Common Stock 35,000
Nov. 5 Common Stock Dividend Distributable 32,000
Common Stock, $12 Par Value 32,000
Dec. 1 Memo—Change the title of the common stock
account to reflect the new par value of $4.
Dec. 31 Income Summary 250,000
Retained Earnings 250,000
Required:
2. Complete the following table showing the equity account balances at each indicated date.
At September 30, the end of Beijing Company’s third quarter, the following stockholders’ equity accounts are reported.
Common stock, $12 par value $ 360,000
Paid-in capital in excess of par value, common stock 110,000
Retained earnings 380,000
In the fourth quarter, the following entries related to its equity are recorded.
Date General Journal Debit Credit
Oct. 2 Retained Earnings 50,000
Common Dividend Payable 50,000
Oct. 25 Common Dividend Payable 50,000
Cash 50,000
Oct. 31 Retained Earnings 67,000
Common Stock Dividend Distributable 32,000
Paid-In Capital in Excess of Par Value, Common Stock 35,000
Nov. 5 Common Stock Dividend Distributable 32,000
Common Stock, $12 Par Value 32,000
Dec. 1 Memo—Change the title of the common stock
account to reflect the new par value of $4.
Dec. 31 Income Summary 250,000
Retained Earnings 250,000
Required:
2. Complete the following table showing the equity account balances at each indicated date.
Investing in the project is a better decision.
The Beijing Company equity account balances are listed below at each indicated date, for which the equity accounts are mentioned on September 30.
Statement of Stockholders’ Equity
Account Titles
October 2
October 25
October 31
November 5
December 31
Common Stock
$360,000
$360,000
$360,000
$360,000
$360,000
Paid-in capital in excess of par value, common stock
$110,000
$110,000
$145,000
$145,000
$145,000
Retained earnings
$330,000
$280,000
$347,000
$315,000
$565,000
Common dividend payable
$50,000
$0
$0
$0
$0
Common stock dividend distributable
$0
$0
$32,000
$0
$0
Cash
$0
$50,000
$0
$0
$0
Income summary
$0
$0
$0
$0
$250,000
Since no stock transactions were executed, the amounts of the common stock, paid-in capital in excess of par value, and retained earnings accounts remained constant. From the retained earnings account, common dividends totaling $100,000 were paid in the fourth quarter. On October 31, the company declared a stock dividend, which was reflected in the accounts via a journal entry. As a result, the retained earnings account was debited for $67,000, the common stock dividend distributable account was credited for $32,000, and the paid-in capital in excess of par value, common stock account was credited for $35,000. The company’s common stock account was credited for $32,000 on November 5, reflecting the stock dividend’s issuance.
The common stock account was then renamed on December 1 to reflect the new $4 par value. As a result of a net income of $250,000 during the fourth quarter, the company credited its income summary account for $250,000, which was then debited to its retained earnings account to close the books at the end of the period.
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If a product is considered a bundle of attributes, what would be two attributes of a tube of toothpaste
If a product is considered a bundle of attributes, the two attributes of a tube of toothpaste will be: Weighs 10 grams and is Water resistant.
A product is considered a bundle of attributes that could be tangible or not.
In describing the product attributes of a toothpaste tube, we could reference the fact that it is lightweight and is resistant to water.
These attributes are the features that make the product attractive to consumers.
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Answer: Flavor of toothpaste & Size of container
Explanation:
The correct answer for smartbook.
explain which of the following approaches to strategy formulation is more likely to generate economic profits
Utilizing internal resources offers a company a superior competitive edge because they are already available to generate economic profit.
What is Profit in terms of Economics?In accounting, a profit is an income that is given to the owner throughout a successful market producing process. Profitability, which is the owner's primary interest in the income-formation process of market production, is measured by profit. There are various profit metrics that are frequently used. Profit is the term used to describe the financial gain experienced when the revenue from a commercial activity exceeds the costs, costs, and taxes associated with maintaining that activity. Income is the actual amount of money earned in a certain time period, whereas profit is the difference
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SEC Filings for HCA Healthcare, Inc.
Select the most recent 10-Q filing and review the contents. In particular, review the section on revenue amounts from third-party payers (i.e. Medicare, Medicaid, Managed Care and Insurers, etc.)
Write a 2- to 3-page analysis of the sources of revenue. Be sure to define each source of revenue and describe the advantages and disadvantages of each source from the perspective of the healthcare manager.
