Margaret's net income on her Schedule C, after deducting business expenses, is $31,000.
What is the net income that Margaret should show on her Schedule C after deducting business expenses?To calculate Margaret's taxable business income on her Schedule C, we can start with her gross income of $45,000. Then we subtract her business expenses:
1. Travel: $1,000
2. Contribution to Presidential Election Campaign: $0 (This is not deductible as a business expense)
3. Transportation: $5,725 (Assuming this is a deductible business expense)
4. Entertainment: $4,200 (Assuming this is a deductible business expense)
5. Nine gifts at $50 each: $450
6. Rent and utilities for the apartment (25% used for a home office): $10,500 * 25% = $2,625
Total expenses: $1,000 + $5,725 + $4,200 + $450 + $2,625 = $14,000
Net income (taxable business income) = Gross income - Expenses
Net income = $45,000 - $14,000 = $31,000
Therefore, Margaret should show a net income of $31,000 on her Schedule C as her taxable business income.
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Margaret should show a net income of $29,575 on her Schedule C.
Explanation:Margaret should show a net income of $29,575 on her Schedule C. To calculate her net income, subtract her expenses from her gross income. Here is a breakdown of her expenses:
Travel: $1,000Contribution to Presidential Election Campaign Transportation: $5,725Entertainment: $4,200Nine gifts at $50 each: $450Rent and utilities for apartment (25% is used for a home office): $2,625By subtracting these expenses from her gross income, Margaret's net income is $29,575.
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Margaret's net income for her Schedule C should be $31,000. This is calculated by subtracting her business-related expenses ($14,000) from her gross income ($45,000).
Explanation:To calculate Margaret's net income that should be shown on her Schedule C, we must consider both her gross income and the expenses related to her business. We will deduct the business expenses from the gross income.
First, we identify her gross income, which is $45,000. Next, we add up her business-related expenses: travel ($1,000), transportation using the standard mileage method ($5,725), entertainment ($4,200), nine gifts at $50 each ($450), and 25% of the rent and utilities for her apartment that's used as a home office ($10,500 * 0.25 = $2,625).
Her total expenses are thus $1,000 + $5,725 + $4,200 + $450 + $2,625 = $14,000. We subtract this expense total from her gross income: $45,000 - $14,000 to get net income of $31,000, which she will report on her Schedule C.
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Place the steps to creating a budget in order:
Figure out your net income.
Make a list of fixed expenses
Make a list of variable expenses.
Adjust expenses as needed
Determine if you have enough income to cover all your expenses.
Answer:
1. Figure out your net income
2. Determine if you have enough income to cover all your expenses
3. make list of variable expense
4. make list of fixed expenses
5. adjust expense
done !
How does the punishment for late payment of student loans differ between Federal and private loans?
Federal student loans and federal parent loans: the federal government funds these loans. Private student loans: These loans are confederal loans.
What is a loan?In finance, a loan is the lending of money by one or more someone, social group, or other entities to other individualists, organizations, etc. The recipient receives a debt and is usually liable to pay interest on that debt.
The federal government funds these loans. Buck private student loans: These loans are confederal loans, made by an investor such as a bank, credit union, state agency, or school.
Therefore, loans are confederal loans for Federal student loans and federal parent loans
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An organization that mediates and resolves discord among members of society is what kind of organization?
Integration orientation Organizations that help mediate and fix discord among members of society.
Organizational integration :
IT is achieved when organizational goals are aligned between the external and internal influences. Organizational alignment promotes collaboration and teamwork across various areas of labor internally within the organization. Organizational integration supports a company's resilience to external factors, like its mission or business model, input and output, the economy, technology, political factors, social factors and stakeholders.
Why is integration important in an organization?
Integrating your business systems enables a holistic view of your customer, your data, and your organizational health. It creates a much better customer experience and enhance your internal workflow.
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Rather than acquire an existing machine parts manufacturer in Mexico, Robertson Corp., based in Ohio, chose to establish new operations in a northern Mexico city. This form of FDI is called
The form of Foreign direct investment used to acquire the existing machine parts manufacturer in Mexico, Robertson Corp based in Ohio is called a greenfield investment.
What is a greenfield investment?A greenfield investment refers to a foreign portfolio investment whereby a company buys the stocks or bonds of an existing company.
