a multiple predetermined overhead rate system is more accurate than a plantwide overhead rate system because it ____

Answers

Answer 1

Because it reflects differences in how overhead costs are incurred within departments, a multiple predetermined overhead rate system is more accurate than a plant-wide overhead rate system.

What is overhead rate?

The overhead rate is the ratio of direct costs, sales, or other inputs, like machine hours, to overhead costs (rent and other administrative costs). It shows owners and managers how their company's indirect costs compare to, say, its direct manufacturing or gross sales costs.

Divide the monthly sales by the total monthly overhead costs of the business to get the overhead rate. To determine your overhead rate, divide this number by 100.

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Related Questions

Suppose the Fed announces that it is raising its target interest rate by 50 basis points, or 0.5 percentage point. To do this, the Fed will use open-market operations to....... (Increase/decrease) the...... (Deman for/Supply of) money by....... (Selling bond to/Buying bond from) the public.
Use the green line (triangle symbol) on the previous graph to illustrate the effects of this policy by placing the new money supply curve (MS) in the correct location. Place the black point (plus symbol) at the new equilibrium interest rate and quantity of money.
Suppose the following graph shows the aggregate demand curve for this economy. The Fed's policy of targeting a higher interest rate will......(Reduce or Increase) the cost of borrowing, causing residential and business investment spending to...... (Increase or Decrease) and the quantity of output demanded to...... (Increase or Decrease) at each price level.
Shift the curve on the graph to show the general impact of the Fed's new interest rate target on aggregate demand.

Answers

Consider a scenario in which the Fed announces a 50-basis point (or 0.5 percentage point) increases in its target interest rate. To do this, the Fed will use open-market operations to increase the supply of money by buying bonds from the public.

The grey star indicates that the interest rate was 0.5% before to the Fed's decision. The new junction of the money supply and money demand curves happens at an interest rate of 1.55% if the Fed is effective in lowering interest rates by 0.50 percentage points. Consequently, if the interest rate were 1.55 percent, you need to have drawn a green vertical line at the amount of money that individuals would desire.

You can see from the graph that this amounts to $0.7 trillion. The Fed will utilize open-market operations to purchase public bonds in order to expand the money supply. As the Fed purchases bonds from the general public, the amount of reserves in the banking system rises, increasing banks' capacity to extend credit.

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When both the offeror and the offeree agree to all terms and conditions of the
contract, this is known as

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When an offeror and an offeree agree to the contract, this is called an Agreement or Meeting of the Minds.

What is an agreement ?

An agreement or meeting of minds is a concept in contract law that refers to a situation where both parties involved in a contract have a mutual understanding of the terms and conditions of the agreement.

This means that both parties have a shared comprehension of what they are committing to, and the agreement reflects their common intention. The agreement of meeting of minds is also known as mutual assent or mutual consent, and is a necessary requirement for the formation of a valid contract.

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Give the formulas under the direct method for computing
(a) cash receipts from customers and
(b) cash payments to suppliers.

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(a) The direct method formula for calculating cash receipts from clients is: Customers' cash receipts = Sales revenue + Beginning accounts receivable - Ending accounts receivable.

To compute cash receipts from customers, tally up the entire sales revenue for the period and then adjust for any changes in accounts receivable. If accounts receivable grew during the period, it signifies that cash has not yet been collected for all sales, hence the rise in accounts receivable must be deducted. If, on the other hand, accounts receivable declined throughout the time, it signifies that cash was received for more sales than were produced during the period, hence the decrease in accounts receivable must be added.

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______is a method of querying and reporting that takes data from standard relational databases, calculates and summarizes the data, and then stores the data in a special database called a data cube.

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Online Analytical Processing is a technique for querying and reporting that extracts data from common relational databases, computes and summaries the data, and then stores the data in a unique database known as a data cube (OLAP).

Online Analytical Processing (OAP) is a technique for querying and reporting that pulls information from common relational databases, computes and summaries it, and then stores it in a unique database known as a data cube (OLAP). With the aid of OLAP, users can evaluate multidimensional data from a variety of angles and condense massive amounts of data into a manageable form. The OLAP data cube is a multidimensional database that holds aggregated data in a structured fashion, facilitating users' ability to carry out intricate analysis and produce reports.

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identify a regional economic organization or agreement in each of the following areas: latin america, asia/pacific, western europe, central europe, the middle east, and africa.

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North America, Europe, the Middle East and Africa, Latin America, and the Asia Pacific are the regions into which the Goodyear tire firm is divided.

