To remedy the problem of errors in packing slips, a "u-chart" was constructed for each day to track the number of defects found.
A u-chart is a quality control tool used to monitor the number of defects or errors in a process over time. It is a type of control chart that helps in tracking variations in the number of defects and identifying any potential issues or trends.
By plotting the number of defects on the u-chart, the quality assurance team or individuals responsible for data entry can monitor the progress of their efforts to reduce errors and ensure accuracy in packing slips.
The u-chart provides a visual representation of the defect rate and helps in identifying whether the process is in control or if corrective actions are needed.
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calculate the percentage by mass of all the components element in sodium trioxonitrate(v)
Sodium =27.05
Nitrogen=16.47
Oxygen=56.46
target audience → the group of people at whom advertisements are aimed
True
False
Research some examples of organizations that experienced bad publicity and how they dealt with it. Write a paper detailing your findings.
Answer:
did you finish it cuase i got the same one
Explanation:
Admit the error, apologize, and present a solution if you or your company is receiving negative press as a result of anything you did incorrectly. Negative publicity won't disappear if you ignore it.
What do you mean by Negative publicity?When damaging material is revealed, negative PR or publicity can take many different forms in company and can impact everything from sales to your reputation.
Various forms of unfavorable PR for your company could include: negative coverage of your business in the media, online, in publications, or on television.
In particular, we contend that by raising product awareness, unfavorable publicity might boost sales and purchase likelihood.
Negative publicity should therefore affect products differently depending on whether they are recognized or unknown. This viewpoint is supported by three investigations.
Your brand's reputation can be severely damaged in a matter of minutes by false information, negative reviews, and nasty social media remarks. Even worse, rumors spread swiftly and negatively impact the reputation of your company.
Negative publicity can have a significant impact on how potential customers see your brand. When customers publicly disparage a company, product, or service, this is known as bad publicity.
Bad publicity includes posting or publishing negative evaluations on websites, review pages, and social media accounts.
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what is the difference of communism and socialism?
Last month when Holiday Creations, Incorporated, sold 37,000 units, total sales were $148,000, total variable expenses were $109,520, and fixed expenses were $37,800. Required: 1. What is the company's contribution margin (CM) ratio? 2. What is the estimated change in the company's net operating income if it can increase sales volume by 625 units and total sales by $2,500 ? (Do not round intermediate calculations.)
1. The company's contribution margin (CM) ratio is 26.49%. 2. The estimated change in the company's net operating income, if it can increase sales volume by 625 units and total sales by $2,500, is $1,106.25.
1) The contribution margin (CM) ratio is calculated by dividing the contribution margin (sales revenue minus variable expenses) by the sales revenue.
CM ratio = (Total Sales - Total Variable Expenses) / Total Sales
The total sales were $148,000 and the total variable expenses were $109,520. Plugging these values into the formula:
CM ratio = ($148,000 - $109,520) / $148,000 = $38,480 / $148,000 ≈ 0.2601
Converting to a percentage:
CM ratio ≈ 0.2601 x 100 ≈ 26.49%
Therefore, the company's contribution margin (CM) ratio is approximately 26.49%.
2) To calculate the estimated change in net operating income, we need to use the contribution margin ratio.
Change in Net Operating Income = Change in Sales x CM ratio
Given that the company can increase sales volume by 625 units and total sales by $2,500, we can calculate the change in sales:
Change in Sales = 625 units x (Total Sales / 37,000 units) + $2,500
Substituting the values into the formula:
Change in Net Operating Income = (625 units x $148,000 / 37,000 units + $2,500) x CM ratio
= ($2,500 + $10,000) x 0.2649
= $12,500 x 0.2649
≈ $1,106.25
Therefore, the estimated change in the company's net operating income, if it can increase sales volume by 625 units and total sales by $2,500, is approximately $1,106.25.
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I need help asap
What are the four function of a sale staff???
A sales staff's four roles include preparing sales plans, prospecting, researching, and dealing with sales issues.
What do the employees in the sales office do?A company's products and services are sold by a sales department. The department has a sales team that works together to make sales, make more money, and build and keep relationships with customers to get them to buy again and stay loyal to the brand. As a result, sales representatives are the ones who actually interact with customers and persuade them to sign the contract. As a result, the department most directly responsible for actually interacting with the customer in person is the sales function.
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In the United States, the 401(k) plan or Individual Retirement Account iS a defined
plan.
