When doing a bank reconciliation, the correct procedure is to D. Subtract NSF checks from the company's balance.
What is an NSF check?They stand for Not Sufficient Balance.They mean that the person who deposited the check did not have enough money in their account to honor the check.As a result, the company would not get that money so this amount needs to be subtracted from the company account to show that the company never received this money.
In conclusion, option D is correct.
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what is the price of a bond with a par value of $1,000, a 2.53% semiannual coupon, 7.06% discount rate and 28 years to maturity?
The price of the bond is equal to its par value of $1,000, which means that it is trading at par.
To calculate the price of a bond with a par value of $1,000, a 2.53% semiannual coupon, a 7.06% discount rate, and 28 years to maturity, we can use the following formula:
Price of bond = (C / (1 + r/n)^(nt)) + ((FV) / (1 + r/n)^(nt))
Where:
C = semiannual coupon payment = 0.0253 x $1,000 / 2 = $12.65
r = annual discount rate = 7.06%
n = number of compounding periods per year = 2 (semiannual)
t = number of years to maturity = 28
Plugging in the values, we get:
Price of bond = \(($12.65 / (1 + 0.0706/2)^(228)) + (($1,000) / (1 + 0.0706/2)^(228))\)
= $747.18 + $252.82
= $1,000.00
Therefore, the price of the bond is equal to its par value of $1,000, which means that it is trading at par.
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What percentage of sales revenue goes to the cost of sales for the XYZ company? XYZ offers salary plus commission and bonuses for sales personnel who reach their sales quotas. It has eight salespeople, each earning a base salary of $45,000 plus a 2-percent commission on sales. Sales were $3 million, and bonuses totaled $30,000 for the year.
The sales revenue would be gotten as 15 percent
How to solve for the sales revenueTo find the percentage of sales revenue that goes to the cost of sales for the XYZ company, we need to calculate the total cost of sales, which would include the cost of goods sold as well as any other direct costs associated with generating the sales, such as commissions paid to salespeople.
In this case, the cost of sales would be:
$45,000 (base salary for each salesperson) x 8 (number of salespeople) = $360,000 (total base salary for sales team)
$3,000,000 (total sales) x 2% (commission rate) = $60,000 (total commission paid to sales team)
$360,000 + $60,000 + $30,000 (bonuses) = $450,000 (total cost of sales)
To find the percentage of sales revenue that goes to the cost of sales, we divide the total cost of sales by the total sales revenue and multiply by 100:
$450,000 / $3,000,000 x 100 = 15%
So, the percentage of sales revenue that goes to the cost of sales for XYZ company is 15%.
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What feature of Privileged Identity Management allows you to define extended permissions for a user over a finite period ? 1 ) Restriction 2 ) Discovery 3 ) Assignment 4 ) Time-Limited Activation
In Privileged Identity Management, time-limited activation allows you to grant temporary access to specific privileges to a user for a specific period of time. So, The correct answer is option D.
This ensures that the user only has access to the necessary permissions when they need them, reducing the risk of unauthorized access or misuse.
For example, if an auditor needs to access confidential financial information, you can grant them temporary access to that information for a specific period, such as a week or a month. Once the period is over, the user's access to the information will automatically be revoked, ensuring the security of the information.
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Ahmad has some saving where do you suggest him to keep and why
Answer:
It depends on how much money Ahmad has saved.
Explanation:
If he has a small amount of money, the best he can do is to put his savings on a safe investment, like treasury bonds, an ETF, or a safe and low risk bond of a trustworthy company.
If Ahmad has a larger amount of money, he can put his savings in riskier assets like stock, which could give him a higher return. He could also create a more diverse investment portfolio, with some of his savings going to safer, lower yield investment instruments, and the rest going to riskier, higher yield investment instruments.
If 8. 1 percent of all the sales of Top Ramen for the United States happen in New York City and 2. 5 percent of the entire U. S. Population lives in New York City, calculate the CDI
The Customer Development Index (CDI) can be calculated by dividing the percentage of sales in a specific area (New York City) by the percentage of the population in that same area (New York City).
What is the formula to calculate the Customer Development Index (CDI)?To calculate the CDI, we divide the percentage of sales in New York City (8.1%) by the percentage of the population in New York City (2.5%). The CDI provides a measure of how well a product or brand performs in a specific market relative to the population in that market.
In this case, the CDI would be calculated as 8.1% / 2.5%, which equals 3.24. This means that the sales of Top Ramen in New York City are relatively higher compared to the population living in New York City.
