Savings needed: 03 times 65,000, or $1950.
She earns 150 times 12 for a total of $1800.
What is budget?Up to 3% of the employee's pay, the employer's contribution is equal to the employee's contribution. Employer will only contribute 3% of salary if employee contribution is more than a certain percentage.
When an individual contributes 3% of their pay, the company's contribution is $65,000 per year.
Therefore, must make a 3% salary contribution to her 401(k) plan in order for her company to match that amount, the most her firm will contribute is this.
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What's a curling iron?
Answer:
A curling iron is a tool that is used on hair to create a tight or loose curl.
Oucation 6 of 25
The need to get goods from producera to consumers raimes which of the
following bowie queations?
O A. How are goods and services to be distributed?
O B. What is to be produced?
O C. How is production to be organized?
O D. What is the most effective allocation?
Answer:
A. How are goods and services to be distributed?
Explanation:
After the manufacturing of the goods, the process of distribution proceeds. In this process, the goods and services produced are distributed from the producers to the consumers. Transportation, packaging, storage, and advertising are some of the processes that lie between the production and distribution of the products.
According to the given options, the basic question to be asked related to the distribution of the produced goods is option A. All the other three questions belongs to the production stage.
Answer:
How are goods and services to be distributed?
Explanation:
took the test
suppose the federal reserve sets the reserve requirement at 12%, banks hold no excess reserves, and no additional currency is held.
The money multiplier, based on the information provided, is 8.33 times.
Money multiplier a. Money multiplier is 1 divided by the reserve ratio
multiplier=1 divided by 0.12
8.33 times the multiplier
c. The total money supply is 80 + 8.33.
$666.4 million is the total money supply.
b. The total money supply equals 500 / 8.33.
Total supply of money is $60 million.
Conclusion: The multiplier for money is 8.33.
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This will give you 100 points so please answer fast and make it a good answer. Choose ONE of the organization structures from above: functional, divisional, or matrix.
Create an organizational chart for the internal organization of a business of your choice and assign the appropriate task to be performed to each department or individual.
Feel free to use the Internet to search for examples to use as a guide when creating your organizational chart. Be sure to include the URL links you used as resources in the space below.
Now include the following:
Identify your business or what your business sells.
State which type of organization structure you chose and why you chose that structure.
List the task(s) for each job in your organization chart.
The question tests your knowledge of Organograms and Organizational Structures. The structure used in this example is a functional organizational structure.
What is a functional organizational structure?Organizational Structures are the way businesses and organizations are organized.
Functional organizational structures are arranged or organized according to the functions that are available in the various departments of such an organization.
The organization structure attached is for revenue service. This structure is best for this kind of organization because it deals mostly with professional services that are intangible.
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Answer:
Explanation:
The question tests your knowledge of Organograms and Organizational Structures. The structure used in this example is a functional organizational structure.
What is a functional organizational structure?
Organizational Structures are the way businesses and organizations are organized.
Functional organizational structures are arranged or organized according to the functions that are available in the various departments of such an organization.
The organization structure attached is for revenue service. This structure is best for this kind of organization because it deals mostly with professional services that are intangible.
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The question tests your knowledge of Organograms and Organizational Structures - 1
Which multimedia and interactive elements do you think would best support your viewpoint on the topic you chose for your blog? Write two to four sentences explaining what multimedia and interactivity you will use and why.
Answer:
I will use images and details from credible websites, which will boost my own credibility and support my claim. I will also use charts and graphs from trusted web resources, such as government and university sites, to make my supporting evidence clear
Explanation:
I took the test
Brainiest???
The Use of videos, audios, and images in the blog will not only make it attractive but also make it credible.
Best Way to Write BlogTo write a credible and attractive blog we need to use multimedia such as videos, images, link of credible websites. We can also use other elements which can autocorrect grammer mistakes, can easily provide best charts and graphs.
The use of these elements can give a better outlook to our blog, and also create a sense of trust and credible information.
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Frank is already taking advantage of his employer benefit package but wants to find
options to save for retirement that offer tax incentives. Which of the following should
Frank explore?
A. Contribution matching
B. Lower interest
C. Opt in or opt out
D. Roth IRA
On January 1, Cass City approved the following general fund resources for the new fiscal period:
Property Taxes: $4,000,000
Licenses and permits: 300,000
Intergovernmental revenues: 250,000
Transfers in from other funds: 150,000
What amount should Cass record as estimated revenues for the new fiscal year?