In conclusion, the acquisition of Robertson Corp in other to establish new operations in a northern Mexico is called a greenfield investment.
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Mrs. Turner is comparing her employer’s retiree insurance to Original Medicare and would like to know what services Original Medicare will cover if the appropriate criteria are met? What could you tell her?
Answer:
Original Medicare covers ambulance services.
Explanation:
Since in the question it is mentioned that the Turner compared her employer retired insurance with respect to the Original Medicare and also she would like to know whether what services are covered if the prescribed criteria are met
So here the original medicare covers the ambulance services as this is a pre hospitalization charges that are mentioned in the insurance policy
The federal health insurance program known as Medicare is available to the person whose age is 65 or older. The services that original Medicare will cover are ambulance services.
In hospitals, doctors' offices, and other healthcare institutions, the majority of medically required services and supplies are covered by Original Medicare.
Some benefits, including routine checkups, the majority of dental treatment, and eye exams, are not covered under original Medicare. Medical care received outside the United States is typically not covered by Original Medicare. It's possible to purchase a Medicare Supplement Insurance (Medigap) plan that offers emergency medical coverage abroad.Therefore, The services that original Medicare will cover are ambulance services.
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What is a mass number
Spicer Inc. showed the following alphabetized list of adjusted account balances at December 31,2020 . Assume that the preferred shares are non-cumulative. Required: Prepare a classified balance sheet at December 31, 2020. (Enter all amounts as positive volues.) Tolal property, plant and equipment 1. What percentage of the total assets is owned by the shareholders? (Round your final answer to the nearest whole percent.) 2. What percentage of Spicer inc, is equity financed? (Round your final answer to the nearest whole percent.) 3. What percentage of Spicei inc. Is firenced by debt? (Round your final answer to the nearest whole percent) 4. What percentage of the total assets is owned by the common shareholders? (Round your final answer to the nearest whole percent.) 5. What percentage of the assets is financed by the preferred shareholders? (Round your final answer to the neorest whole pereent.)
1. Equity financing is the portion of total assets that is financed through shareholder equity.
The total liabilities and shareholders' equity are equal to $4,095.
Total shareholders' equity is the sum of common stock and retained earnings, which is 175 + 290 = $465.
2. The percentage of equity financing is ($465/$4,095) × 100% = 11.35% (rounded to the nearest whole percent as 11%).
3.
Debt financing is the portion of total assets that is financed through liabilities.
The total liabilities are equal to $1,085.
The percentage of debt financing is ($1,085/$4,095) × 100%
= 26.47% (rounded to the nearest whole percent as 26%).
4.
The common shareholders' portion of the assets is equal to 2675 + 290 = $2,965.
The percentage of total assets owned by common shareholders is ($2,965/$4,095) × 100% = 72.38% (rounded to the nearest whole percent as 72%).
5. The preferred shareholders' portion of the liabilities and shareholders' equity is equal to $375.
The percentage of assets financed by preferred shareholders is ($375/$4,095) × 100%
= 9.15% (rounded to the nearest whole percent as 9%).
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Organic change is a process where change is initiated in response to some known external threat or opportunity False True
The given statement, "Organic change is a process where change is initiated in response to some known external threat or opportunity," is true.
Organic change refers to a process where change is initiated in response to an external threat or opportunity. Organic change is typically gradual and adaptive, allowing organizations to respond effectively to external factors.
By identifying and addressing potential threats or capitalizing on opportunities, organizations can maintain their competitive edge and continue to thrive in their industry. In summary, organic change is an important process that helps organizations adapt and grow in response to external challenges and opportunities.
Thus, the statement about organic change is correct.
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heathcote corporation is a manufacturer that uses job-order costing. the company closes out any overapplied or underapplied overhead to cost of goods sold at the end of the year. the company has supplied the following data for the just completed year: estimated total manufacturing overhead at the beginning of the year $ 546,000 estimated direct labor-hours at the beginning of the year 42,000 direct labor-hours results of operations: actual direct labor-hours 47,000 direct labor-hours manufacturing overhead: indirect labor cost $ 152,000 other manufacturing overhead costs incurred $ 454,000 cost of goods manufactured $ 1,569,000 cost of goods sold (unadjusted) $ 1,458,000 the adjusted cost of goods sold for the year is: multiple choice $1,458,000 $1,603,000 $1,453,000 $1,463,000
The adjusted cost of goods sold for the year is $1,603,000.
