The challenges he faces in becoming the GEP for Global Financial include learning a new industry, working with a diverse team, meeting different customer expectations, frequent travel, and managing work-life balance.
The Global Engagement Partner (GEP) is a partner who is accountable for the services provided by a network firm in serving the global account or territory of the clients. GEP is responsible for the overall global strategy, risk management, planning, and execution of services for the customer. The GEP also acts as the leader of the team that serves the customer and the main contact for the global account or the territory team.How effective has Miles Everson been in this role in managing the firm’s relationship with BestBank?Miles Everson has been very effective in his role in managing the relationship with BestBank. Everson went out of his way to meet BestBank's executives in person, and he was successful in creating a long-term relationship with BestBank. Miles made sure that his team at PricewaterhouseCoopers (PwC) provided exceptional service to BestBank. As a result, BestBank awarded PwC a long-term audit contract.What are the challenges Everson faces in becoming the GEP for Global Financial?Everson faces several challenges in becoming the GEP for Global Financial. The first challenge is that he will be working in a completely different industry and must learn about the new industry. The second challenge is that the role requires him to work with a more diverse team and understand different cultures. Third, the Global Financial customer will have different expectations than BestBank. Fourth, the role involves frequent travel to different countries, which could be tiring and demanding. Lastly, Everson will have to manage his time effectively to balance his work and family life.What recommendations do you have for him?I recommend the following to Miles Everson to be successful in his new role: First, he should quickly understand the industry and the needs of the customer. Second, he should work closely with the Global Financial team to understand different cultures. Third, he should define clear expectations with Global Financial to ensure a successful working relationship. Fourth, he should manage his time effectively to balance work and family life. Finally, he should be open to feedback and advice from his team and senior partners. By following these recommendations, Everson should be able to manage the challenges of his new role and become a successful Global Engagement Partner.
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Violet Inc. has been undertaking a lot of responsibilities as a company in order to be the best in its industry. Over time, however, these responsibilities become tough to handle and the company finds it difficult to efficiently manage the time and effort to perform its activities. In contrast, other firms in the industry that outsource some of their activities to smaller companies find it easier to generate more profit than Violet Inc. The situation faced by Violet Inc. in this example illustrates one of the important disadvantages of vertical integration that is _________.
A. loss of focus
B. loss of flexibility
C. loss of frequency
D. loss of facility
Would Bakugou consider dating Todoroki i mean like its a hella cute ship sooo lemmme know what yall think
Answer:
bakugou and deku is better than.... that
Explanation:
its called the power of smartness
The collection of a $1100 account beyond the 2 percent discount period will result in a debit to Cash for $1078. debit to Cash for $1100 debit to Accounts Receivable for $1100. debit to Sales Discounts for $22.
The collection of an $1100 account beyond the 2 percent discount period will result in an Option D. debit to Sales Discounts for $22.
This means that the company is reducing the amount of the discount that would have been given if the customer had paid on time. The $22 debit to Sales Discounts is the amount of the discount that the customer forfeited by not paying within the discount period.
To collect the outstanding balance of $1100, the company will need to make a debit entry to Accounts Receivable, which is an asset account that represents the amount of money that the company is owed by its customers. However, since the customer did not take advantage of the discount, the company will not credit Sales Discounts.
The company will also need to make a debit entry to Cash for $1078, which is the amount of money that the company will actually receive from the customer. This is because the company has already given up the $22 discount, so it will only receive $1078 instead of the full $1100.
In conclusion, when a customer does not take advantage of a discount and pays late, the company needs to make a debit entry to Sales Discounts for the amount of the forfeited discount and a debit entry to Accounts Receivable for the outstanding balance. The company will then receive a debit entry to Cash for the amount that the customer actually pays. Therefore, the correct option is D.
The question was incomplete, Find the full content below:
The collection of a $1100 account beyond the 2 percent discount period will result in a
A. debit to Cash for $1078.
B. debit to Cash for $1100
C. debit to Accounts Receivable for $1100.
D. debit to Sales Discounts for $22.
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What is the best way to protect the environment when we shop? Do you agree with Adler’s view that what we buy is more important than what we carry it in? What answer would you propose to this environmental problem?
Keeping the shop surroundings clean and ensuring protection requires great effort both from the seller.
Sellers need to do the following to ensure good sanitation:
Ensure a good drainage system to prevent pillage of debris.Having a waste collector and make it empty everyday.Numerous cleaning pattern in a day.Fumigation are very important to keep the environment germs free.However, i agree with Adler’s because the value of a product or the value its offered is more important that what its look physically.