Cass City should record an estimated revenue of $4,700,000 for the new fiscal year. This amount is obtained by adding up all the approved general fund resources for the new fiscal period, which are property taxes, licenses and permits, intergovernmental revenues, and transfers from other funds. The total of these resources is $4,700,000.
It is important for Cass City to accurately record its estimated revenues for the new fiscal year, as it will help in creating an effective budget plan and managing its financial resources efficiently. Additionally, having accurate financial records and estimates is also necessary for complying with accounting and reporting requirements as well as making important financial decisions.
To calculate the estimated revenues for the new fiscal year, you need to add up the amounts of each revenue source. Here's a step-by-step explanation:
1. Property Taxes: $4,000,000
2. Licenses and permits: $300,000
3. Intergovernmental revenues: $250,000
4. Transfers in from other funds: $150,000
Now, add up these amounts:
$4,000,000 (Property Taxes) + $300,000 (Licenses and permits) + $250,000 (Intergovernmental revenues) + $150,000 (Transfers in from other funds) = $4,700,000
Cass City should record an estimated revenue of $4,700,000 for the new fiscal year.
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what kind of technology refers as local technology or indigenous technology ?
Answer:
Local technology refers to the technology which are used in our locality from the ancient time and are made of locally available materials for the welfare of local people.
Answer:
Local technology refers to the technology which are used in our locality from the ancient time and are made of locally available materials for the welfare of local people.
Explanation:
which of the following statements concerning economic value added is true? group of answer choices the higher the cost of capital, the higher the eva, other things being held constant. eva can be negative even if operating profits are positive. a company with positive net income will have positive eva. higher operating return on assets will result in lower eva for a company with a debt ratio over 50%.
EVA can be negative even though operating profits are positive is the statement concerning economic value added is true.
So, the correct option is B.
A negative EVA indicates that a corporation is not making money from the capital invested in the enterprise. A corporation is demonstrating value from the money invested in it if its EVA is positive, on the other hand. An indicator of a company's financial performance based on residual income is called economic value added (EVA). It tries to describe the value a company creates with the aid of the money spent and enhances the returns produced for shareholders.
A corporation makes money when the EVA is positive, or when it is positive. A corporation would not be able to justify its capital commitments to shareholders if its EVA was negative.
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If your purchases of shoes decrease from 11 pairs per year to 9 pairs per year when your income increases from $19,000 to $21,000 a year, then, for you, shoes are considered a(n):
A) normal good.
B) inferior good.
C) complementary good.
D) substitute good.
If your purchases of shoes decrease from 11 pairs per year to 9 pairs per year when your income increases from $19,000 to $21,000 a year, then, for you, shoes are considered an (B) inferior good.
Inferior goods are products whose consumption is reduced when people's income rises, either because they can no longer afford them or because they prefer higher-quality alternatives.
Inferior goods are products whose consumption decreases as people's incomes rise, as opposed to normal goods.
When the price of an inferior good rises, people may start buying more of it rather than less of it, because it becomes more cost-effective than higher-quality substitutes.
Inferior goods, on the other hand, are those goods that are demanded less when the customer's income rises, indicating a negative connection between the customer's income and the inferior good's price.
As a result, option B is the right choice. Shoes are considered an inferior good, as the customer's income increases from $19,000 to $21,000 per year, the pair of shoes decreases from 11 pairs per year to 9 pairs per year.
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please use your own words and keep it short and sweet. thank
you
Compare and contrast the Cash Flow, Return on Investment, and Net Present Value methods of assessing a project's economic feasibility.
Cash Flow, Return on Investment (ROI), and Net Present Value (NPV) are three methods used to assess a project's economic feasibility.
While Cash Flow focuses on the timing and amount of cash inflows and outflows, ROI measures the profitability of an investment relative to its cost, and NPV takes into account the time value of money by discounting future cash flows. These methods provide different perspectives on a project's financial viability and are useful in evaluating investment opportunities.
Cash Flow analysis focuses on the timing and magnitude of cash inflows and outflows associated with a project. It considers the actual cash movements and assesses the project's ability to generate positive cash flows. Cash Flow analysis helps determine the project's liquidity, solvency, and ability to meet financial obligations.
Return on Investment (ROI) is a profitability ratio that measures the return generated by an investment relative to its cost. It is expressed as a percentage and provides an indication of the project's efficiency in generating profits. ROI considers both the project's earnings and the capital invested, allowing for a comparison of different investment opportunities.