To calculate the adjusted cost of goods sold, we need to determine the amount of overapplied or underapplied overhead. We can start by calculating the predetermined overhead rate:
Predetermined overhead rate = Estimated total manufacturing overhead / Estimated direct labor-hours
Predetermined overhead rate = $546,000 / 42,000 hours = $13 per direct labor-hour
Next, we calculate the applied overhead by multiplying the actual direct labor-hours by the predetermined overhead rate:
Applied overhead = Actual direct labor-hours * Predetermined overhead rate
Applied overhead = 47,000 hours * $13 = $611,000
Now we can determine whether there was overapplied or underapplied overhead by comparing the applied overhead to the other manufacturing overhead costs incurred:
Overapplied/Underapplied overhead = Other manufacturing overhead costs incurred - Applied overhead
Overapplied/Underapplied overhead = $454,000 - $611,000 = -$157,000
Since the amount is negative, it means there was overapplied overhead. The overapplied amount needs to be closed out to the cost of goods sold. To calculate the adjusted cost of goods sold, we add the overapplied amount to the unadjusted cost of goods sold:
Adjusted cost of goods sold = Cost of goods sold (unadjusted) + Overapplied/Underapplied overhead
Adjusted cost of goods sold = $1,458,000 - $157,000 = $1,603,000
Therefore, the adjusted cost of goods sold for the year is $1,603,000.
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write on perfect competition
Darnold Company's ledger showed the following income statement balances as of December 31, 2015, the end of the company's fiscal year:
Darnold Company's ledger showed the following income statement balances as of December 31, 2015, the end of the company's fiscal year: To analyze the income statement balances provided, we need to understand the key components of an income statement.
The income statement is a financial statement that shows a company's revenues, expenses, gains, and losses over a specific period of time. To give you a general idea, typical income statement balances include: Revenues: These are the amounts earned by the company from its primary operations. Examples of revenues include sales revenue, service revenue, and interest revenue. Expenses: These are the costs incurred by the company to generate revenue.
Expenses include items such as salaries and wages, rent, utilities, and advertising expenses. Gains: These are income sources that are not part of the company's primary operations. Gains may result from the sale of assets, investments, or other transactions that generate profit. Losses: These are expenses that are not part of the company's primary operations. Losses may result from events such as asset write-offs, lawsuits, or other unforeseen circumstances.
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According to your text, the ultimate objective of supply chain management is A. to make each channel as efficient as possible, thus saving the company money.
B. to utilize as few channel members as possible in the manufacture of the product.
C. to integrate related companies so they function as one organization.
D. to accurately predict production levels in order to minimize inventory carrying costs.
E. to choose intermediaries that share the same mission as the company.
The direct answer is C. to integrate related companies so they function as one organization.
The ultimate objective of supply chain management is to integrate related companies within the supply chain so that they function as one cohesive organization. Supply chain management involves coordinating and optimizing the flow of goods, information, and services from the initial suppliers to the end customers.
By integrating related companies, such as suppliers, manufacturers, distributors, and retailers, supply chain management aims to create a seamless and efficient flow of products and services. This integration allows for improved coordination, collaboration, and communication among the various entities involved in the supply chain.
Through integration, companies can achieve several benefits, including cost savings, improved responsiveness, enhanced customer satisfaction, reduced lead times, and increased overall supply chain performance. By functioning as one organization, the supply chain can operate more efficiently, effectively allocate resources, streamline processes, and adapt to changing market demands.
While the other answer choices may have some relevance to supply chain management, they do not capture the comprehensive objective of integrating related companies to function as one organization, which is the core goal of effective supply chain management.
The ultimate objective of supply chain management is to integrate related companies within the supply chain so that they operate as a cohesive organization. This integration facilitates improved coordination, efficiency, and effectiveness in the flow of goods and services, leading to enhanced overall supply chain performance.
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5. How heavy was the trading of Smith's stock today relative to the normal level of trading?
relatively heavy trading
average trading
relatively light trading
Option a: The trading of Smith's stock today was relatively heavy trading compared to the normal level of trading.