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Checking a credit report is a good way to
know whether credit is improving.
reduce the amount of money owed.
determine which debts to pay off.
decrease interest payments.
Checking a credit report is a good way to know whether credit is improving.
What is a credit report?A credit report refers to a statement that has information about your credit activity and current credit situation such as loan paying history and the other status of your credit accounts.
A credit report contains personal information, credit account history, credit inquiries and public records. This information is reported by your lenders and creditors to the credit bureaus. Your credit report can be used in a variety of situations, from getting a credit card to buying a house or even applying for a job.
Why is checking a credit report important?Checking your credit history is a good way to know whether credit is improving. It also helps you in understanding your current credit position.
Thus, regularly checking your credit reports can help you be more aware of what lenders may see and it can also help you detect any inaccurate or incomplete information.
Hence, option A is correct.
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write how one can become a skillful manager
Answer:
One can become a skillful manager with general knowledge and people skills
Explanation:
Every manager has indaviduals working under him or her, so they need to be able to communicate with their subordinates. Thats is where the people skills comes into play. Additionally, every manager needs to know alot about what they are managing, depending on if they are managing a product, or a shift at a restaurant, they need to know how things operate. This usually comes with expeirence. The third skill that every manager needs is problem solving. When a problem arises, it is a managers job to fix problems or delagte tasks to people to fix problems.
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Which type of account (real, personal, or nominal) includes the following expenses of a business?
Expenses like rent, transportation, and advertising are part of a business’ ______
account, because they are fictitious.
Answer: Nominal account
Explanation:
Expenses like rent, transportation, and advertising are part of a business (Nominal) account, because they are fictitious.
Personal accounts are the accounts that have to do with individuals, or businesses. A real account is an account that isn't closed when the accounting period ends. The bqlnaces in the real account are carried to the following period. An example of this is cash.
Nominal account is an account that has a zero beginning balance at the start of the year. This is because when an accounting year ends, the nominal account will be closed.
Sam Malloy owns a small business and has built a substantial estate both with his business success and his early career as a pro athlete. He wants to set up his estate in a way that he will control the assets until he passes away or becomes incapacitated. Once that time comes, he wants control to transfer easily and he wants to avoid probate. Sam should
Answer: Establish a revocable living trust.
Explanation:
A revocable living trust is a written document that details how an individual assets would be handled after they die. They are used to avoid probate and protect privacy of the trust owner, beneficiary of trust and reduce estate taxes. Assets placed in the beneficiary name are transfered from the owners account or details to theirs.
Hi-V produces three types of canned juice drinks, A, B, and C, using fresh strawberries, grapes, and apples. The daily supply is limited to 200 tons of strawberries, 90 tons of grapes, and 150 tons of apples. The cost per ton of strawberries, grapes, and apples is $210,$110, and $100, respectively. Each ton makes 1500lb of strawberry juice, 1200lb of grape juice, and 1000lb of apple juice. Drink A is a 1:1 mix of strawberry and apple juice. Drink B is 1:1:2 mix of strawberry, grape, and apple juice. Drink C is a 2:3 mix of grape and apple juice. All drinks are canned in 16 -oz ( 1lb) cans. The price per can is $1.15,$1.25, and $1.20 for drinks A, B, and C. Develop an LP model to determine the optimal production mix of the three drinks. (only the formulation is required)
The LP model aims to determine the optimal production mix of drinks A, B, and C using limited supplies of strawberries, grapes, and apples. The objective is to maximize profit while considering the cost of ingredients and the can price per drink.
Let:
x1 = number of cans of Drink A produced
x2 = number of cans of Drink B produced
x3 = number of cans of Drink C produced
The objective is to maximize the profit, which is given by the equation:
Maximize: 1.15x1 + 1.25x2 + 1.20x3
Subject to the following constraints:
Strawberry constraint: 1500lb * x1 + 1500lb * x2 <= 200 tons (converted to lb)
Grape constraint: 1200lb * x2 + 1200lb * x3 <= 90 tons (converted to lb)
Apple constraint: 1000lb * x1 + 1000lb * x2 + 1000lb * x3 <= 150 tons (converted to lb)
Non-negativity constraints:
x1 >= 0, x2 >= 0, x3 >= 0
The LP model aims to maximize the profit by determining the optimal values of x1, x2, and x3 while considering the constraints imposed by the availability of strawberries, grapes, and apples.
The objective function represents the total profit obtained from the production and sale of the drinks, and the constraints ensure that the ingredient usage does not exceed the available supply.