The most recent 10-Q filing for HCA Healthcare, Inc. provides insights into the sources of revenue, particularly from third-party payers such as Medicare, Medicaid, Managed Care, and Insurers. These sources of revenue play a crucial role in the company's financial stability and growth.
Third-party payers, including Medicare, Medicaid, Managed Care, and Insurers, contribute significantly to HCA Healthcare, Inc.'s revenue stream. Medicare is a federal health insurance program primarily serving individuals aged 65 and above, while Medicaid is a joint federal and state program that provides coverage for low-income individuals. Managed Care refers to health plans that contract with healthcare providers to provide services at discounted rates, and Insurers include private insurance companies.
Each revenue source has its own advantages and disadvantages for healthcare managers. Medicare payments offer advantages such as a large patient population and standardized reimbursement rates. The predictable reimbursement rates allow for better financial planning and stability. However, Medicare reimbursements are often lower than the cost of providing services, which can impact profitability. Additionally, the complex regulations and documentation requirements associated with Medicare can create administrative burdens for healthcare managers.
Medicaid payments, on the other hand, provide access to a different patient demographic and can help healthcare managers fulfill their mission of providing care to underserved populations. Medicaid reimbursements are generally higher than Medicare, but they can still be lower than the cost of providing services. Medicaid programs are administered by individual states, leading to variations in reimbursement rates and requirements across different regions. Healthcare managers need to navigate these variations and ensure compliance with state-specific regulations.
Managed Care contracts can offer advantages such as a steady stream of patients and the potential for increased patient volume due to network affiliations. These contracts often negotiate discounted reimbursement rates, which can impact profitability.
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Splish Furniture factors $720000 of receivables to Bramble Factors, Inc. Bramble Factors assesses a 4% service charge on the amount of receivables sold. Splish Furniture factors its receivables regularly with Bramble Factors. What journal entry does Splish make when factoring these receivables
Splish makes a Journal entry when factoring these receivables is equal to $28,800.
When factoring, the business actually sells its accounts receivable and receives cash from the company buying the receivables. The selling company will record the % fee from the factoring or buying firm as a loss in its financial statements.
The journal entry is shown below:
Cash A/c $6,91,200
Service Charge Expense A/c $28,800
To Accounts Receivable A/c $720,000
(Being the cash is received and the remaining balance is debited to the cash account )
The computation of the service charge expense is shown below:
= Accounts Receivable × service charge percentage
= $720,000 × 4%
= $28,800
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In the economy of Panica, the money supply is $10,500 with $5,000 held in bank deposits, and the remainder as currency. Bank reserves in Panica are $500.
Based on the above information, answer the following questions.
(a) Calculate the reserve-deposit ratio and the currency-deposit ratio.
(b) Calculate the money multiplier. Round your answer to two decimal points.
(c) Suppose the monetary base increases to $7,000. Calculate the change in the money supply, assuming the money multiplier remains constant at the level calculated in part (b).
(d) Suppose confidence in the banking system improves, resulting in people holding half of their money as currency and half as deposits. How will this affect the currency-deposit ratio, the monetary base, and the money supply? Briefly explain your answers. No calculations are required.
(e) Suppose the money supply increases by 5%.
According to the classical model, what is the impact of the growth in the money supply on real GDP growth? Briefly explain your answer.
Assume constant velocity, real GDP growth of 4% and a real interest rate of 1%. Calculate inflation and the nominal interest rate.
(a) The reserve-deposit ratio and Currency-deposit ratio is 0.1 and 1.1 (b)the money multiplier is 10. (c)the money supply decreases by $35,000.(d) there will be no impact on real GDP growth (e) the inflation rate is 1%, and the nominal interest rate is 2%.
(a) Reserve-deposit ratio: The reserve-deposit ratio is calculated as a ratio of bank reserves to bank deposits.
Reserve-deposit ratio = Bank Reserves / Bank Deposits= $500 / $5,000= 0.1
Currency-deposit ratio : The currency-deposit ratio is the amount of currency per unit of bank deposits.
Currency-deposit ratio = Currency / Bank Deposits= ($10,500 - $5,000) / $5,000= 1.1
(b) Money multiplier : Money multiplier = 1 / Reserve-deposit ratio= 1 / 0.1= 10
Therefore, the money multiplier is 10.
(c) Change in money supply : The money multiplier remains constant; thus, we can use the equation below to calculate the change in money supply.
Change in Money Supply = Change in Monetary Base x Money Multiplier
Change in Money Supply = ($7,000 - $10,500) x 10= -$35,000
Therefore, the money supply decreases by $35,000.