The CDI is a valuable metric for marketers and businesses to evaluate market performance and identify potential growth opportunities. A CDI greater than 1 indicates that the brand or product is over-indexing in that specific market, suggesting a higher demand or preference compared to the population size.
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in his landmark cases, chief justice john marshall generally
In his landmark cases, Chief Justice John Marshall generally upheld the power and authority of the federal government.
Chief Justice John Marshall, who served on the United States Supreme Court from 1801 to 1835, played a crucial role in shaping American constitutional law through his influential rulings. Known for his strong interpretation of federal power, Marshall consistently favored a broad interpretation of the Constitution, particularly with regards to the authority of the federal government. His decisions, such as in Marbury v. Madison (1803) and McCulloch v. Maryland (1819), solidified the principle of judicial review and established the supremacy of federal law over state law. Marshall's approach emphasized a strong central government and expanded the scope of federal authority, setting important precedents that continue to shape the balance of power between the federal and state governments in the United States.
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john has decided to start his own brewery. to purchase the necessary equipment, he withdrew $20,000 from his savings account, which was earning 3% interest, and borrowed an additional $50,000 from the bank at an interest rate of 5%. what is john's annual opportunity cost of the financial capital that has been invested in the business?
John's annual opportunity cost of the financial capital invested in the business is the amount of interest he could have earned if he had not used the money for the brewery.
To calculate the annual opportunity cost, we need to find the interest that John could have earned on the $20,000 he withdrew from his savings account and the $50,000 he borrowed from the bank.
For the $20,000 he withdrew from his savings account, which was earning 3% interest:
Annual interest earned = Amount * Interest rate = $20,000 * 3% = $600
So, the opportunity cost of using this money for the brewery is $600 per year.
For the $50,000 he borrowed from the bank at an interest rate of 5%:
Annual interest paid = Amount * Interest rate = $50,000 * 5% = $2,500
So, the opportunity cost of using this money for the brewery is $2,500 per year.
To find the total annual opportunity cost, we add the opportunity costs for the two amounts:
Total annual opportunity cost = Opportunity cost of savings withdrawal + Opportunity cost of borrowing
Total annual opportunity cost = $600 + $2,500 = $3,100
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A bank gives three loans totaling $500,000 to a development company for the purchase of three business properties. The largest loan is $200,000 more than the sum of the other two and the smallest loan is one-half of the next largest loan. Represent the amount of money in each loan from smallest to largest as x, y, and ? respectively a. Choose the system of three equations in three variables that represents the problem ОА. x+y+z=500.000 -X-y+=200,000 oc x+y+z = 500,000 - X-y2 = 200,000 --x-yz = 500,000 x+y+z=200,000 x-y- 0 0 b. Use a matrix equation to solve the system and find the amount of each loan $_y=$z=52 (Type an exact answer in simplified form) X
Solving this problem through matrix equation, we get $_x=$50,000, $_y=$100,000, and $_z=$350,000 for each loan.
Let x be the smallest loan. Then y will be twice of x i.e., y = 2x.
Let z be the largest loan.We know, the largest loan is $200,000 more than the sum of the other two.
Thus, z = x + y + $200,000
z = x + 2x + $200,000
z = 3x + $200,000
But, the bank gives three loans totaling $500,000.
So, x + y + z = $500,000x + 2x + (3x + $200,000)
= $500,0006x + $200,000
= $500,0006x
= $300,000x
= $50,000 So, x = $50,000 And y = 2x
= 2($50,000)
= $100,000z
= 3x + $200,000
= 3($50,000) + $200,000
= $350,000
Therefore, the amount of money in each loan from smallest to largest is $50,000, $100,000, and $350,000 respectively.
So, the matrix equation for the system of linear equations can be written as:$$\begin{bmatrix}1&1&1\\-1&-1&1\\1&2&1\\\end
{bmatrix}\begin{bmatrix}x\\y\\z\end{bmatrix} = \begin{bmatrix}500000\\200000\\0\end {bmatrix}$$
Solving this matrix equation, we get the following values of x, y, and z:$$x = 50000, y = 100000, z = 350000$$
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if the cost of sugar increases from $5 to $6 per 10-pound bag, we expect the supply curve for cupcakes to a. become flatter. b. shift to the right. c. become shorter. d. shift to the left. e. become steeper
If the cost of sugar increases from $5 to $6 per 10-pound bag, we expect the supply curve for cupcakes to shift to the left. The correct option is (d).
What do you mean by the supply curve?In economics, the supply curve is a graphic depiction of the relationship between the price of a good and the amount of it that a seller is willing and able to supply.
The graph's horizontal axis represents supply quantity and the vertical axis represents product pricing.