A business sector is a division that generates revenue through the sale of a product, a product line, or a service that is unrelated to the company's primary area of emphasis. The process through which a business separates its target market into smaller, more controllable pieces or units is known as market segmentation. The business does this in an effort to successfully target each target market. Goodyear tires' division can be used to identify market segments. A business sector is a segment of an organization that is distinguishable from others by the products, services, or business areas it provides. In other words, it's a division of a company that can be easily recognized from the total enterprise based on its customers, products, or services.

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There are three industrial firms in Happy Valley.
Firm Initial Pollution Level Cost of Reducing Pollution by 1 Unit
A 30 units $20
B 40 units $30
C 20 units $10
The government wants to reduce pollution to 60 units, so it gives each firm 20 tradable pollution permits.
Who sells permits and how many do they sell? Who buys permits and how many do they buy? Briefly explain why the sellers and buyers are each willing to do so.

Answers

In a tradable permit system, Firm C sells permits to Firms A and B to reduce pollution at a lower cost. Firm C benefits from a lower cost of reducing pollution, while Firms A and B benefit from lower costs of reducing pollution.

In a tradable permit system, Firm C has the lowest initial pollution level and the lowest cost of reducing pollution, so it has a comparative advantage in reducing pollution. It can reduce its pollution to 0 units at a cost of $200 (20 units x $10 per unit). Firm C will have 20 permits remaining, which it can sell to the other two firms.

Firms A and B have higher initial pollution levels and higher costs of reducing pollution, so they will be willing to buy permits from Firm C. Let's say that Firm A buys 10 permits from Firm C and Firm B buys 5 permits from Firm C.

In this case, Firm A can reduce its pollution level to 40 units (30 units initial pollution - 10 permits bought) at a cost of $200 (10 permits bought x $20 per permit). Firm B can reduce its pollution level to 35 units (40 units initial pollution - 5 permits bought) at a cost of $150 (5 permits bought x $30 per permit).

The sellers (Firm C) are willing to sell permits because they can reduce their pollution to zero at a lower cost than the other firms. They can sell their remaining permits to the other firms at a price that is less than the cost of reducing pollution by one unit. This allows Firm C to earn a profit from selling the permits.

The buyers (Firms A and B) are willing to buy permits because it is cheaper for them to buy permits than to reduce pollution by one unit. By buying permits from Firm C, they can reduce their pollution levels at a lower cost than if they had to reduce pollution entirely on their own. In this way, tradable permit systems incentivize firms to reduce pollution in the most cost-effective manner.

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The outcome of a spin on the wheel is a discrete random variable. Consider X the dollar amount spun on the wheel, where Bankrupt and Lose a Turn =$0, and Free Play =$500. There are 24 wedges on the wheel. the probability the wheel is spun and lands on the given value, p(x). Round values to three decimal places. Question 2: ( 2 points) A contestant spins the wheel. What is the expected dollar amount they will win? Show your work. Hint: use the PMF from the previous problem to calculate the expected value of X. Question 3: (3 points) Suppose a contestant spins the wheel three times. How likely is it they will spin and land on $800 all three times? Show your work. Question 4: (3 points) Suppose a contestant spins the wheel three times. How likely is it that they will spin and land on $800 at least once? Show your work. Question 5: (1 point) What is the average dollar amount of the 1000 simulated spins. How does this compare to your answer in Question 2?

Answers

As shown in table 2,3 Probability that all 3 spins will land on $800 is 0.000579 ,4,Probability that in 3 spins, at least one will land on $ 800 is : 0.2297,5 =$668.650

Science uses a figure called the probability of occurrence to quantify how likely an event is to occur. It is written as a number between 0 and 1, or between 0% and 100%, when represented as a percentage. The possibility of an event occurring increases as it gets higher. An impossible event has a probability of 0, while a certain occurrence has a probability of 1.  The probability that two complementary events A and B will occur when either A or B occurs sums to one.

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Katherine Chapman recently launched a firm in the clothing industry, targeting 13-17 year olds. One thing Katherine thinks she has accomplished is producing products that have universal appeal, so she will not vary her approach from country to country. Katherine is pursuing a _____ strategy.
A) universal
B) multidomestic
C) contemporary
D) global
E) home

Answers

Katherine Chapman recently launched a firm in the clothing industry, targeting 13-17-year-olds. Katherine is pursuing a global strategy. The correct option is d.

What is a global strategy?