(d) Effect of improved confidence in the banking system. If people hold half of their money as currency and half as deposits, the currency-deposit ratio will increase.The monetary base will remain the same, but the money supply will decrease as banks hold higher reserves because the reserve-deposit ratio increases.
(e) Impact of growth in the money supply on real GDP growth. According to the classical model, there will be no impact on real GDP growth because an increase in the money supply will lead to an increase in prices, causing inflation and nominal interest rates.
Inflation rate = Money Supply Growth Rate - Real GDP Growth Rate= 5% - 4%= 1%
Nominal Interest Rate = Real Interest Rate + Inflation Rate= 1% + 1%= 2%
Therefore, the inflation rate is 1%, and the nominal interest rate is 2%.
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Our Blue Buggy Negotiation Was An Example Of , Which Is A Gap Between The Buyer's Barganing Zone . In This Case , There Should Not Be A Deal Made.
The zone of potential agreement, also known as the bargaining zone is thought to be a place where two or more sides to a negotiation might discover common ground.
Parties will frequently make concessions and reach an agreement in this area. The parties to a negotiation must strive toward a common objective and look for a solution that incorporates at least some of each party's ideas in order to reach a settlement or an agreement.
Negative bargaining is when participants to a negotiation are unable to achieve a ZOPA. A contract cannot be reached in a negative negotiation zone because it is impossible to satisfy the wants and desires of all parties in such a situation.
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A company's profits decline because it lost a government contract. This company has been exposed to:
political risk
business risk
regulatory risk
market risk
business risk
B. Business risk refers to inadequate profits or loss due to uncertainties such as changes in consumer tastes, increased competition, strikes, changes in government policy, obsolescence, etc. Political risk is the risk of investing in countries with weak political systems. Regulatory risk is the risk of changes in regulations or tax laws negatively affecting a company. Market risk is the risk of a market price decline.
A company's profits decline because it lost a government contract. This company has been exposed to Business Risk. Business risk refers to the possibility of inadequate profits or even losses due to uncertainties or unforeseen events that impact the business's operations.
Business risk is an inherent part of conducting business, covering a broad range of factors that can lead to financial loss. These can include changes in market conditions, such as losing a significant contract like a government contract in this case, competition, changes in consumer behavior, or disruptions to supply chains. It could also encompass regulatory or political risks if changes in laws or regulations or political instability directly affect the company's operations. However, in the provided scenario, the loss of a government contract would typically fall under business risk, as it directly relates to the company's operational circumstances and market conditions.
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In practice, a common way to value a share of stock when a company pays dividends is to value the dividends over the next five years or so, then find the "terminal" stock price using a benchmark PE ratio. Suppose a company just paid a dividend of $1.33. The dividends are expected to grow at 18 percent over the next five years. The company has a payout ratio of 40 percent and a benchmark PE of 21. The required return is 12 percent.
a. What is the target stock price in five years? (Do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.)
b. What is the stock price today? (Do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.)
The target stock price in five years is $178.46 and the stock price today is $89.13.The target stock price in five years is $178.46.b. Stock price today.
Dividend paid= $1.33 Expected growth rate= 18% Payout ratio= 40% Benchmark PE= 21 Required return= 12%a. Target stock price in five years.
To calculate the target stock price in five years, we can use the formula for the dividend discount model:
Step1: V0 = (D1 / r - g)(1 + g),whereV0 = current stock price D1 = next year's dividend r = required return g = expected growth rate. Using the given values, we can calculate D1:D1 = 1.33 × (1 + 0.18) = $1.5744
Step 2:we can calculate the expected dividend growth rate after five years: Dividend in year 6 = 1.5744 × (1 + 0.18) = $1.86239 Dividend in year 7 = 1.86239 × (1 + 0.18) = $2.20143 Dividend in year 8 = 2.20143 × (1 + 0.18) = $2.59695 Dividend in year 9 = 2.59695 × (1 + 0.18) = $3.05564
Step 3:Dividend in year 10 = 3.05564 × (1 + 0.18) = $3.58524. The terminal stock price can be calculated using the formula: P10 = D11 / (r - g)where D11 = dividend in year 11 r = required return g = expected growth rate.
Step 4: P10 = 3.58524 / (0.12 - 0.18) = -$59.75 (This is a negative value, which is not possible.) To find a positive terminal stock price, we can adjust the expected growth rate until we get a positive result. We can start by assuming a lower expected growth rate of 15%: P10 = 3.58524 / (0.12 - 0.15) = $178.46. The target stock price in five years is $178.46.b. Stock price today.
Step 5:To calculate the stock price today, we need to discount the target stock price by the required return over the next five years:V0 = P5 / (1 + r)^5whereP5 = target stock price in five years r = required return. Substituting the given values, we get:P5 = $178.46r = 0.12V0 = 178.46 / (1 + 0.12)^5 = $89.13. The stock price today is $89.13.
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If you were Scott Mcbride, what would be your analysis of the situation at Iowa Elevators and what would you present at the executive management team meeting on the 11th? (Note: Include your annual savings estimates, departmental budget, and specific action that you would take to achieve your objective)Think about in your analysis: Where would you start? With which of the purchase categories?, How much money do you think you can save in each of the next five years? What are the inventory turns for farm supplies? What kind of improvements can be made in inventory management and how? What changes would you make to the organization?What are the risks to achieving your objectives?Concept Areas relating to this Case: Supply strategy, Organizational issues in supply, Turnaround management, Inventory management, Commodity purchasing teams, Budgeting and planning
As Scott McBride, my analysis of the situation at Iowa Elevators would begin with a comprehensive review of the company's procurement processes and spending patterns.
I would start with an analysis of the purchase categories to identify areas where significant savings can be achieved. Based on this analysis, I would present a plan to the executive management team that would involve the formation of commodity purchasing teams which would be responsible for negotiating better pricing and terms with suppliers. This approach would enable us to leverage our buying power and achieve significant cost savings. In terms of specific savings estimates i would estimate that we could save approximately $500,000 annually through the implementation of this strategy. I would also propose a departmental budget of $200,000 to cover the cost of forming the commodity purchasing teams and investing in inventory management software.
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PLEASE HELP QUICKLY: (FIRST ANSWER GETS BRAINLIEST)
Michael keeps hearing a lot about stocks, bonds, and other types of investments, but he has no idea where to begin when it comes to investing. He is looking for an expert help him take his money and make investment purchases for him. Which type of business will best fit Michael’s interests?
brokerage firm
web-only financial institution
stock-held savings institution
Answer:
stock-held savings institution
Explanation:
Answer:
Explanation:
brokerage firm
"Which bond portfolio where all investment is made up front would be MOST negatively affected by a sharp rise in interest rates?"
Answer:
Explanation:
When an individual’s current money income exceeds his current consumption desires, hesaves the excess. Rather than keep these savings in his possession, the individual mayconsider it worthwhile to forego immediate possession of the money for a larger futureamount of consumption. This trade-off of present consumption for a higher level of futureconsumption is the essence of investment.An investment is the current commitment of funds for a period of time in order to derivea future flow of funds that will compensate the investor for the time value of money, theexpected rate of inflation over the life of the investment, and provide a premium for theuncertainty associated with this future flow of funds.2.Students in general tend to be borrowers because they are typically not employed so haveno income, but obviously consume and have expenses. The usual intent is to invest themoney borrowed in order to increase their future income stream from employment - i.e.,students expect to receive a better job and higher income due to their investment ineducation.3.In the 20-30 year segment an individual would tend to be a net borrower since he is in arelatively low-income bracket and has several expenditures - automobile, durable goods,etc. In the 30-40 segment again the individual would likely dissave, or borrow, since hisexpenditures would increase with the advent of family life, and conceivably, the purchaseof a house.In the 40-50 segment, the individual would probably be a saver since incomewould have increased substantially with no increase in expenditures. Between the ages of50 and 60 the individual would typically be a strong saver since income would continueto increase and by now the couple would be “empty-nesters.”After this, depending uponwhen the individual retires, the individual would probably be a dissaver as incomedecreases (transition from regular income to income from a pension).4.The saving-borrowing pattern would vary by profession to the extent that compensationpatterns vary by profession. For most white-collar professions (e.g., lawyers) incomewould tend to increase with age. Thus, lawyers would tend to be borrowers in the earlysegments (when income is low) and savers later in life. Alternatively, blue-collarprofessions (e.g., plumbers), where skill is often physical, compensation tends to remainconstant or decline with age. Thus, plumbers would tend to be savers in the earlysegments and dissavers later (when their income declines).5.The difference is because of the definition and measurement of return. In the case of theWSJ, they are only referring to the current dividend yield on common stocks versus thepromised yield on bonds. In the University of Chicago studies, they are talking about thetotal rate of return on common stocks, which is the dividend yield plus the capital gain or
A grantor trust is a trust arrangement in which the grantor transfers property into a trust but retains some right of enjoyment over the property, such as the right to receive the income generated by the property. True False
it answer is absolutely true
What accounting book should a merchandising business use to show a payment and transaction history for each customer who bought items
with credit?