Net Present Value (NPV) takes into account the time value of money by discounting future cash flows to their present value. It compares the present value of cash inflows to the present value of cash outflows, considering the required rate of return or discount rate. NPV represents the net increase in value that a project brings and helps in decision-making by assessing whether the project is expected to generate positive or negative value.
While Cash Flow analysis focuses on cash movements, ROI emphasizes profitability, and NPV incorporates the time value of money. These methods complement each other and provide a comprehensive evaluation of a project's economic feasibility. Cash Flow analysis provides insights into cash availability, ROI assesses profitability, and NPV considers the value created by the project over time.
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5. Which of the following is an example of budgeting?
A. Mike spends all of his money on comic books.
B. Robert sets aside a certain amount each month to afford a new basketball hoop.
C. Jeremy considers what he wants to do after high school.
D. Alan earns money by putting his money in a bank account.
Answer:
correct answer is B
Explanation:
Mike does not budget, because budgeting means actively spending less to save for something else, but mike spends all his money on comics.
Robert is budgeting so he can buy a new basketball hoop
Jeremy is thinking through a complex question that has nothing to do with money spending or saving
Alan doesn't make sense because the only money you get by banking your money is annual interest but i know he isn't budgeting.
Carly is applying for a position at a multinational corporation that will require her to work with people in other countries. Fortunately, she has experience doing this. To prepare for her interview, she is reviewing instances when she demonstrated a global mindset at her previous job. She knows that she will show the interviewer she has a global mindset by telling about times she has appreciated and influenced individuals, groups, organizations, and systems with different social, cultural, political, institutional, intellectual, and psychological characteristics. Carly is eager to tell the interviewer about the team she led of product managers from the United States, Latin America, and Europe. At first, team members were unsure of how to relate to each other, but she was able to find common ground and relate in a culturally sensitive way with each one. Which dimension of her global mindset would this experience show the interviewer? o Social dimension Psychological dimension Cognitive dimension If Carly wants to improve her global mindset, which of the following activities would help her do so? Check all that apply. Following international news by visiting the BBC's website regularly Joining Toastmasters to improve her public speaking ability in English since most people in business know at least so me English Assuming the U.S. viewpoint on international matters is generally the most correct one Traveling to other countries and interacting with local people
Carly’s experience of leading a team of product managers from the United States, Latin America, and Europe would show the interviewer the social dimension of her global mindset. A global mindset is a set of individual competencies, which allows the individuals to work effectively in a global context.
The dimensions of global mindset include the following: Social Dimension, Cultural Dimension, Political Dimension, Institutional Dimension, Intellectual Dimension, Psychological Dimension and Cognitive Dimension. The social dimension of global mindset refers to the ability of individuals to appreciate and influence individuals, groups, organizations, and systems with different social, cultural, political, institutional, intellectual, and psychological characteristics. As Carly was able to find common ground and relate in a culturally sensitive way with each of her team members from different regions of the world, she exhibited the social dimension of her global mindset.
To improve her global mindset, Carly should perform the following activities: Following international news by visiting the BBC's website regularly. Joining Toastmasters to improve her public speaking ability in English since most people in business know at least so me English. Traveling to other countries and interacting with local people. Thus, following international news by visiting the BBC's website regularly, joining Toastmasters to improve public speaking ability in English, and traveling to other countries and interacting with local people are the activities that Carly should perform to improve her global mindset.
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What retirement plan do you think fits most people best?
Answer:
I think most people go with the IRA.
how should contact center wohow should contact center workstations be positioned to maximize productivity?
Give your workers freedom. Working in a call center might seem monotonous at times.
What does the term "employee" mean?A person engaged by a company to do a certain task is known as an employee. Employers are in charge of deciding how much an employee is paid, when they work, and how they work. Employees receive advantages that contractors do not in return.
What is the primary objective of an employee?Worker meaning is the feeling of significance that employees derive from their work and the degree to which their ideals are shared by a company. It ultimately comes down to giving staff members the tools and support they need to infuse meaning into their workdays and professional environments. They help to increase the productivity of company.
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Karen Price has determined that her net worth is $24,000, excluding her home. She owes $90,000 on her mortgage and $12,000 on a car loan. What is Karen's debt-to-equity ratio
Based on the information given Karen's debt-to-equity ratio is 0.5.