Global strategy as defined in business terms is an organization's strategic guide to globalization. Such a connected world, allows a business's revenue to not be confined by borders. A business can employ a global business strategy to reap the rewards of trading in a worldwide market. Academic research on global strategy came during the 1980s, including work by Michael Porter and Christopher Bartlett & Sumantra Ghoshal.

The International Classification of a global business strategy is employed by companies who may sell in foreign markets, but their primary focus is on their home market.

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The daily total cost C(x) incurred by Trappee and Sons for producing x cases of TexaPep hot sauce is given by the following function.
C(x) = 0.000002x3 + 9x + 260
Calculate the following for h = 1, 0.1, 0.01, 0.001, and 0.0001. (Round your answers to four decimal places.)
[C(100+h)-C(100)]/h
Use your results to estimate the rate of change of the total cost function when the level of production is 100 cases/day. (Round your answer to two decimal places.)

Answers

The rate of change of the total cost function when the level of production is 100 cases/day is 9.06.

What is the fee characteristic given through way of C?

The prevalent structure οf the fee characteristic formulation is C(x)=F+V(x) C (x) = F + V (x) the lοcation F is the whole consistent costs, V is the variable cοst, x is the number of units, and C(x) is the complete manufacturing cost.

Cost attribute refers tο the practical relatiοnship between charge and output. It loοkup the behaviοur of rate at gorgeous tiers of output when technological expertise is assumed tο be constant. It can be expressed as below: C= f(Q) (Here, C= Cost of prοduction; and Q= Quantum of output).

The given functiοn is

C(x) = 0.000002x³ + 9x + 260

Calculate the follοwing for h = 1, 0.1, 0.01, 0.001, 0.0001

h = 1

Plugging h = 1

[tex]$\mathrm{ \frac{C(100+h)-C(100)}{h} = }[/tex] [tex]$\mathrm{ \frac{0.000002(100+1)^3+9(100+1)+260-(0.000002(100)^3+9(100)+260)}{1}}[/tex]

= 9.06

In all other cases, Rοunding off  two decimal places we will get 9.06

So, the rate of change οf the total cost function when the level of production is 100 cases/day is 9.06.

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Yard Designs (YD) experienced the following events in Year 1, its first year of operation:
On October 1, Year 1, YD collected $20,400 for consulting services it agreed to provide during the coming year.
Adjusted the accounts to reflect the amount of consulting service revenue recognized in Year 1.
Required
Based on this information alone:
a. Record the events under an accounting equation.
b. Prepare an income statement, balance sheet, and statement of cash flows for the Year 1 accounting period.
c. Ignoring all other future events, what is the amount of service revenue that would be recognized in Year 2?

Answers

Assets = Liabilities + Stockholders' Equity in the YARD DESIGNS Accounting Equation Event Cash = Retained Earnings + Unearned Revenue Adjusting $20400 to $20400 plus $0 $0 = ($5100) $510

What is meant by a Balance Sheet ?

A balance sheet, also referred to as a statement of financial position or a statement of financial condition in financial accounting, is a summary of the financial standing of a person or an organization, whether they are sole proprietors, partners in a business, corporations, private limited companies, or other entities like governments or not-for-profits.

A precise date, such as the conclusion of the company's fiscal year, is used to list the assets, liabilities, and ownership equity. As a "snapshot of a company's financial state," a balance sheet is frequently referred to.

Each and every financial statement of an organization is summarized in it. The balance sheet is the only one of the four fundamental financial statements that pertains to just one point in time on a company's calendar.

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For an auditor of an issuer, critical audit matters should be communicated in the critical audit matters section, which:
Immediately follows the Basis for Opinion section

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Yes, critical audit matters should be communicated in the critical audit matters section, which immediately follows the Basis for Opinion section.

In the given question for an auditor of an issuer, critical audit matters should be communicated in the critical audit matters section and we have to find which Immediately follows the Basis for Opinion section.

Yes, that is correct. The critical audit matters section of an auditor’s report typically immediately follows the Basis for Opinion section. The critical audit matters section contains the auditor’s communication of any matters that the auditor believes are of most significance to those who use the financial statements.

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Fiesta LLC orders 1,000 balloons from Gas Bags Inc. for $1.00 per balloon. When the market decreases to .50 cents per balloon Fiesta refuses to go through with the deal. Gas Bags can recoverSelect one:a. nothing.b. $1,000.c. $500.d. $1,500.

Answers

Gas Bags can recover $500. Thus, option C is correct.

What is a market?