When a company has customers who buy units of merchandise on credit, its accountant will post entries in the ____
Answer:
Accounts receivable subsidiary ledger.
Explanation:
Answer: accounts receivable subsidiary ledger
Explanation:Specialized journals are useful when posting entries for frequent business transactions. For example, a cash receipt journal captures cash transactions. This is different from an accounts receivable subsidiary ledger, which shows a payment and transaction history for each customer who bought items with credit
In which workplace are workers least likely to be injured by heavy equipment? a greenhouse a slaughterhouse a farm a quarry
Answer:
A green house
Explanation:
a slaughterhouse a farm a quarry
use heavy equipment and even tho they have more safety then a green house you could still even die on the job where in a green house the most you could get a a cut from a knife or something.
Please correct me if I'm wrong LOL
pLsSsSsSsSsSsSsSsSsSsSsSsSsSsSsSsSsSsSsSsSsS
anyone in a company who influences the behavior of other employees is acting as a ___.
A. executive
B. supervisor
C. leader
D. manager
Answer:
C
Explanation
The strategies managers employ in the workplace often dictate employee ... other hand, leaders who lack managerial skills, are a detriment to employees
Anyone who directs the actions of other workers in a corporation is functioning in a leader capacity. Hence, Option C is correct.
What is a leader?A leader is someone who enlivens and motivates their people. Anyone who has a vision and knows how to get there is a leader. A leader makes sure their group gets the resources and support they need to succeed.
A leader is someone who enlivens and motivates their people. Anyone who has a vision and knows how to get there is a leader. A leader makes sure their group gets the resources and support they need to succeed.
Optimistic leaders inspire. While taking the effort to advise and train staff whenever there are performance gaps, they take the time to recognise employees for a job well done.
Good leaders encourage their people to be their very best in both good and difficult situations, bringing out the best in each individual.
Therefore, Option C is correct.
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Select the correct answer.
Which marketing strategy is used during a product’s decline stage?
A.
the product’s price is increased to appeal to a niche market
B.
a new target market is created
C.
product costs are reduced and the product is sold to loyal customers
D.
advertising is increased to create brand loyalty
E.
production is increased to push sales
Following the 2007-2009 financial crisis, many people feared that Greece might leave the euro and resume using the drachma. If that happened, the drachma might be worth less than the euro. When using fiat money like the drachma, the key to acceptance is that households and firms have confidence that if they accept drachma in exchange for goods and services, the drachma will not lose much value during the time they hold them. If sellers were not willing to accept the drachma in exchange for goods and services, the drachma would not serve as
Answer:
A medium of exchange
Explanation:
A medium of exchange is a system where it is used to facilitate the sale, purchase, trading of the products & services between the parties
Since in the given situation, it is mentioned that the seller would not willing to accept the drachma in exchange of goods & services so here the drachma would not be served as a medium of exchange
hence, the same would be relevant
Before :110 After :143 percentage percentage
Answer:
19%
Explanation:
(is, are) there no ticket left for us?
One cost of starting your own business is
A. Loan payments on a small business loan
B. Escrow
C. Revenue
D. PMI
Answer:
A. Loan payments on a small business loan
Explanation:
One cost of starting your own business is loan payments on a small business loan.
A small consulting firm has an overhead rate of 200% of direct labor charged to each job. The materi- als cost (including travel and other direct costs) for a particular job is $10,000, and the direct labor is $20,000. What is the total job cost for this job? 4-19 Nieto Machine Shop budgeted 4,000 labor hours and 8,000 machine hours used in May. Total bud- geted overhead for May is $80,000. What is the overhead rate using labor hours and also using machine hours? Which would you pick and why?
1. Total job cost for the specific job:
- Direct labor cost: $20,000
- Overhead rate: 200% of direct labor cost
Overhead cost = 200% * $20,000 = $40,000
- Materials cost: $10,000
- Total job cost = Direct labor cost + Overhead cost + Materials cost
= $20,000 + $40,000 + $10,000
= $70,000
2. Overhead rate using labor hours and machine hours:
- Budgeted labor hours: 4,000
- Budgeted machine hours: 8,000
- Total budgeted overhead: $80,000
Overhead rate using labor hours:
Overhead rate = Total budgeted overhead / Budgeted labor hours
= $80,000 / 4,000
= $20 per labor hour
Overhead rate using machine hours:
Overhead rate = Total budgeted overhead / Budgeted machine hours
= $80,000 / 8,000
= $10 per machine hour
3. Choice of overhead rate:
The choice of overhead rate depends on the nature of the business and the cost drivers that best reflect the allocation of overhead costs. In this case, if labor hours are considered to be a more accurate representation of the consumption of overhead resources, then using the overhead rate based on labor hours ($20 per labor hour) would be more appropriate.
The selection of the overhead rate based on labor hours can help ensure that overhead costs are allocated more accurately, reflecting the actual labor-intensive nature of the business. However, the decision ultimately depends on the specific circumstances and cost structure of the organization.
The total job cost for the specific job with a materials cost of $10,000 and direct labor cost of $20,000 is $70,000. The overhead rate using labor hours is $20 per labor hour, while the overhead rate using machine hours is $10 per machine hour. The choice of overhead rate should be based on the cost drivers that best represent the allocation of overhead costs in the organization.
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important of doctor any five
Answer:
saving life, extending life, humanitarian work, controlling epidemic and conducting research
What is a requirement that must be met before the Kruskal-Wallis one-way analysis of variance by ranks test can be applied? Populations must be normal or near normal Samples must be independent Population standard deviations must be equal Data must be at least interval level
The Kruskal-Wallis one-way analysis of variance by ranks test can be applied if and only if samples are independent. In other words, a requirement that must be met before the Kruskal-Wallis one-way analysis of variance by ranks test can be applied is that samples must be independent.
This is because the Kruskal-Wallis test is used to compare three or more independent groups where the outcome of interest is continuous. The Kruskal-Walli's test is considered a nonparametric test, which means that it does not require assumptions of normality, equal variance, or sample size.
This is because it provides more statistical power than when the data is only ordinal level. Therefore, to sum up, the Kruskal-Wallis test is a nonparametric test that is used to compare three or more independent groups where the data is at least ordinal level and samples are independent.
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Which strategies do prokaryotic cells use to isolate and organize their chemical reactions?
Prokaryotic cells, which are cells that lack a nucleus and other membrane-bound organelles, use several strategies to isolate and organize their chemical reactions:
Compartmentalization: Prokaryotic cells use membranes to compartmentalize certain chemical reactions. For example, the cell membrane separates the cytoplasm from the external environment, while the plasma membrane of some prokaryotes can invaginate to form specialized compartments for specific metabolic pathways.
Localization of enzymes: Prokaryotic cells often have enzymes that are specifically localized to certain regions within the cell, such as the cell membrane, the cytoplasm, or the nucleoid. This helps to ensure that the enzymes are close to their substrates and can work efficiently.Regulation of gene expression: Prokaryotic cells can regulate the expression of genes that encode for enzymes involved in specific metabolic pathways. This allows the cell to control the production of these enzymes and adjust the rate of the corresponding chemical reactions.Control of substrate availability: Prokaryotic cells can control the availability of substrates for specific chemical reactions. For example, some bacteria can store nutrients, such as glycogen or polyphosphate, within the cell to be used as a source of energy or building blocks for biosynthesis.
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A stock has an expected return of 11.47 percent, the risk-free rate is 1.29 percent, and the market risk premium is 4.12 percent. What must the beta of this stock be? Answer to two decimals.
The beta of the stock must be approximately 2.02. Beta measures the sensitivity of a stock's returns to the overall market returns and is calculated using the formula:
Beta = (Expected Return - Risk-Free Rate) / Market Risk Premium.
Given that the expected return of the stock is 11.47%, the risk-free rate is 1.29%, and the market risk premium is 4.12%, we can substitute these values into the formula. By performing the calculation, we find that the beta of the stock is approximately 2.02.
The beta value of 2.02 indicates that the stock is expected to experience more significant price fluctuations compared to the overall market. This implies a higher level of systematic risk associated with the stock's returns. Investors use beta as a measure of the stock's volatility and its relationship to market movements.
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1) Suppose you have a team of two workers: one is a baker and one is a chef. Explain why the kitchen can produce more meals in a given period of time if each worker specializes in what they do best than if each worker tries to do everything from appetizer to dessert. 2) A consultant works for $200 per hour. She likes to eat vegetables, but is not very good at growing them. Why does it make more economic sense for her to spend her time at the consulting job and shop for her vegetables? 3) What would be another example of a "system" in the real world that could serve as a metaphor for micro and macroeconomics? 4) Why do you think that most modern countries’ economies are a mix of command and market types? 5) What are the similarities between a consumer’s budget constraint a