Debt-to-equity ratioUsing this formula
Debt-to-equity ratio=Mortgage/Net worth
Where:
Mortgage=$12,000
Net worth=$24,000
Let plug in the formula
Debt-to-equity ratio=12000/24000
Debt-to-equity ratio=0.5
Inconclusion Karen's debt-to-equity ratio is 0.5.
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What is application software used for?
A. To help computer users apply their knowledge in new ways
B. To help computer users fill out employment applications
C. To make certain tasks easier for the computer user
O D. To make certain tasks more challenging for the computer user
Answer:
c I'm pretty sure
hope this helped!
Levels of agriculture?
Answer:
Helloooo
the steps are :-
Soil preparationmanuringirrigationweedingharvestingstoringExplanation:
thanks hope it helps
true or false: the excess of operating revenues over the operating costs incurred to generate those revenues is net income.
False Justification: This is an operating profit. Operating profit is reduced by interest, income taxes, and other costs to produce net income.
The sum of a company's earnings from its core business operations for a specific time period, before deducting interest and taxes, is known as operating profit. Additionally, it does not include any gains from auxiliary investments, such as earnings from other companies in which the corporation owns a stake. When expenses exceed core business income, an operational loss results.
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If the required rate of return on a bond is less than the bond's coupon interest rate, then the bond is valued at
par value
a discount
a premium
the coupon payment
If the required rate of return on a bond is less than the bond's coupon interest rate, then the bond is valued at a premium (option C).
A bond is a fixed-income security that pays interest in installments to investors. The bond's issuer pays a fixed rate of interest to the investor, which is determined by the bond's par value and coupon rate. The par value, also known as the face value, is the bond's worth when it matures.
The coupon rate is the rate of interest that the bond's issuer pays to the bond's holder each year, calculated as a percentage of the bond's face value. When a bond's coupon rate exceeds the required rate of return, the bond is referred to as a premium bond.
A bond is referred to as a premium bond if the coupon rate is higher than the required rate of return on the bond. Premium bonds are sold at a price greater than their face value because their interest rates are greater than the rates being offered in the market at the time they were issued. As a result, bondholders get a larger return on their investment, which is reflected in the bond's higher price.
In a nutshell, a bond is valued at a premium when the interest rate is greater than the required rate of return. Option C is the correct answer.
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This is really for Economics but...
How are wages affected by the market?
Answer:
They could help give stock to the store/s that's using them. Or, they are the ones getting money for the produce or business, but it helps them get more and more resources for their store.
Explanation:
Answer:
Economists argued that wages are determined by demand and supply.They called it the theory of wage determination They said The price of labor is determined in the free market like every other price by intersection,Supply and demand.
Explanation: that took me a moment to think that out for it to be understandable so it doesn't disorient you
The role of the Federal Reserve Board of Governors is to:
A. loan money to multinational corporations.
B. set discount rates and reserve requirements.
O c. enforce monetary policy on Federal Reserve banks.
O D. establish new Federal Reserve districts.
B. set discount rates and reserve requirements.
I think that the board of the Governors are responsible for setting the discount rates according to the Reserve banks and they have to reserve the requirements for their need. The important thing that the Board of governors should concentrate on improving the Federal Reserve bank work.
Which one of the following is a way to improve the S/Q rating of branded pairs produced at a particular production facility? a Striving to maximize the use of overtime and thereby increase worker satisfaction with their take-home pay b Increasing per model expenditures for enhanced styling/features c Increasing the incentive pay per non-defective pair offered to production workers d Increasing efforts to reduce reject rates e Avoiding bidding for contracts to supply private-label footwear to chain retailers, which O damages the company's image as a producer of top quality footwear
Answer:
Explanation:
d. Increasing efforts to reduce reject rates
The way to improve the S/Q (Style/Quality) rating of branded pairs produced at a particular production facility is option d - "Increasing efforts to reduce reject rates."
Reject rates refer to the percentage of products rejected during production due to quality issues. By reducing the reject rates, a company can improve the overall quality of its products and increase its S/Q rating. This can be achieved by improving quality control measures, training production workers, and using better raw materials.
While options a, b, c, and e may impact the production process, they are not directly related to improving the S/Q rating. Maximizing the use of overtime may lead to increased worker satisfaction, but it may not necessarily improve the quality of the products. Similarly, increasing per-model expenditures for enhanced styling/features and offering higher incentive pay may improve worker motivation but may not improve the quality of the products. Avoiding bidding for contracts to supply private-label footwear may improve the company's image, but it may not improve the quality of the branded pairs produced.