A defined contribution plan, often known as a cash or deferred arrangement, is a 401(k) plan.
What is a personal 401(k) plan?When you work for yourself or as a partner in a company where the only employees are the partners and their spouses, you can maximize your savings with an individual 401(k), also known as an i401(k).
What is a defined benefit plan in a single 401(k)?A Solo CB can be used in conjunction with a 401(k) Plan or as a standalone retirement plan. There is a compulsory contribution to a Solo CB because it is a defined benefit plan, but the plan also permits sizeable pre-tax retirement plan contributions, especially for business owners over the age of 50.
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Which of the following would be more typically the responsibility of a controller rather than a treasurer?A) Overseeing accounting and tax functionsB) Capital budgetingC) Managing creditD) Making investment decisions
overseeing accounting and tax functions would be more typically the responsibility of a controller rather than a treasurer.
Who is considered as treasurer?An organization's treasurer is in charge of managing its finances. Cash and liquidity management, risk management, and corporate finance are among a corporate treasurer's important primary responsibilities. The major responsibilities of a treasurer include supervising the organization's financial management, reviewing policies and financial reporting, advising the board on financial strategy, and providing fundraising advice. A treasurer, often known as a financial controller, is responsible for supervising all financial activities and fundraising attempts made by an organizing committee. Their main responsibilities include managing incoming and outgoing funds, maintaining records, and establishing the budget.A controller, not a treasurer, would normally be in charge of supervising accounting and tax functions.To learn more about treasurer refer to:
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Chef’s apron gas money food movies
Culinary knives car insurance electric bill dining out
Which label belongs over column D
Answer:I believe the answer is D. "want"
Explanation:
Answer:
cost
Explanation:
What are perfect competition examples?
Perfect competition is a theoretical market structure where a large number of small firms produce identical or homogenous products, have perfect information about the market, and are price takers, meaning they have no market power to influence prices. In a perfectly competitive market, there are no barriers to entry or exit, and firms earn only normal profits in the long run.
Some examples of markets that approach perfect competition are:
Agricultural markets: Many agricultural products, such as corn, wheat, and soybeans, are often sold in highly competitive markets with many small producers, standardized products, and few barriers to entry.
Foreign exchange markets: The foreign exchange market is a highly liquid market where currencies are traded among many buyers and sellers, and no single participant can influence the exchange rate.
Stock markets: While the stock market does not meet all the conditions of perfect competition, it is highly competitive with many buyers and sellers, and information is widely available.
Online markets: Online marketplaces like eBay, Amazon, and Alibaba provide a platform for many small sellers to sell similar products at competitive prices, with low barriers to entry and exit.
Street vendors: In some developing countries, street vendors may sell similar products at competitive prices in highly competitive markets.
It is important to note that perfectly competitive markets are rare in real-world situations, and markets often fall somewhere on the spectrum between perfect competition and monopoly, with varying degrees of market power and imperfections.
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Salary is an example of _____ income. labor, rental, interest, none of the above
Answer:
rental
Explanation:
Business EDG 2021
A salary is an example of labor income. Thus, option A is correct.
What is an income?An income can be defined as the amount which is earned by a person. It can be with respect to any job that he or she has done. It can also be from an investment. It is the amount that is taxable and is being paid to the government
Salary can be defined as the amount an employee or a person who renders a service gets paid. It is for the person who has some expertise in a particular role, and for that, they get a salary.
A salary is an example of labor income. It is because most salaries are based on the services provided. A labor income is also one who renders their service. As a result, salary will be a separate column which will be present.
Therefore, option A is the correct option.
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suppose you buy a share for $100. at the end of one year the share price is $114 and a $1 dividend is paid. if you do not sell the share, your total annual return is . multiple choice question. 1% 15% 14% 0.93%
Suppose you buy a share of stock for $100. At the end of one year, the stock price is $114 and a $1 dividend is paid. If you do not sell the stock, your total annual return is 15%.
(1/100) + ((114-100)/100) = 15%
Shares, also known as stocks, are securities that represent partial ownership of the issuing company. A unit of stock is called a "share" and entitles the owner to a portion of the company's assets and profits equal to the shares held by the owner. Equity means a share of ownership in a company.
An example stock is 100 shares of Disney Corporation stock. Buying stock usually requires the help of a stockbroker, as you cannot call the exchange and ask them to buy the stock directly. When you use a stockbroker, whether it's a human or an online platform, you can choose which investments to buy or sell and how to trade them.