The price is shown on the vertical axis on the left side of the supply curve graph, and the quantity of items is shown on the horizontal axis at the bottom.
The supply schedule, a table stating the quantity supplied at each price, is where the data used to draw the supply curve is taken from.
A straightforward equation can be used to plot a linear supply curve. P = a + bS. Plots the supply curve's initial position on the Y-axis intercept. b is the supply curve's slope.
Therefore, if the cost of sugar increases from $5 to $6 per 10-pound bag, we expect the supply curve for cupcakes to shift to the left.
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MY PROGRESS-36% Marketing Research LEO Decision Point: Choosing Your Research Topic You are now tasked with developing a research plan that would best support the research objectives you have just chosen. You consider your options and narrow them down to the following three. Select an option from the choices below and click Submit Research the attitudes that men under 35 have towards eSports Research the effect that increased advertising in women's magazines would have on women's attitudes towards eSports. Research the attitudes that U.S. women and consumers over 35 have towards the eSports Industry
The best course of action would be to investigate the attitudes that American women and consumers over 35 have toward the eSports Industry based on the research objectives that were selected.
The inclusion of a particular demographic (women and consumers over 35) that may help shed light on potential target audiences for the industry is in line with the research objective of understanding general attitudes toward the industry.
Researching the attitudes of men under 35 would not be in line with the chosen research objectives, whereas studying the impact of increased advertising in women's magazines on women's attitudes toward eSports would only reveal information about one possible marketing strategy.
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The first insurance company in the United States was
The first insurance company in the United States was the Philadelphia Contribution ship for the Insurance of Houses from Loss by Fire, founded in 1752 by Benjamin Franklin and his associates.
The company was established in response to the frequent and devastating fires that occurred in colonial Philadelphia. Details are as follows:
Founding: The Philadelphia Contribution ship was founded on February 13, 1752, with a mission to provide financial protection to homeowners in the event of fire-related losses.
Structure: The company operated as a mutual insurance company, meaning it was owned by its policyholders rather than external shareholders. Policyholders shared the risk collectively and contributed to a common fund to cover losses.
Fire Insurance: The primary focus of the Contributions hip was fire insurance. It offered policies to homeowners to protect their houses, buildings, and other property from fire-related risks.
Premiums and Policies: Policyholders paid premiums to the company based on the value of their insured property. In return, they received a policy that detailed the terms and conditions of their coverage.
Growth and Legacy: The Philadelphia Contribution ship played a significant role in shaping the insurance industry in the United States. It set a precedent for the establishment of other insurance companies across the country.
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Choose a country / economy of your interest. Write a short essayof 500- 1000 words on the history of exchange rate regimes in thatcountry starting from around 1973. Comment on whether you feel thec
When looking at the history of exchange rate regimes in a particular country, it's important to understand the context of the global economy during that time period. From around 1973, the world saw a shift towards floating exchange rates, which meant that the value of a country's currency was determined by market forces rather than being fixed to another currency or a commodity like gold.
In the case of Japan, the country experienced a period of rapid economic growth from the 1950s to the 1970s, known as the "Japanese economic miracle". During this time, Japan's exchange rate regime was fixed to the US dollar, which helped to maintain the competitiveness of Japanese exports and support economic growth. However, by the early 1970s, the US was experiencing high inflation and a weakening economy, which put pressure on the fixed exchange rate system. In 1971, the US abandoned the gold standard and allowed the dollar to float freely, which led to a revaluation of the yen against the dollar. Japan eventually shifted towards a floating exchange rate regime in 1973, which allowed the value of the yen to be determined by market forces. This helped to make Japan's exports more competitive and support continued economic growth. In the following decades, Japan experienced a number of economic challenges, including a real estate bubble in the late 1980s and a long period of deflation in the 1990s and 2000s. Throughout these challenges, the Japanese government and central bank intervened in the foreign exchange market to manage the value of the yen.
Overall, Japan's history of exchange rate regimes reflects the shifting global economy and the importance of maintaining competitiveness in the export sector. While the country has experienced a range of economic challenges, the flexibility of its exchange rate regime has helped to support growth and stability.
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According to the time-of-payment-of-claims provision, how soon must the company pay the claim?
The time-of-payment-of-claims provision specifies the timeframe within which an insurance company must pay a claim. The exact timeframe can vary depending on the terms and conditions of the insurance policy and the applicable laws and regulations in the specific jurisdiction. However, there are general guidelines that insurance companies typically follow.
In most cases, insurance companies are expected to process and settle claims in a prompt and timely manner. The timeframe for payment of claims can range from a few days to several weeks, depending on various factors such as the complexity of the claim, the availability of necessary documentation, and the internal processes of the insurance company.
Insurance regulations and laws in many countries require insurance companies to pay claims within a reasonable time frame. This is to ensure that policyholders receive the benefits they are entitled to without undue delay. The specific time limit for payment may be defined by the insurance regulator or outlined in the insurance policy itself.
It's important for policyholders to review their insurance policy and familiarize themselves with the provisions related to claim processing and payment. If there are any concerns or delays in claim settlement, policyholders should contact their insurance company or agent to seek clarification and assistance.
The specific time within which an insurance company must pay a claim is determined by the time-of-payment-of-claims provision stated in the insurance policy and regulated by applicable laws and regulations. Policyholders should refer to their policy documents and consult with their insurance company for precise details regarding claim processing and payment timelines.
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What type of document outlines the intentions of two or more parties to enter into a binding agreement, or contract, and is sometimes used between an informal handshake
Which of these is not a pricing constraint? a cost of changing prices and the time period they apply b newness of the product or stage in its product life cycle c type of competitive market d promotional discounts e prices of other products in the same line
From the given options, the correct option is d - promotional discounts - is not a pricing constraint. Promotional discounts are marketing tactics used to stimulate demand or encourage customers to try a product.
They are not factors that constrain the pricing decisions of a company. The other options, such as the cost of changing prices and the time period they apply, the newness of the product or stage in its product life cycle, the type of competitive market, and the prices of other products in the same line, are all pricing constraints that can affect a company's pricing strategy.
These pricing constraints have different levels of influence on a company's pricing decisions. For example, the cost of changing prices and the time period they apply may influence how frequently a company changes its prices, while the competitive market may affect the pricing strategy a company chooses.
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The rule of law is important because it _______. In regard to governments, the rule of law _______.
BLANK 1:
protects citizens from crime and justice
helps reduce the number of Supreme Court cases
ensures that an innocent person is not accused of a crime
BLANK 2:
applies to them in only certain cases
applys to them equally
does not apply to them
________ is another term for a defensive strategy.
Another term that can be used for Defensive strategy is retrenchment strategy.
Defensive strategy can be regarded as marketing tool which is been used by companies in retaining valuable customers that can be easily loose to their competitors. Competitors can be regarded as other firms that are present in the same market selling almost similar productsThis strategy is been utilized by companies in market leadership positions in defending market share from attacks by challengers; Some if the defence strategies are;counter-offensive defence
contraction defence
position defence
mobile defence
flanking defence
pre-emptive defence
Therefore, defensive strategy can be explained as marketing tool that is been utilized by management in defending their business from potential competitors.
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A company purchases a piece of machinery. This machinery is now the company's _____.
A. asset
B. liability
c. equity
D. capital
When a company purchases a piece of machinery, the machinery becomes the company's A. asset.
What is an asset?An asset is a resource owned or controlled by a business or an economic entity, which produces value or more resources.
Assets can be classified into three classes, and they generally fall into the following categories:
CurrentNon-currentPhysicalIntangibleOperatingNon-operating.Thus, the machinery does not become a liability, equity, or capital but an asset.
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Sales tax is calculated by multiplying the price of an item by the
withholding amount
income tax
tax rate
Answer:
tax rate
Explanation:
got it right on test
which of these grist components is sometimes used because it is gluten free?
"Malted Sorghum" is a type of grist that is occasionally used since it is gluten free.
Explain about the Malted Sorghum?Traditional sorghum (dark) beer is brewed in southern Africa using malted grain sorghum. Sorghum malt has a low amount of -amylase but good -amylase activity.
65–68 °C is a high gelation temperature for its starch. When making sorghum beer, a lot of boiled starchy adjunct is used. Some of this supplementary starch is not saccharified, which adds to the beer's murky appearance. Sorghum has been employed to make spirits and vinegar in China, as well as fermented non-alcoholic drinks, beer, and other alcoholic beverages in Africa and Mexico. Due to the unique characteristics of sorghum malt, it appears that worts with a high concentration of dextrins can be produced by mashing at high temperatures.Thus, in gluten-free dishes, sorghum is also utilised as a substitute for wheat.
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The complete question is-
which of these grist components is sometimes used because it is gluten free?
Malted BarleyMalted BuckwheatMalted WheatMalted SorghumCoach Sieb Has a treadmill desk. Walking on the treadmill will break down her triglyceride Levels 90% faster what is the percent that it breaks down while sitting
Answer:
0%
Explanation:
Base on the scenario been described in the question, where we saw coach Seib has 90% faster breaking her triglyceride Levels while working, when sitting, she has a 0% of breaking her triglyceride Levels because no movement, there will be no breakdown in the triglyceride Levels
Fixed costs that usually arise from annual spending decisions by management are called?