Smith's stock traded relatively well today compared to the average daily trading volume over the past three months. The average daily trading volume for the past three months was 629,072 shares. 1,419,317 shares were traded today, more than double the average daily volume.
Transferring products or services from one individual or business to another is referred to as trade. Money is a common end objective. The structure or network that permits commerce is referred to by economists as a market. The direct exchange of goods or services for other goods or services, or the interchange of goods without the use of money, was known as bartering in early forms of commerce.
Nowadays, trades are usually conducted using a medium of barter like money. You can distinguish between purchases and sales or income in this manner. Money's creation, along with the creation of banknotes, letters of credit, and non-physical money, significantly streamlined and eased trade. Bilateral commerce is exchange between two merchants, whereas multilateral trade is exchange between two or more traders.
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Complete question:
Smith Enterprises recently was profiled on a financial information website and touted as a "hot" growth stock. You acquired the stock quote shown below that website.
Smith Enterprises (NYSE: SME)
Last trade: $51.63
Day's Range: 47.22 - 51.96
Trade Time: 4:00 PM ET
52wk Range: 25.48 - 60.71
Change: +??? (11.75%)
Volume: 1,419,317
Prev Close: 46.20
Avg Vol(3m): 629,072
Open: 47.25
Market Cap: 1.63B
Bid: N/A
P/E (ttm): 24.70
Ask: N/A
EPS (ttm): ???
1y Target Est: 55.40
Div & Yield: 0.20 (0.40%)
The last trade time is shown to be 4:00 pm. ET. The abbreviation "ttm" stands for "trailing twelve months" and means the number shown reflects data from the previous 12 months, while "3m" means data from the previous 3 months.
How heavy was the trading of Smith's stock today relative to the normal level of trading?
relatively heavy trading
average trading
relatively light trading
Which type of interest does not change over the life of a loan?
Principal interest
Fixed interest
Variable interest
Annual percentage rate
Answer:
Fixed interest
Explanation:
A fixed-rate mortgage charges a set rate of interest that does not change throughout the life of the loan. You'll know exactly how much each monthly payment will be, as well as how much it will cost you overall to pay off the loan based on that rate.
perez company is considering an investment of $27,215 that provides net cash flows of $8,400 annually for four years. (a) what is the internal rate of return of this investment? (pv of $1, fv of $1, pva of $1, and fva of $1) (use appropriate factor(s) from the tables provided. round your present value factor to 4 decimals.) (b) the hurdle rate is 8%. should the company invest in this project on the basis of internal rate of return?
The investment in Perez Company has an internal rate of return (IRR) of approximately 16.88%. As it exceeds the hurdle rate of 8%, the company should invest in this project.
(a) To calculate the internal rate of return (IRR), we need to find the discount rate that makes the present value of the cash flows equal to the initial investment. We can use the Present Value of an Annuity (PVA) table for this calculation. The net cash flows are $8,400 per year for four years, so the present value is:PV = $8,400 × PVA factor (4 years, discount rate = IRR)Using the PVA table, we can find that the PVA factor for 4 years at the IRR is approximately 3.5771. Therefore:$27,215 = $8,400 × 3.5771 × (1 - PVA factor (4 years, discount rate = IRR))Now, we need to find the IRR that satisfies the above equation. It requires trial and error or an iterative approach. The IRR for this investment turns out to be approximately 16.88% (rounded to two decimal places).
(b) The hurdle rate is given as 8%. Since the IRR (16.88%) is higher than the hurdle rate, the investment's internal rate of return exceeds the required rate of return. Therefore, based on the internal rate of return, the Perez Company should invest in this project. The IRR represents the rate of return generated by the investment, and in this case, it exceeds the company's required rate of return, indicating a positive investment opportunity.
Therefore, The investment in Perez Company has an internal rate of return (IRR) of approximately 16.88%. As it exceeds the hurdle rate of 8%, the company should invest in this project.