A Web site's Terms of Use grants the Web site the right to do what?
0
use your personal information in its advertisements
O sell its users' personal information to third parties for them to market to specific customers
O use its users' posts and photographs to gather information about its consumers
o both the first and third answers
it might be d because b isnt correct and the A and c are correct so im thinking therfor the answer is d
Answer:
both the first and third answers
Explanation:
I tried answering "use its users' posts and photographs to gather information about its consumers" and it was wrong, and then I retook the quiz and answered "sell its users' personal information to third parties for them to market to specific customers" and it was wrong. I know they can sell your information to make targeted ads, so it must be the answer that says "both the first and third answers".
Responsibility accounting refers to the various concepts and tools used by managers to measure the performance of people and departments in order to foster goal congruence.
True or False
True. Responsibility accounting refers to the various concepts and tools used by managers to measure the performance of people and departments. The primary aim is to foster goal congruence within an organization.
Responsibility accounting is a management accounting concept that involves measuring the performance of individuals and departments in achieving specific goals and objectives.
This involves the identification of responsibilities for each person or department, determining the goals and objectives, and establishing metrics to measure progress towards those goals. Responsibility accounting allows managers to assign specific tasks and responsibilities to individuals and hold them accountable for their performance. By assigning responsibility for specific tasks or goals to individuals or departments, managers can better track progress and ensure that organizational objectives are met. This system promotes accountability and encourages employees to work towards common objectives.This concept also involves content loaded reporting, which means that managers must provide detailed and accurate information about the performance of individuals and departments. This information is used to make decisions about resource allocation and to identify areas where improvements are needed. Overall, responsibility accounting is an important tool for managers to promote goal congruence and ensure that everyone is working towards the same objectives.Know more about the Responsibility accounting
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1. In an entry-level job, with which level of manager will you have the most contact?
Explain your answer.
Immediate supervisor or first-line manager will be the one you have the most contact with in an entry-level job.
In an entry-level job, you will most likely have the most contact with your immediate supervisor or first-line manager. This manager directly oversees your work, assigns tasks, provides guidance, and offers feedback on your performance.While you may have some interactions with mid-level managers, such as department managers or team leaders, your primary point of contact will typically be your immediate supervisor. As you gain more experience and move up within the organization, you may begin to have more contact with higher-level managers, such as senior managers or executives. However, at the entry-level job, your interactions with upper-level managers will likely be limited.
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Sung owns a plumbing supply store. One of his clients, Village Plumbers, has a charge account with his store. This month Village Plumbers charged 200 feet of pipe at $0.40 per foot, 150 elbow joints at $0.75 per elbow joint, and 36 outdoor faucets at $2.49 per faucet. Sung must charge 5.5% sales tax on all items sold? What is the balance on Village Plumbers’ charge account?
Answer:
$297.66
Explanation:
The total costs of the items would be
200 feet pipe : 200 x $0.40 = $80.00
150 elbow joints: 150 x $0.75 = $112.50
36 outdoor faucets: 36 x $2.49 =$ 89.64
Total cost =$282.14
add 5.5% tax
=5.5/100 x $282.14 =$15.52
Total $297.66
The balance on Village Plumbers’ charge account =$297.66
Help pleaseeeeeeeeeeee!
Answer:
last one?
Explanation:
Answer:
Use task manager to close pop up ad
Sam's Pizza is considering a new store location. For accounting purposes, fixed operating costs for a store are $245,000 a year, and variable costs are 42 percent of sales. The average pizza sells for $12.50. Compute the annual break-even sales level in number of pizzas for this store location.
Answer:
33,793 pizzas
Explanation:
The annual break-even sales level for the number of pizzas sold in the location is computed using the break-even sales units formula below:
break-even sales=fixed costs/contribution margin per pizza
fixed costs=$245,000
contribution margin per pizza=selling price-variable cost
selling price=$12.50
variable cost=selling price*42%
variable cost=$12.50*42%
variable cost=$5.25
contribution margin per pizza=$12.50-$5.25 =$7.25
break-even sales=$245,000/$7.25 = 33,793 pizzas
By subtracting current liabilities from current assets, you are able to determine____
Answer:
Working Capital
Explanation: