Accurate, meaningful and timely information is as a result of good Internal control .The correct answer is b. internal control.
Accurate, meaningful and timely information is a result of good internal control, which refers to the policies and procedures put in place by a company to ensure that its operations are conducted in an orderly and efficient manner, and that the financial reporting is accurate and reliable.
Internal control helps to minimize the risk of errors, fraud, and non-compliance, and ensures that the company's resources are used effectively and efficiently. Record keeping and accountants holding the job are important components of internal control, but they are not the only ones.
Good internal control involves a comprehensive approach that includes all aspects of the business functioning.
To know more about internal control, refer to the link:
https://brainly.com/question/31366218#
#SPJ11
The price level increases due to demand-pull inflation. As a result
short-run aggregate supply will shift left.
short-run aggregate supply will shift right.
there will be a movement up the short-run aggregate supply curve.
there will be a movement down the short-run aggregate supply curve.
the aggregate supply curve will not be impacted.
Price rises are explained by demand-pull inflation, which occurs when an economy's total demand exceeds its supply. Prices increase as consumer demand grows in response to a limited supply.
Which of the following can result in inflation driven by consumer demand?Demand-pull inflation may be fueled by a growing economy, increased government spending, or international expansion.
High demand or an abnormally low supply might both lead to price hikes. When there is an imbalance between the expanding supply of goods and services and the rising demand for those goods and services, inflation that is driven by demand arises.
Does increasing demand lead to inflation?In an economy that is expanding, demand frequently outpaces supply, allowing businesses to raise prices. In turn, this causes the inflation rate to increase.
To know more about demand visit:
https://brainly.com/question/29703449
#SPJ1
Consider the following projects and assume an opportunity cost of capital of 12%.
Cash Flows
Project Co C1 C2
A -£20,000 £45,000 £15,000
B -£10,000 £15,000 £30,000
C -£10,000 £15,000 £25,000
a. Calculate the Net Present Value (NPV) of each project. Which is to be preferred and why?
b. If there is a capital constraint in place which limits spending to £10,000, which project or projects should be selected? Support your answer with calculations.
c. Explain how the following should be treated in a net present value calculation of a project:
1. sunk costs
2. depreciation
3. non-incremental costs (such as allocated head office costs)
a. NPV a. NPV of the projects A, B and C are £12,946.43, £22,267.86 and £18,258.93 respectively.
b. The project that should be selected is project B.
c. (1) Sunk costs should not be considered.
(2) Depreciation should be excluded.
(3) non-incremental costs should be included.
a. The Net Present Value (NPV) of each project can be calculated by discounting the cash flows of each period using the opportunity cost of capital of 12%. The NPV is obtained by subtracting the initial investment from the present value of the cash flows.
For Project A:
NPV = -£20,000 + £45,000/(1 + 0.12) + £15,000/(1 + 0.12)^2 = £12,946.43
For Project B:
NPV = -£10,000 + £15,000/(1 + 0.12) + £30,000/(1 + 0.12)^2 = £22,267.86
For Project C:
NPV = -£10,000 + £15,000/(1 + 0.12) + £25,000/(1 + 0.12)^2 = £18,258.93
The project with the highest NPV is Project B, with an NPV of £22,267.86. Therefore, Project B would be preferred based on the NPV criterion.
b. If there is a capital constraint of £10,000, the project or projects that should be selected are those that have an initial investment of £10,000 or less. In this case, Project B and Project C both meet the capital constraint. However, since Project B has a higher NPV than Project C, Project B would be the preferred choice.
c. In a net present value calculation of a project:
1. Sunk costs, which are costs that have already been incurred and cannot be recovered, should not be considered. Only future cash flows should be included in the NPV calculation.
2. Depreciation is a non-cash expense and does not directly affect cash flows. Therefore, it should be excluded from the cash flow calculations used in the NPV calculation.
3. Non-incremental costs, such as allocated head office costs, should be treated as relevant costs and included in the cash flow calculations. These costs represent additional expenses that arise directly as a result of the project and should be considered when determining the project's profitability.