Non-negativity constraints ensure that the production quantities cannot be negative.
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Which career field involves the design, manufacture, and use of various types of machinery, technology, and buildings?
A. engineering
B. math
C. science
D. technology
The answer I chose is A. Please correct me if I'm wrong.
Answer:
yes I believe the correct answer would be A
Which of the following should show a profit in order for a financial institution to give a the company a loan
a) income statement
b) rent expense
c) accelerated depreciation
d) accounts receivable
Answer:
A I think not really sure hope this helps you
at a minimum, a business plan should include all of the following elements except group of answer choices a significant amount of hard evidence. a primary focus on the product(s) the entrepreneur is selling. candor about the risks, gaps, and assumptions that might be proved wrong. a logical statement of a problem and its solution.
At a minimum, a business plan should include:
a primary focus on the product(s) the entrepreneur is selling.candor about the risks, gaps, and assumptions that might be proved wrong. a logical statement of a problem and its solution.What should a business plan include ?A good business plan should clearly articulate the problem or need that the entrepreneur is addressing and explain how their product or service will solve it.
Candor about the risks, gaps, and assumptions that might be proved wrong: A business plan should identify and address the risks and challenges that the entrepreneur may face in starting and growing their business.
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Scholarships are only awarded to students with limited financial resources.
A. True
B. False
In two to four sentences, describe why compound interest earns more money than simple interest.
The compound interest earns more money than simple interest because earn based on the principal plus the interest.
When you borrow money, you must pay the lender interest. A bank will also pay you interest if you deposit money in a savings account or certificate of deposit. Typically, the interest rate is expressed as a percentage, like 4%.
Compound interest:
\(A = P(1+\frac{r}{n} )^t\)
Simple interest:
I = P x r x t
Simple interest simply increases dependent on the principle, which is the cash you deposit or invest. Compound interest is interest that is calculated using both the principal and any prior interest.
Understanding these concepts may help you better comprehend how much money you make or spend when you repay a loan over time, as well as how much you earn when you keep savings or assets in place over time.
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1.1 Which statement best describes financial accounting …
A. Reports are prepared for managers and users inside the organisation
B. Provides a scorecard by which the past performance of a business is judged in
the form of financial statements which are used by stakeholders outside the
organisation
C. Conduct an official financial inspection of a company or its accounts
D. A and B only
E None of the above
The ratio of the price of two goods on a graphed budget line is measured by its:.
There are lines in budget. The ratio of the price of two goods on a graphed budget line is measured by the slope of the budget.
What is a budget lineThis is regarded as a two-dimensional graph that shows the various choices one have between two goods given the money one have to spend. It is also known as budget constraint.
The ratio of the price of good X that is found on the horizontal axis to the price of good Y on the vertical axis is known as the slope of the budget.
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During a presentation, a prospect says, "I like the product, but I won't buy
unless it comes with free delivery and installation." What would be the most
effective technique for answering this objection?
A. Try to meet the condition or find a way to make the deal agreeable
without it
B. Treat this objection as an unexpected and unnatural part of the
selling process
C. Try to improve the selling process
D. Provide the information that the prospect seems to be missing
Answer:
I believe the best and most correct answer is A.)
Explanation:
The most effective technique for answering this objection is Try to meet the condition or find a way to make the deal agreeable without it Option(A) is correct.
What is a Presentation?A Presentation passes data from a speaker on to a crowd of people. Presentations are regularly showings, presentation, talk, or discourse intended to illuminate, convince, rouse, inspire, assemble altruism.
Presentations normally require arrangement, association, occasion arranging, composing, utilization of visual guides, managing pressure, and responding to questions. "The critical components of a presentation comprises of moderator, crowd, message, response and technique to convey discourse for hierarchical outcome in a compelling way.
Presentations are broadly utilized in tertiary work settings, for example, bookkeepers giving a point by point report of an organization's financials or a business person testing out their endeavor thought to financial backers.
Therefore Option(A) is correct.
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5 advantages of under development
Nobody wants to live in a developing country. It is therefore subpar.
Being the country with the most recently constructed industries has a benefit, too, and that benefit frequently comes from being an underdeveloped country. For instance, the majority of the steel plants in the United States were constructed before the start of World War II, while South Korea's steel sector was developed decades later. The Korean steel plants were more cost-effective and able to undercut the price of American steel because they made use of new technologies. U.S. steel plants eventually had to shut down due to their lack of competitiveness.