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an employee can be dismissed if their job surplus to requirements' outline why this state ment is false
Imagine that there are only two nations in the world, the United States and Mexico. If Americans buy more goods made in Mexico, other things constant, the
A. U.S. demand curve for Mexican pesos will shift rightward
B. U.S. demand curve for Mexican pesos will shift leftward C. U S. supply curve of Mexican pesos will shift leftward
D.U.S. supply curve of Mexican pesos will shift rightward
A. U.S. demand curve for Mexican pesos will shift rightward. So, the correct option is A.
When Americans buy more goods made in Mexico, they need to acquire Mexican pesos to make those purchases. This increases the demand for Mexican pesos in the United States. As a result, the U.S. demand curve for Mexican pesos will shift rightward, indicating an increase in the quantity of Mexican pesos demanded at each exchange rate.
In this scenario, the increase in demand for Mexican pesos reflects the increased trade between the United States and Mexico. As Americans purchase more Mexican goods, they need to exchange their U.S. dollars for Mexican pesos, increasing the demand for pesos.
The shift of the demand curve to the right indicates that at any given exchange rate, Americans are willing to buy a larger quantity of Mexican pesos. This can lead to an appreciation of the Mexican peso relative to the U.S. dollar, making Mexican goods relatively more expensive for American consumers and potentially impacting the balance of trade between the two countries.
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Bayer AG was accused as a participant in an international price-fixing scheme that drove up the costs of rubber chemicals used to make shoes, tires, and other products. Bayer AG paid its fine but did not admit culpability. Instead, the company announced that paying the fine was less costly than litigation. Bayer AG implemented a(n) _______ strategy when responding to the demand for social responsibility.
Which of these is an educational institution where you can complete an undergraduate
study program in order to get a bachelor's degree?
A 2 year ollege
B Technical School
C Certificate program
D 4 year College
Why is fashion designer Kira's Plasinina father important
a. He is a businessman who helped her achieve her goals .
b. He liked her drawings .
c. He funded her ventures.
d. He was her inspiration
Where can university of arkansas students find information about volunteer opportunities?.
A student-run group called the Volunteer Action Center (VAC) connects University of Arkansas students with volunteer opportunities in the Northwest Arkansas neighborhood. A student leadership board and regular student volunteers make up the VAC.
What is Volunteer Action Center (VAC)?
The region's non-profit volunteer resource center, Our Health's Volunteer Action Center (VAC), collaborates with neighborhood non-profit and public service organizations to fulfill volunteer needs. The Volunteer Action Center connects, mobilizes, engages, and supports volunteers as a convener and a catalyst for action.
Why do volunteer organizations fail?
Volunteer groups frequently fail because there is a mismatch between people's motivation to volunteer and how the organization handles its base of supporters. People volunteer to support a cause, give back to the community, or just to feel more socially connected.
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all of the people, including its employees, neighbors, customers, and suppliers, who may gain or lose by the activities and policies of a business are known as:
All of the people, including its employees, neighbors, customers, and suppliers, who may gain or lose by the activities and policies of a business are known.
What is a better word for Including?Some common synonyms of include are comprehend, embrace, and involve. While all these words mean "to contain within as part of the whole," include suggests the containment of something as a constituent, component, or subordinate part of a larger whole.
What is an example of a business?An economic institution known as a business produces and/or distributes goods and services with the goal of making money and accumulating wealth. Regardless of the type of company, whether it be a solo enterprise, a Hindu undivided household, or a partnership enterprise.
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What does WHMIS stand for. Why is it important? 3. Explain the meaning of indirect costs of work-related injuries.
WHMIS stands for Workplace Hazardous Materials Information System. It is Canada’s national hazard communication standard that applies to a wide range of hazardous products used, handled, or stored in the workplace. WHMIS was developed to ensure that workers are aware of the hazards associated with products used in the workplace and are able to work safely with those products.
The WHMIS system was designed to provide workers with information on how to handle hazardous materials safely and what to do in case of an emergency. It is important because it helps protect the health and safety of workers by ensuring that they have the necessary information to protect themselves from hazardous materials. The system is also designed to help employers comply with their legal obligations to protect their workers from the hazards of hazardous materials. Indirect costs of work-related injuries are costs that are not directly related to the injury itself. These costs can include lost productivity, lost income, and the cost of replacing an injured worker. Indirect costs can be difficult to calculate and can have a significant impact on a company’s bottom line. For example, if a worker is injured on the job and is unable to work for several weeks, the company may have to pay for a replacement worker to take their place. This can be expensive and can result in lost productivity and lost income for the company. Additionally, if the company has to pay for medical expenses or rehabilitation costs, this can also be a significant expense.