To learn more about cash flow click here:
brainly.com/question/24179665
#SPJ11
why do we promote the use of PECS w some clients who communicate using words but still have speech, language, or social communication delays?
Accessibility, independence, inclusiveness and reinforcement are the reasons due to which the use of PECS is promoted for clients who communicate using words but still have speech, language or social communication delays.
Picture Exchange Communication System (PECS) is used to promote communication in individuals with speech, language, or social communication delays.
The reasons for using PECS have been explained below:
1. Accessibility: PECS provides a visual means of communication that can be accessed more easily by individuals with communication difficulties. This is particularly true for individuals with speech or language delays who may struggle to verbally express their wants and needs.
2. Independence: PECS allows individuals to initiate communication and make choices independently, increasing their sense of control and empowerment.
3. Inclusiveness: PECS can be used in a variety of settings, making it a versatile tool for promoting communication in social situations where verbal communication may be challenging.
4. Reinforcement: PECS can be used to reinforce communication and encourage individuals to continue developing their skills. The use of PECS can also promote positive reinforcement by allowing individuals to receive tangible rewards for their communication efforts.
To know more about communication disabilities, visit – https://brainly.com/question/14370095
#SPJ11
the key to successfully competing is understanding what customers want and then satisfy those wants. multiple choice designing products and services that finding suppliers who can hiring enough workers to finding the best way to training production workers to
The key to successfully competing is understanding what customers want and then finding the best way to satisfy those wants.
Time-based strategies are used to reduce lead times. H. The amount of time from when your order is received until the product is shipped. Companies that can produce faster often have lower costs. These companies can use lean manufacturing to speed up their processes. Operations management monitors an organization's entire operating system.
Operations management is essential for businesses to seamlessly manage their day-to-day activities. Operations management controls all processes and addresses issues such as system design operation Successfully competing maintenance and improvement. Operational strategies provide opportunities to improve products services and processes. To develop a strategy consider business Corporate strategy and market needs analysis.
Learn more about Successfully competing here:-https://brainly.com/question/28480306
#SPJ4
which of these is an example of restrictions that government places on the use of business property?
In the US, the Fifth Amendment of the Constitution grants the government the right to use its eminent domain authority to take property for a public purpose as long as the owner is fairly compensated.
The definition of domain
The internet-specific term "domain" can refer to both the internet's structure and the organization of a company's network resources. A domain is typically a field of study or a management discipline.
A domain name is, to put it simply, the name of a website. It is the text that appears after .When someone asks how to find you online, you normally respond with your domain name.
Know more about compensated Visit:
https://brainly.com/question/13755469
#SPJ4
A company sells equipment for $5,000. The original cost was $50,000. The
accumulated depreciation is $45,000. The sale results in
O A. a gain of $1,000
a
B. neither a gain nor a loss
O c. a loss of $1,000
D. a gain of $5,000
Assuming the company sells equipment for $5,000 and the original cost was $50,000. The sale results in: B. neither a gain nor a loss
Gain or lossFirst step is to calculate the book value using this formula
Book value=Original cost-Accumulated depreciation
Let plug in the formula
Book value=$50,000-$45,000
Book value= $5,000
Second step
Since the proceeds (equipment) is the amount of $5,000 in which the book value is as well $5,000 there is neither gain nor a loss.
Inconclusion the sale results in: B. neither a gain nor a loss.
Learn more about gain or loss here:https://brainly.com/question/25278228
T/F. strategic sourcing is almost the same as procurement?
The given statement, strategic sourcing is almost the same as procurement is false because while procurement is a part of strategic sourcing, it is not the same thing.
While strategic sourcing and procurement are related, they are not the same thing. Strategic sourcing is a comprehensive approach that focuses on optimizing the entire procurement process to achieve the best value for an organization. This involves analyzing suppliers, market conditions, and potential risks to make informed decisions regarding suppliers and purchasing activities.
On the other hand, procurement is the act of obtaining goods and services from external sources, typically through purchasing or contracting. It is a broader term that encompasses various activities like sourcing, ordering, and receiving goods and services. Strategic sourcing is an integral part of procurement, aiming to streamline and improve the procurement process.
Learn more about procurement, here
brainly.com/question/30019470
#SPJ11
soa ghdp (1 point) describe the impact the affordable care act has had on the dental insurance market.
Describe the impact the Affordable Care Act has had on the dental insurance market.
The Affordable Care Act, also known as Obamacare, has had a significant impact on the dental insurance market. Here are some key ways in which it has affected dental insurance:
1. Essential Health Benefits: Under the Affordable Care Act, dental coverage for children is considered an essential health benefit. This means that insurance plans offered on the health insurance marketplace must include pediatric dental coverage. This has increased access to dental care for children who were previously uninsured or underinsured.
2. Preventive Services: The Affordable Care Act has emphasized the importance of preventive care, including dental services. As a result, many dental insurance plans now cover preventive services such as regular cleanings, exams, and X-rays at no additional cost to the insured individual.
3. Coverage Expansion: The Affordable Care Act has expanded access to dental insurance for adults. While dental coverage for adults is not required under the law, many health insurance plans now offer dental benefits as an optional add-on. This has made dental coverage more accessible and affordable for many adults.
4. Increased Competition: With the introduction of the health insurance marketplace, the Affordable Care Act has increased competition among insurance providers. This has led to more options and choices for consumers when it comes to dental insurance plans, resulting in potentially lower costs and more affordable options.
the Affordable Care Act has had a positive impact on the dental insurance market by expanding coverage, increasing access to preventive care, and promoting competition among insurance providers.
Learn more https://brainly.com/question/29398411
#SPJ11
a) Briefly describe the syntax and arguments of the RATE function. Give an example of how the RATE function could be used in a business situation. b) Assume that you are investing \( \$ 3,000 \) in a
a) Syntax and arguments of the RATE functionRATE function returns the interest rate per period of an annuity and requires the following syntax:RATE(nper, pmt, pv, [fv], [type], [guess])The arguments for the RATE function are as follows: nper (required argument): The total number of payment periods in an annuity. pmt (required argument):
The payment made each period and can not change over the life of the annuity. It includes principal and interest but no other fees or taxes. pv (required argument): The present value or lump-sum amount that a series of future payments is worth now. fv (optional argument):
The future value or cash balance you want to attain after the last payment is made. If omitted, it's assumed to be zero. type (optional argument): It specifies when payments are due: 0 if the payment is due at the end of the period or 1 if the payment is due at the beginning of the period.
Guess (optional argument): It is your estimate of the interest rate as a decimal fraction.Example of how the RATE function could be used in a business situationAn entrepreneur wants to borrow a loan of $50,000 from a bank, and the bank offers him an interest rate of 4.5% per annum.
The entrepreneur has to repay the loan in the next five years with monthly payments. Calculate the interest rate using the RATE function. The following steps can be used to calculate the interest rate. Open the Excel worksheet and select an empty cell.Enter the formula =RATE(5*12,-50000,0) and press Enter.It returns the interest rate of 0.871%. Thus, the entrepreneur has to pay a monthly installment of $934.90 for five years to repay the loan.
b) Calculation of FV of an annuity using FV functionThe FV function returns the future value of an investment based on a series of regular, equal payments and a fixed interest rate and requires the following syntax:
FV(rate, nper, pmt, [pv], [type])The arguments for the FV function are as follows:
rate (required argument):
The interest rate per period. nper (required argument):
The total number of payment periods in an annuity. pmt (required argument):
The payment made each period and can not change over the life of the annuity.
It includes principal and interest but no other fees or taxes. pv (optional argument): The present value or lump-sum amount that a series of future payments is worth now. If omitted, it's assumed to be zero. type (optional argument): It specifies when payments are due: 0 if the payment is due at the end of the period or 1 if the payment is due at the beginning of the period.
Assume that you are investing $3,000 in a five-year investment with a 4.5% annual interest rate. Calculate the future value of your investment after five years using the FV function.
The following steps can be used to calculate the future value of the investment.
Open the Excel worksheet and select an empty cell.
Enter the formula =FV(4.5%/12,5*12,-3000) and press Enter.
It returns the future value of the investment as $3,527.59.
Thus, after five years, your investment will be worth $3,527.59.
Learn more about the business here
https://brainly.com/question/24553900
#SPJ11
PLEASE HELP (this is just to add the 20 characters so i can ask this)
The letter A is represented where the amount of $20 should be written.
The letter D is represented where the amount of $36 should be written.
The ending balance E is $154.85.
What are debit and credit?Debit entries for accounts show money moving into them, whereas credit entries indicate money moving out of them. Money is transferred from credited to debited accounts with each transaction. Credits are contrary to debits.
In a typical journal entry, all debits are reported on the top lines, followed by all credits on the line below the debits. The ability to obtain money, as well as goods or services, on credit with the assumption that payment will be made later is referred to as credit.
To learn more about debit, visit:
brainly.com/question/10811489
#SPJ1
hi i needa gf im 16 im a kind loving caring person anyone 13 through 17
Answer:
r u a dude, cuz if u are then no, thx.
QUESTION 3 / 10 What is the first step you should take when you want to open a savings account? A. Review the different savings account options that your bank offers. B. Make your initial deposit. C. Go to the bank and fill out an application. D. Present your photo ID to the bank representative.
Answer:
A. Review the different savings account options that your bank offers.
any two importance of office resources
Two importance of office resources are greater output and promote productivity .
What are office resources ?All of the resources and amenities found in an office, including people, tools and supplies, furniture and equipment, cash, modes of transportation, and communication, are referred to as office resources. These resources are used to help the organization achieve its goals.
Two improtance of office resources are:Greater output is made possible because every business strives to produce as much as possible while using the fewest resources possible. Better resource utilization management can be used to accomplish such a feat.It helps to promote productivity: Office supplies aid in boosting office employees' productivity. Equipment such as furniture, machinery, and other items make work more comfortable and convenient, which improves worker productivity.Learn more about office resources here https://brainly.com/question/20436648
#SPJ10
Jack has become a franchise of sonic and his local community this as enable him to have access to blank in order to sell the product
Answer:
the knowledge, processes, and trademarks of Sonic
Explanation:
According to the __________ plan of Castleton Industries, if expansion to new markets in Australia does not materialize, the company will strive for expansion in Asia
Contingency planning is when a company strive for expansion in Asia after failure of expansion in Australia.
What is Contingency planning?Contingency planning serves as a course of action designed to help an organization to adjust event that may or may not happen.
Contingency plans can be regarded as 'Plan B' or alternative action if things don't go as planned.
Learn more about Contingency planning at:
https://brainly.com/question/939242
The main benefit of a global strategy is that it allows a company to ________. A) closely monitor buyer preferences in each local market B) save costs due to product and marketing standardization C) customize its products and services D) respond effectively to emerging buyer preferences
The main benefit of a global strategy is that it allows a company to respond effectively to emerging buyer preferences.
A global strategy enables a company to adapt and adjust its products and services to meet the evolving needs and preferences of customers in different markets. By closely monitoring and understanding emerging buyer preferences, the company can make timely modifications to its offerings, ensuring they remain relevant and appealing. This flexibility and responsiveness to changing market dynamics give the company a competitive edge and enhance its ability to satisfy customer demands across various regions.
While cost savings through standardization (option B) and customization (option C) are potential benefits of certain strategies, the primary advantage of a global strategy lies in the company's ability to effectively respond to emerging buyer preferences (option D).
Learn more about the global strategy here:
https://brainly.com/question/140541
#SPJ11
What is less liquid, Cash or Stocks and why?
There are two organizational problems that can cause new-product disasters. One of them is?.
Using the concept of disasters, we got avoiding the NIH problem, is one of the organizational problem which cause new-product disasters.