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Strategic Management crucially define and determine the long term performance of a
business entity. This is with reference to, Nokia, who lost its pace in the smartphone
race. As quoted by source:"Nokia has been long the market leader in the mobile phone market and with its enormous reach and huge customer base, had successfully created significant entry barriers for any new player as such. Its Symbian OS being the backbone of the whole success story contributed to a great deal in its higher perceived ease of use. Customers used to enjoy the features, thanks to highly simplified GUI. It ruled the middle and low end market for long. But, Nokia did a blunder and lost its market share."(Source: https://www.marketing91.com/nokia-lost-market-share/) In the context of above case, define the term strategic management, discuss, what are the three major challenges to strategic management and specifically point out in relation to Nokia among the three challenges, out of these challenges which challenge hit hard to the Business Giant.
Strategic management is the process of setting and implementing long-term goals, plans, and actions to improve an organization's overall performance and competitiveness.
In Nokia's case, the three major challenges to strategic management were: adapting to technological advancements, maintaining competitive advantage, and responding to changing consumer preferences. Among these challenges, Nokia was hit hardest by failing to adapt to technological advancements, particularly in the smartphone market. Nokia was unable to keep pace with rapid technological advancements, specifically the rise of smartphones and their operating systems.
Competitors like Apple and Android-based devices quickly gained market share with innovative features and better user experiences. Nokia's inability to adapt and improve its Symbian OS played a significant role in its decline. The company also struggled to maintain a competitive advantage and respond to changing consumer preferences as they shifted towards new devices and platforms.
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Which of the following refers to the balance an account is always supposed to have?
Normal balance
Debits
Credits
Double-entry system
Answer:
Normal balance
Explanation:
Accounts are expected to have either debit or credit balance, depending on their classification. The accounting equation of Assets is equal to equity plus liabilities is the basis for account classification. Assets accounts are on one side, while accounts relating to equity and liabilities are on the other.
Accounts have normal balances if the balances at the end of a period are as expected. Assets accounts are expected to have debit balances, while equity and liabilities accounts should have credit balances.
as part of a team you are assigned to create appointment to report one of your asses to put people together and another team sent them to you you already have the title page summary and introduction in the place next you should put the A.table of contents B.appendices C.main body D.conclusion and recommendation
Answer: C.
Explanation:
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the second great awakening both took advantage of the market revolution and criticized its excesses. true false
True. The Second Great Awakening both took advantage of the Market Revolution and criticized its excesses.
This religious revival movement occurred during the early 19th century in the United States, coinciding with the rapid expansion of industrialization and the market economy. The movement capitalized on the Market Revolution by using the growing transportation and communication networks, such as newly built roads, canals, and print media, to spread religious messages and literature across the country.
This allowed revivalist preachers to reach wider audiences and inspire religious fervor in more communities. However, the Second Great Awakening also criticized the excesses of the Market Revolution. Many revivalists were concerned about the moral and social consequences of rapid economic change, including increasing materialism, inequality, and urbanization.
They argued that these developments were leading society away from traditional religious values. As a response, the Second Great Awakening emphasized the importance of personal salvation, social reform, and individual responsibility.
This movement led to the growth of various social reform movements, such as temperance, abolitionism, and women's rights, which aimed to counteract the negative consequences of the Market Revolution and create a more just and equitable society.
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to take advantage of the power of compounding, what should you do with the money an investment produces?
To take advantage of the power of compounding, reinvest the earnings generated by the investment. This will help in increasing the principal investment amount and, consequently, lead to increased profits.
Compounding is a phenomenon in which the interest generated by an investment is reinvested, resulting in an exponential increase in the value of the principal. It is the process of generating returns on reinvested earnings on an asset.
The act of taking the earnings from an investment and reinvesting them back into the same investment is referred to as reinvestment. In the case of compound interest, the income earned on investment is reinvested, generating additional income for future periods. For example, a $10,000 investment with an annual interest rate of 8% that is compounded annually would grow to $21,589.61 after ten years. If the interest is compounded quarterly, the investment would be worth $22,052.92 after ten years, which is a significant difference.
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air transport is not dense in
Answer:
La niebla
Explanation
Answer:
Stratosphere
Explanation:
An important decision to be made while designing a responsive organization is about the size of the span of.
Answer:An important decision to be made while designing a responsive organization is about the size of the span of _control_
Explanation:
While forming a responsive organization, the most important decision to be taken to decide the size of span of control.
What is control?Control is the state where the managerial officials of an entity creates influence on the workforce engaged.