Fixed costs that usually arise from annual spending decisions by management are discretionary costs.
What is CBA?CBA is an acronym for cost-benefit analysis and it can be defined as a financial technique (utilitarianism) which is used by individuals, business firms and government to examine and compare the cost that is associated with a product, project or task and the benefits that would be derived from it.
What is a discretionary cost?A discretionary cost can be defined as a type of fixed cost that is usually generated from various annual spending decisions by the executive management of a business organization.
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4. 4. Open web steel joists are I. Small lightweight trusses. II. Standardized. III. Fabricated in a shop. IV. Strong both vertically and horizontally. A. I and II C. I, II, and III B. II and ill D. I, ill, and IV
Open web steel joists are standardized, that are fabricated in a shop. They are made of steel and are designed to be strong both vertically and horizontally.
The open web design of these joists makes them lighter in weight than traditional solid steel beams, which reduces the overall weight of the building structure. Additionally, the open web design allows for easy installation of HVAC, electrical, and plumbing systems.
The standardization of open web steel joists means that they are manufactured to a specific set of standards and can be used in a variety of building designs and applications. The fabrication process involves cutting, welding, and bending steel to create the truss shape, and then applying a protective coating to prevent corrosion.
Overall, open web steel joists are a cost-effective and versatile option for building construction. They offer strength and flexibility, and their lightweight design makes them easy to install and transport. Additionally, the standardized manufacturing process ensures quality and consistency across all applications.
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Prompt
What is the difference between liquid and illiquid assets?
Answer:
Liquid assets may be cash or property that can readily be converted to cash without a substantial loss in value. While on the other hand, Illiquid or fixed assets are possessions of value that are held long-term such as a home, land or equipment.
Hope this helps
Answer:
Liquid assets may be cash or property that can readily be converted to cash without a substantial loss in value. ... Illiquid or fixed assets are possessions of value that are held long-term, such as a home, land, or equipment
Explanation:
I think it will help But if im wrong Its ok:)
Business is a social process . Discuss
Answer:
Business is a social process. a single person cannot run a business, there are many single owner but they also need other person's help or market help for their business survival. ex help of the resources,if the business is product based or help of customer If it is service based. all this things work together. the whole economy works together. so it is a social process .
Answer:
Technology aligned solutions integrating the functions and processes of hardware , software , telecommunications and networks . From basic internet connectivity to software development , w provide all kind of technological services based on the type of industry.
Explanation:
Hope this help BLINK!
what is the aim of producing good and services for firms in: a market economy
Answer:
In a market economy, the primary aim of producing goods and services is to make a profit. Firms compete with each other to sell their products to consumers, and the competition drives prices down and improves the quality of the goods and services being offered. By producing goods and services that people are willing to buy, firms can earn profits, which they can then reinvest in their operations to continue growing and improving their business.
In this type of economic system, consumers ultimately determine what goods and services are produced, as they vote with their dollars by choosing which products to buy. This results in a focus on producing what people want, rather than what is deemed important by a central authority.
Additionally, producing goods and services can also create jobs and contribute to the overall growth and development of the economy. By meeting the needs and desires of consumers, firms can help improve the standard of living for individuals and communities.
employees rarely arrive and leave exactly on the quarter hour so it would make sense to round employee arrival times to the nearest quarter hour?
A. False
B. True
Please be right
One of the most important things an international business person can do to avoid cultural misunderstandings is to
a. ensure that contracts are tightly worded
b. choose a common language like English
c. adopt a laissez faire attitude
d. listen to your client or customer
e. hire and interpreter
Listening to your customers or clients is one of the most crucial things an internationally entrepreneur can do to prevent cultural misconceptions.
What does the term customer mean?A shopper is a person or business that purchases goods or services from the other business. Customers are crucial since they generate revenue. A person or group is regarded as a customer if they have used the company's products or services.
Which types of customers are there?The one's who occasionally shop yet primarily rely the sales to complete purchases are known as discount shoppers. customers who are driven to buy a specific product out of necessity. Wandering purchasers are customers who are undecided of what they want to purchase.
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Monopolistically competitive markets and perfectly competitive markets share some similarities but differ in a number of ways. One
such difference between the two is that monopolistically competitive firms (1 point)
Answer:
feature differentiated products
Explaination:
i just took the quiz
Answer: feature differentiated products
Explanation:
In which type of economy is a business owner most likely to benefit from free enterprise?
Answer:
Sole proprietorship
Explanation:
I’m not 100% sure but it’s a sole individual business