A disaster is the serious problem occurring over a short or long period of time that will cause widespread human, material, economic or environmental loss which actually exceeds the ability of the affected community or society to cope using its own resources. Disasters are majorly routinely divided into either of "natural disasters" caused by natural hazards or of "human-instigated disasters" caused from anthropogenic hazards.
Examples of natural hazards majorly include: avalanche, coastal flooding, cold wave, drought, earthquake, heat wave, hurricane (tropical cyclone), ice storm, landslide, lightning, strong wind, tornado, tsunami, volcanic activity, wildfire, and winter weather. Examples of anthropogenic hazards include: criminality, terrorism, war, industrial hazard, engineering hazard, power outage, hazards caused by transportation, and environmental hazard.
Hence, the organizational problem which can cause new-product disasters is avoiding the NIH problem.
To know more about disasters, visit here:
https://brainly.com/question/19427105
#SPJ4
Trade is based on the agreement of the trading partners. Why is this important? What does the agreement of each trading partner reflect about how the transaction affects their personal well-being?
Which of the following choices incur speculative risk?
a.stocks
b.fire insurance on a house
c.options
d.life insurance
e.high interest savings account
Answer: correct option is A.
Explanation: A speculative risk can be defined as risk that is taken willingly either it results in profit or loss and the stocks involve in probability of gain and loss making it a speculative risk.
Stocks incur speculative risk. Therefore option A is correct.
What are Stocks?A stock usually referred to as equity, is a type of investment that denotes ownership in a portion of the issuing company. Shares, also known as units of stock, entitle their owners to a share of the company's assets and income in proportion to the number of shares they possess.
Common stock and preferred stock are the two primary categories of stocks.
Owners of common stock are entitled to dividends and the right to vote at shareholder meetings.
Common stockholders often do not have voting rights, while preferred stockholders typically get dividend payments ahead of time and are given preference over common investors in the event of a firm bankruptcy and asset liquidation.
To learn more about Stocks follow the link.
https://brainly.com/question/14649952
#SPJ2
Why is choosing an appropriate mortgage potentially even more important than choosing an appropriate auto loan?
The statement was the explain are appropriate mortgage potentially is the Annual Percentage Rate (APR) are the important to the appropriate auto loan is the monthly, and the short terms fees.
What is mortgage?A mortgage is an arrangement that grants the right to seize property between a borrower and a lender. Interest is added to any borrowed money that is not repaid by the borrower. There are various types of mortgage are adjustable-rate mortgages, government-insured mortgages, conventional mortgages, and jumbo mortgages.
Annual Percentage Rates (APR) are potentially used in a suitable mortgage is the interest rate and the loan period it was not the monetary compensation. Because of the low rate, the additional fees will have little effect on the overall cost of the car. A suitable vehicle loan is determined by the loan balance, fees and charges, and the concluding remarks.
As a result, the appropriate mortgage potentially is the Annual Percentage Rate (APR) are the long term to the appropriate auto loan is the monthly, and the short terms fees.
Learn more about on mortgage, here:
https://brainly.com/question/15074748
#SPJ6
Which of the following is a disadvantage to Linux?
Olearning curve
O customizability
O cost
Ofreedom
Answer:
Learning curve
Explanation:
If the next chair of the Federal Reserve Board has a reputation for advocating an even slower rate of money growth than the current chair, what will happen to interest rates? A. Slower money growth will lead to a liquidity effect, which will lower interest rates. Moreover, the lower income, price level, and inflation will reinforce the decrease in interest rates. B. Slower money growth will lead to a liquidity effect, which will raise interest rates; however, the lower income, price level, and inflation will tend to lower interest rates. C. Slower money growth will lead to a liquidity effect, which will lower interest rates; however, the lower income, price level, and inflation will tend to raise interest rates. D. Slower money growth will lead to a liquidity effect, which will raise interest rates. Moreover, the lower income, price level, and inflation will reinforce the increase in interest rates.
Answer: B. Slower money growth will lead to a liquidity effect, which will raise interest rates; however, the lower income, price level, and inflation will tend to lower interest rates.