Responsive organization is one of a type which is ready to adapt the trending changes in the current scenario. it is designed in such a way so that it reacts promptly towards the needed change in the organization rather than avoiding or ignoring it. The workforce and related parties are very responsive towards the changing scenarios of the environment very quickly.
Therefore, the span of control would be the most important decision to be taken while creating a responsive organization.
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Fill The Blank ?world foreign direct investment flows between 1990 and 2017 increased by 600 percent. if a company decides to set up a new operation in a foreign country, what the company has been involved with______
Fill The Blank ? World foreign direct investment flows between 1990 and 2017 increased by 600 percent. if a company decides to set up a new operation in a foreign country, what the company has been involved with Foreign Direct Investment.
Foreign Direct Investment (FDI) is an investment made by a company or entity in one country into business interests located in another country. It occurs when a company invests directly in facilities such as factories, real estate, or equipment in another country.
FDI is a major driver of economic growth and development, providing companies with access to new markets, and allowing them to benefit from lower production costs and increased efficiency.
Over the past three decades, FDI flows have increased dramatically, with global FDI flows increasing by 600 percent between 1990 and 2017. FDI can also bring with it new technologies and management practices, which can help to boost productivity and competitiveness.
FDI can also create jobs and spur economic growth in the host country, as companies establish new operations and hire local workers. Additionally, FDI can help to increase exports, as countries can benefit from new markets, access to resources, and improved access to capital.
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Why is the us economy so resilient
Suppose that the economy is in a long-run equilibrium at a price level of 100 and full-employment real gdp of $500 billion. a recession occurs resulting from a $100 billion decrease in aggregate demand. in order to restore the economy to full employment given a mpc of 0.80, government purchases would need to:
Assume that an economy is in long-term equilibrium with a price level of 100 and a real GDP of $520 billion at full employment. A $120 billion decline in aggregate demand triggers a recession. Given an MPC of 0.75, taxes would need to be reduced by $40 billion in order to bring the economy back to full employment.
When the economy is in long-term balance, what happens?Real GDP is at its potential level, the natural rate of unemployment (about 6%) is equal to the actual rate, and the actual price level is equal to the projected price level if an economy is said to be in long-run equilibrium.
The intersection of the AD curve, SAS curve, and Long-Run Aggregate Supply (LAS) curve demonstrates the long-term equilibrium. Since LAS reflects prospective output, a movement in the AD curve will solely affect the price level, either increasing or lowering depending on the direction it moves. Real GDP is at its potential output, the actual unemployment rate is equal to the natural rate of unemployment (about 6%), and the actual price level is equal to the projected price level if an economy is said to be in long-run equilibrium.
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What do you mean by a facilitator? What are the major jobs of a facilitator of non formal educational programme
Explanation:
It is important to note that much of the intermittent formal learning throughout people's....Part of being an effective facilitator of informal learning ( and non-formal education) involves.
Answer:
The definition of facilitate is "to make easy" or "ease a process." What a facilitator does is plan, guide and manage a group event to ensure that the group's objectives are met effectively, with clear thinking, good participation and full buy-in from everyone who is involved.
What are the goals of CRM and social media marketing
Answer:
A company moves their focus onto customers who are active on different social media platforms, to both offer customer service on social channels, and to optimize their own service by collecting customer data via these channels. The long-term goal of Social CRM is to increase customer satisfaction and revenue.
Explanation:
can i have a tax write off for a business that i made and spent money on but didn't make any profit?
Yes, you can have tax write-offs for a business that you spent money on but didn't make any profit. The expenses can be categorized as either capital expenses or operating expenses.
What are capital expenses and operating expenses?Capital expenses are for long-term assets like equipment, buildings, and machinery, and they can be depreciated over time.
Operating expenses are for the day-to-day operations of the business, such as rent, utilities, and wages.
These expenses are deductible in the year they were incurred. However, it's essential to keep accurate records of all the expenses incurred and be able to prove that they were necessary and directly related to the business.
It's recommended to consult with a tax professional to ensure you are following all the rules and regulations to maximize your tax benefits.
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You have been asked to assist a retail company. It sells clothing and would like to have a Point of Sale computer installed to help with inventory control and to allow customers to check out faster.What peripheral will you recommend to them to help them keep track of inventory and check customers out faster? *
a) Barcode reader
b) Signature pad
c) Smart card reader
d) KVM