Similar to this, China had a cost advantage due to its cheap wages because it was undeveloped when it opened up to the global market under Deng. In recent years, as its economy has grown, its wages have increased.
A student in public administration wants to determine the mean amount members of city councils earn. The error in estimating the mean is to be less than $100 with a 99% level of confidence. The student found a report by the department of labor that estimated the standard deviation to be $1000. What is the required sample size?
Answer:
663.58
Explanation:
From the problem:
E, the maximum allowable error, is $100
The value of z for a 99 percent confidence level is 2.576
Estimate of standard deviation is $1,000.
n = [(z x s)/ E] ^ 2
n = [(2.576 x 1000) / 100}^2
= 25.76^2
=663.58
Unions, which have market power over the supply of labor, can threaten strikes as part of negotiating employment contracts on behalf of union members. What is the effect of unions having this power
Answer:
The effect of unions will be "Union wages are generally higher than nonunion wages".
Explanation:
A group of employees decided to join together through a particular variety of organizations to strengthen their employment conditions and also some help to promote the organization's mutual interests.Union wages or salaries shall be determined by the service agreement. This always appears to mean except for non-union working environments, union employees again for the entire length of everyone's agreement should not have to think too hard concerning compensation or welfare cuts.So that the above is the appropriate answer.
What would Chester Corporation's market capitalization be if the current stock price fell 10%? Select: 1 $69.8 million $90.3 million $77.6 million $81.3 million
If the current stock price fell 10%, Chester Corporation's new market capitalization would be $76.5 million. The closest answer option from the given choices is $77.6 million, which is not the exact answer but it is the closest option to the calculated value. To determine Chester Corporation's market capitalization if the current stock price fell 10%, we need to first calculate the current market capitalization.
Market capitalization, also known as market cap, is the total value of a company's outstanding shares of stock. It is calculated by multiplying the current stock price by the number of outstanding shares.
Let's assume that Chester Corporation has 10 million outstanding shares and the current stock price is $8.50. Therefore, the current market capitalization can be calculated as:
Market cap = current stock price x outstanding shares
Market cap = $8.50 x 10,000,000
Market cap = $85 million
Now, if the current stock price falls 10%, we need to calculate the new stock price. A 10% decrease in the stock price would mean a new stock price of:
New stock price = current stock price - (current stock price x 10%)
New stock price = $8.50 - ($8.50 x 0.1)
New stock price = $8.50 - $0.85
New stock price = $7.65
To calculate the new market capitalization, we can use the new stock price and the same number of outstanding shares:
Market cap = new stock price x outstanding shares
Market cap = $7.65 x 10,000,000
Market cap = $76.5 million
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what are the unique financial reporting implications of the partnership entity in comparison with the proprietorship and corporate
structures? how does the closing process differ for the partnership?
The financial reporting of the Partnership firm differs from the proprietorship and corporate entities as the closing process of partnership involves creation of the realization account, whereas the another entity not required this.
What is financial reporting?Standard techniques for giving stakeholders an accurate portrayal of a company's finances, including revenues, profits, expenses, cash flow, capital, and official records that provide in-depth insights into financial information, are referred to as financial reporting.
The payment of taxes, fines, and interests has new financial reporting consequences for partnership firms that are distinct from any other sort of business company.
Taxes paid to partners or owners, on the other hand, are accounted for in a transaction with the owners.
Furthermore, the financial reporting implications for a partnership firm differ from those for a sole proprietorship or a corporation, as the partnership business is distinct from the two stated businesses.
The closing process of partnership differs from the another businesses because the closing process of partnership involves the preparation of realization account.
Therefore, the partnership form of business enterprise is differed from the other business.
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A stock is bought for $22.00 and sold for $26.00 one year later, immediately after it has paid a dividend of $1.50. What is the capital gain rate for this transaction? A) 4.00% B) 15.00% C) 0.27% D) 18.18%
The capital gain rate for this transaction, based on the mentioned informations is calculated to be 25.00%. So, none none of the given answer choices matches the correct answer.
The capital gain rate for this transaction can be calculated as follows:
Capital Gain Rate = [(Sale Price + Dividends) - Purchase Price] / Purchase Price
Plugging in the given values, we get:
Capital Gain Rate = [(26.00 + 1.50) - 22.00] / 22.00
Capital Gain Rate = 5.50 / 22.00
Capital Gain Rate = 0.25 or 25.00%
Therefore, the capital gain rate for this transaction is 25.00%, which is not equal to any of the mentioned options.
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D. The capital gain rate for this transaction is 18.18%.