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At the beginning of the current year, Martin Corporation purchases 20% of the outstanding shares of Foster Company for $200,000 which gave Martin the ability to significantly influence Foster. The price paid reflected Foster's book and fair values of its assets and liabilities. During the current year, Foster reports net income of $25,000 and declares dividends of $15,000. At the end of the current year, what amount should Martin report as investment income from its ownership of Foster's shares?
Answer:
$5,000
Explanation:
Calculation to determine what amount should Martin report as investment income from its ownership of Foster's shares
Using this formula
Amount to be reported as investment income=Net income*Percentage of outstanding shares purchased
Let plug in the formula
Amount to be reported as investment income=$25,000 x 20%
Amount to be reported as investment income= $5,000
Therefore The amount that Martin should report as investment income from its ownership of Foster's shares is $5,000
How do I calculate the income from the subsidiary when trial balance shows one amount.
When calculating the income from the subsidiary when trial balance shows one amount, you need to use the information available and follow some steps to get an accurate result.
Step 1: Start by identifying the subsidiary company's income statement and balance sheet. The income statement provides information about the company's revenue and expenses, while the balance sheet b information about its assets, liabilities, and equity.Step 2: Next, adjust the subsidiary company's financial statements to conform to the parent company's accounting policies. If the parent company uses a different accounting method than the subsidiary company, it may be necessary to make some adjustments to the subsidiary company's financial statements.Step 3: Eliminate the subsidiary's intercompany transactions. These are transactions between the parent company and the subsidiary company that are reflected in the subsidiary company's financial statements. By eliminating these transactions, you can get a more accurate picture of the subsidiary company's financial performance.Step 4: Use the adjusted financial statements to calculate the subsidiary's net income. This is the amount of money the subsidiary earned after subtracting its expenses from its revenue. The net income is typically found on the income statement.Step 5: Calculate the percentage of ownership that the parent company has in the subsidiary company. This will be used to determine how much of the subsidiary's net income is attributable to the parent company.Step 6: Use the percentage of ownership to calculate the parent company's share of the subsidiary's net income. This will give you an idea of how much money the parent company can expect to receive from the subsidiary company.
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Which of the following tabs on the Ribbon contains the themes which can be applied to a presentation?
O Home
OInsert
O Design
0 Slide Show
Answer: Your answer is insert,
Explanation: If you click design, only thing you're able to do is change the font and appearance of your letters, it's basically like an advanced format setting for text to speech.
What shows how goods, services, and money move in an economy in order to
better organize all the moving parts in order to see the big picture of an
economic situation?
Circular Flow of Economic Activity
O Supply Chart
O Cost Benefit Analysis
Gross Domestic Product
The model that shows how goods, services, and money move in an economy in order to better organize all the moving parts is the Circular Flow of Economic Activity.
What is the Circular Flow of Economic Activity?This is a model that shows how goods and services as well as money, moves in the economy.
It shows how Businesses are able to get factors of production such as money, from households and then use this to produce goods and services.
They then sell those goods and services to households who use money that they gain from being hired by the businesses to buy those products.
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Billy never lets money stay in his pockets, he thinks if it is there he has to spend it. Often he spends it on useless "stuff". Billy works pretty hard at landscaping jobs. He's only in the 8th grade, but has goals to get a car, go to college and buy a big house. What advise do you have for him?
Answer: See explanation
Explanation:
Based on the information given in the question, the advise for Billy is that he should save his money rather than purchasing things that are useless.
He has goals to get a car, go to college and buy a big house but he's rather spending on useless stuff. This will make his goals harder to achieve but saving the money for future purpose is essential to achieve his dreams and meet other demands.
50 pts! I really need help on this. Ignore the distribution part. Dont waste my points ;-; Will give Brainliest
Market Analysis: Research three countries you would like to distribute your game to and summarize the games, their prices, and how they are distributed in those markets (your competition). If you find that you might have chosen a market that is already too competitive, this is the time to identify another country and change your plan.
Countries I chose:
Japan
United States
Great Britain (UK)
Answer:
Japan 183-192billon dollars per year
USA 18.4 billion dollars
UK 5.05billion dollars
Facts about the chip category obtained from AC Nielsen are?
syndicated data.
survey data.
questionnaire data.
primary data.
experimental data.
Answer:
Explanation:
Then what is the question
what is the marginal cost of the 2nd gigaplot at jimmy's gigaplot factory?
$15 is the marginal cost of the 2nd gigaplot at jimmy's gigaplot factory.
The marginal fee refers to the growth in manufacturing expenses generated through the production of extra product devices. it's also referred to as the marginal fee of production. Calculating the marginal value permits companies to peer how volume output influences cost and therefore, in the long run, income.
The marginal value of production is used to degree the trade inside the fee of a product resulting from the production of an extra unit of output. when the business enterprise reaches the top-rated manufacturing level, producing additional units will increase the cost of production in keeping with the unit. Marginal cost is the brought price to provide a further properly.
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roak company and clay company are similar firms that operate in the same industry. clay began operations 2 years ago and roak started 5 years ago. in the current year, both companies pay 9% interest on their debt to creditors. the following additional information is available. roak company clay company current yr 1 yr ago 2 yrs ago current yr 1 yr ago 2 yrs ago total asset turnover 5.1 4.8 5.0 3.5 3.5 3.1 return on total assets 11.0% 13.6% 14.2% 7.9% 7.6% 7.3% profit margin ratio 4.4% 4.5% 4.3% 6.8% 7.0% 6.9% sales $510,000 $480,000 $496,000 $310,000 $270,000 $210,000 1. (a) which company has the better profit margin? (b) which has the better asset turnover? (c) which has the better return on assets? 2. which company has the better rate of growth in sales? 3. (a) did roak successfully use financial leverage in the current year? (b) did clay?
(a) Clay Company has the better profit margin.
(b) Roak Company has the better asset turnover.
(c) Roak Company has the better return on assets.
Roak Company has the better rate of growth in sales.
(a) Roak successfully used financial leverage in the current year.
(b) Clay did not successfully use financial leverage.
(a) To determine the better profit margin, we compare the profit margin ratio. Clay Company consistently has a higher profit margin ratio over the years, indicating better profitability in terms of percentage of sales.
(b) To determine the better asset turnover, we compare the total asset turnover ratio. Roak Company consistently has a higher total asset turnover ratio, indicating more efficient utilization of its assets to generate sales.
(c) To determine the better return on assets, we compare the return on total assets. Roak Company has a higher return on total assets, indicating better overall profitability in relation to its total assets.
Regarding the rate of growth in sales, Roak Company experienced higher sales growth compared to Clay Company, as evidenced by the increasing sales figures over the years.
(a) Roak successfully used financial leverage in the current year since it achieved a higher return on assets than the interest rate paid on its debt, resulting in increased profitability.
(b) Clay did not successfully use financial leverage in the current year as its return on assets was lower than the interest rate paid on its debt, leading to lower profitability compared to the cost of borrowing.
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How have newer work models made the workplace more efficient?
Explanation:
Don't be Afraid to Delegate. While this tip might seem the most obvious, it is often the most difficult to put into practice. ...Match Tasks to Skills. ...Communicate Effectively. ...Keep Goals Clear & Focused. ...Incentivize Employees. ...Cut Out the Excess. ...Train and Develop Employees. ...Embrace Telecommuting.Answer:
1)Assign a task to the person with the right skills. When a new assignment arises, managers tend to think: "Who on my staff has time to take this on?" This is not an effective way to make a decision.
2)Limit meetings: Let's face it: Unless it's a necessary client meeting or important brainstorm session, nine times out of 10,
3)Systematize processes to save people time. There may be old ways of doing things in your company that take up a lot of time. When you ask managers why you do things that way, they may say: "Well, that's just how we've always done it."
4)Provide quiet, uninterrupted spaces to work. This goes back to those colleagues disrupting your work to discuss personal issues. Most people work better in an environment without a lot of noise. Cubicle farms make it hard to accomplish meaningful work. The open physical layout of many offices today, as well as "open-door" policies establish an open invitation for co-workers to interrupt others.
5)Determine where people need to be located. Companies are beginning to realize that telework saves them money and greatly increases productivity. Employees working from home tend to accomplish more than their counterparts sitting in an office. This is mainly due to the lack of office distractions listed above and the extra time people can put into work since they can start and end their day during typical commute times. Also, business travel is not always a necessity, as it is both a high monetary and time cost to incur.
Explanation:
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