Explanation:
Slower money growth would mean there is less money in the economy which means that there is less liquidity. This will increase interest rates because there would be less money available to loan out to people and so the ones that will be available have to be done at high rates.
As a result of the lower money supply though, people would have lower incomes and demand less goods which would reduce the price level. These will have the effect of reducing the rates to enable people get loans.
THIS IS THE SECOND PART
SPICEGIRL AND OTHER PERSON!!
Answer:
When the firm produces 1 unit, its cost per unit is 33.33. There would be about 8.33 decrease in the cost.
Explanation:
Now lets take this apart. The y value is exclaimed as the price per unit, which is not listed. The A value given in the graph is (50, 1.5), which the y and x axis do not have names to what they represent. However, from the information provided we can say that y = the price per units (50 for 1.5).
Going from that, what would 1 be? Well, if it costs 50 per 1.5 units then it would cost 33.33 per unit.
Now if they increased their product production and (50 ,1.5) was replaced by (50, 2), then the cost per unit would be 25 per unit. There would be about 8.33 decrease in the cost.
It's been a bit since i've done slopes and price per unit stuff, sorry if its a bit rusty. Good luck on your test xx
While reviewing, you noticed an error in Alex's pricing analysis that may result in discrepancies between stated costs to customer and actual costs that customers will be charged. How would you address the error in the pricing analysis
The error in the pricing analysis can be conducted by escalating the team lead, meeting with Alex one-on-one, and work through it together, and emailing a document that contains steps for conducting the pricing analysis.
What do you mean by price analysis?Price analysis refers to the study of prices of products or services on the market to improve the profitability of e-commerce itself.
The error in the pricing analysis can be conducted by meeting with Alex one-on-one and working together.
Therefore, the error can be addressed in this manner.
Learn more about Price analysis here:
https://brainly.com/question/17206059
#SPJ1
9. If you found that you were in financial trouble because of credit and had great difficulty paying your monthly bills, what would you do?
Answer:
You would have to cut down on some luxuries, like lots of foods, amusement parks, shopping trips, etc. If you have have extra hours, work more hours, quite possibly take another job.
Explanation:
ong answer: right here right now, inc. sells streaming media subscriptionsthe company has grown alot recently and has noticed that it has been getting a larger number of complaints about customer service right here right now arranged for its customer service employees to recieve training on best practices and telephone customer service they have hired you to thoroughly evaluate the training you to arrange a meeting to go over your plans with customer service manager below create a brief meeting agenda including objectives discussion topics each with a estimated amount of time alotted to it and propose next steps your discussion topics should include brief descripters of the areas you plan to evaluate and soon those evaluations should take place include all four levels of evaluation discussed
Answer:
well i first would welcome everyone and thank you for coming
1. Training what is going well and what needs to change
2.Meeting ask anyone what they think that might help
3.Due times if any work that you assigned tell them if there is a due date
4.Plans to evaluate when the next meeting should be held
Explanation:
What is the marginal revenue and marginal cost for this diagram?
What type of market is this? Explain your answer
Marginal revenue :
2060120200300420560Marginal cost :
108210192640It is a Monopolistic market structure because marginal revenue is greater than the marginal cost.
Marginal Revenue is the increase in the revenue by selling one extra product in the market. It is calculated by the Change in revenue divided by the change in output.
Marginal cost is the change in cost by producing one extra unit of output. It is calculated by a change in cost divided by the change in units.
Monopolistic market structure is where there are multiple companies producing similar products in the market.Example for monopolistic structure can be a grocery store.
For more about Marginal revenue refer to the link:https://brainly.com/question/12231343
`What type of market structure exists for the fast food industry?
Answer:
http://sellsidehandbook.com/2018/10/08/understanding-market-structure-perfect-competition-monopoly-and-monopolistic-competition/
Explanation:
are some of the factors that influence employee benefits strategies cyclical
Answer:
hoobaa hooba hooba
Explanation:
hooo