The percentage rise in a stock's price between when it was bought and when it was sold, including any dividends, is the capital gain rate. In this instance, a $1.50 dividend was paid between the stock's purchase price of $22.00 and its sale price of $26.00 after one year.
The difference between the sale price and the purchase price, plus the dividend, is the stock's overall gain:
$26.00 - $22.00 + $1.50 = $5.50
The net gain is then divided by the initial purchase price to determine the capital gain rate:
$5.50 / $22.00 = 0.25 or 25%
To make the yearly rate into a rate for a single period, we must divide it by the number of periods in a year because the query requests the capital gain rate for the transaction that took place throughout a year:
25% / 1 year = 0.25
Therefore, this transaction's capital gain rate is 0.25, or 18.18%.
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you would like to speculate on a rise in the price of a certain stock. the current stock price is $29, and a three-month call with a strike of $30 costs $2.90. you have $5,800 to invest. identify two alternative strategies, one involving an investment in the stock and the other involving investment in the option. what are the potential gains and losses from each?
The current stock price is $29, and a three-month call with a strike of $30 costs $2.90. You have $5,800 to invest. Identify two alternative strategies, one involving an investment in your loss and gain would be $2,200. and the other involving investment your total gains are $14,200, your losses are $2,900 total.
The two alternative strategies you could consider involve buying the stock itself or buying a call option. If you buy the stock, you would need to purchase $5,800 / $29 = 200 shares of the stock. If the stock price increases to $40, your gains would be 200 * ($40 - $29) = $2,200. However, if the stock price decreases, your losses would also be $2,200.
Alternatively, you could buy a three-month call option with a strike price of $30 for $2.90. If the stock price increases to $40, your gains would be ($40 - $30) - $2.90 = $7.10 per option, and you could multiply this by the number of options purchased (5800 / 2.90 = 2000 options). Thus, your total gains would be 2000 * $7.10 = $14,200. On the other hand, if the stock price decreases, your losses would be the cost of the option, or $2.90 per option, or $2,900 total.
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your client is asking how much they owe their vendors in quick books online
Answer:
Accounts Payable Aging Summary
Explanation:
what are some of the rights that must be protected for a free enterprise system to work?
Answer:
What are some of the rights that must be protected for a free enterprise system to work? Right to private property, right to exchange property, open opportunity, legal equality, and free contract.
Explanation:
Hope it helps, correct me if I am wrong!
I'm sure about my answer!
please help
Why is engaging communication a two-way process?
Answer:
Two-way communication allows both participants to exchange ideas, they can develop a sense of mutual understanding. The result is a better relationship between them. Increase effectiveness
Effective communication depends on the proper understanding of the message by the sender and receiver.
Explanation:
Hope you can help20 points
Joshua is the junior accountant of a construction company. He pays rent for its office building for the month of January. He credits the bank account and debits the rent account. What will be the change in the balance sheet on account of this transaction? A. total current liabilities increase
B. total current assets decrease
C. total fixed assets increase
D. long term liabilities decrease
E. total current liabilities decrease
Answer:
Hi!
The correct answer is E. total current liabilities decrease.
When Joshua credits the bank account and debits the rent account, it means that the company paid rent for its office building. Rent is considered an expense and is recorded as a debit to the rent account. At the same time, the bank account is credited, which means that money has been paid out of the account. This transaction will result in a decrease in the company's total current liabilities because rent is considered a current liability. Current liabilities are debts that are due within a year or less. By paying the rent for January, the company has reduced its current liabilities, resulting in a decrease in the total amount of money owed by the company in the short term.
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how does the total task presentation procedure differ from backward and forward chaining? how are they similar?
The individual learns a task's logical progression from beginning to end through forward chaining.When backward chaining is used, the person immediately realizes the advantages of doing the job.The individual can learn the entire routine in total task training without being interrupted.
What distinguishes task analysis from chaining?
When writing a task analysis, we try to break down the skill into manageable steps by breaking it down into very specific steps.Chaining and a task analysis frequently go hand in hand.A set of teaching methods for teaching task analysis is known as chaining.
What are the 3 kinds of binding techniques?
Forward chaining, backward chaining, and total task chaining (not to be confused with a task analysis) are the three types of chaining that can be used.
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Which social networking service did people from around the world use to participate in the Social Good Summit?
Answer:
Mashable
Explanation:
Mashable is a global, multi-platform media and entertainment company. It is a go-to source for tech, digital culture and entertainment content for its dedicated and influential audience around the globe.