A market consists of various structures, organizations, procedures, and processes that allow people to exchange commodities and services. The majority of marketplaces rely on purchasers providing their products or services to purchasers in exchange for payment, however, participants may move products by barter.

The information that is provided with respect to the Fiesta LLC

the order that was passed was for 1,000
The cost at that time was termed as $1.00

The amount then incurred will be 1000

The amount that will be after the decrease with then amount will  be .050

The amount will now be

=1000 - 500

= 500

Therefore, option C is correct.

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suppose the following items were taken from the december 31 2022 assets section of the boeing company balance sheet. (All dollars are in Millions)Inventory $15,840 Patents $11,980Notes receivable-due after December 31, 2023 4,950 Buildings 21,620Notes receivable-due before December 31, 2023 340 Cash 7,800Accumulated depreciation-Buildings 12,930 Account receivable 5,580Debt Investment (short-term) 1,580Prepare the assets section of a classified balance sheet (List the current assets in order of liquidity).

Answers

The value of the total assets section of a balance sheet would be $51,810.

What is a balance sheet?

A balance sheet is financial statement that shows company's assets, liabilities, and equity at a specific point in time. It is divided into two sections, with assets listed on the left side and liabilities and equity on the right side. Assets include cash, investments, inventory, property, and equipment, while liabilities include debts, loans, and obligations owed to others. Equity represents the portion of the company's value that belongs to shareholders or owners. The balance sheet is an essential tool for understanding a company's financial health and is often used by investors, creditors, and analysts to evaluate the company's performance and potential risks.

Current Assets:

Cash 7,800

Short-term Debt Investment 1,580

Account Receivable 5,580

Notes Receivable-due before December 31, 2023 340

Inventory 15,840

Total Current Assets 31,140

Long-term Investments:

Patents 11,980

Property, Plant, and Equipment:

Buildings 21,620

Less: Accumulated Depreciation-Buildings (12,930)

Net Property, Plant, and Equipment 8,690

Total Assets $51,810

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According to the Growth Share Matrix (aka BCG Matrix), ________ are low-growth, low-share businesses and products. They may generate enough cash to maintain themselves but do not promise to be large sources of cash.
O DogsO customerO Question MarkO Butterfly

Answers

According to the Growth Share Matrix (aka BCG Matrix), Dogs are low-growth, low-share businesses and products. They may generate enough cash to maintain themselves but do not promise to be large sources of cash. (Option A).

What is Growth Share Matrix?

The Growth Share Matrix, also known as the BCG Matrix, is a strategic planning tool that helps businesses evaluate their portfolio of products or business units. It categorizes each product or business unit into one of four categories based on their market growth rate and relative market share.

The four categories are: "Stars", which are high-growth, high-share products; "Cash Cows", which are high-share, low-growth products that generate significant profits; "Question Marks", which are low-share, high-growth products that require investment to increase their market share; and "Dogs", which are low-growth, low-share products that may not generate much profit and could be candidates for divestment. The matrix helps companies to allocate resources and develop strategies for each category based on their market position and potential.

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A box contains 4
red marbles, 6
white marbles, and 3
blue marbles. If a marble is randomly selected from the box, what is the probability that it is blue? Express your answer as a fraction or a decimal number rounded to three decimal places, if necessary.

Answers

The probability of selecting a blue marble is 0.231 (rounded to three decimal places) or 3/13 as a fraction.

What is probability?

Generally, The probability of selecting a blue marble can be found by dividing the number of blue marbles by the total number of marbles in the box:

P(blue) = number of blue marbles / total number of marbles

P(blue) = 3 / (4 + 6 + 3)

P(blue) = 3 / 13

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a business receives $10,000 cash for a sale of merchandise and records this receipt of cash as an increase in accounts receivable by mistake. the accounting equation is still in balance.TrueFalse

Answers

When a company receives $10,000 in cash for the sale of goods and by accident records this cash receipt as an increase in accounts receivable, the accounting equation is still in balance.

What is an accounting equation?

The accounting equation demonstrates that a company's total assets equal the sum of its obligations and shareholders' equity (assets = liabilities + equity). The foundation of double-entry accounting is the unambiguous relationship between a company's liabilities, assets, and equity.

The Accounting Equation: Why Is It Important?

The connection between assets, liabilities, and equity the three parts of a balance sheet is captured by the accounting equation. When all else is equal, a company's equity will rise when its assets do, and vice versa. Increasing liabilities will result in a decline

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When a company discards machinery that is fully depreciated, this transaction would be recorded with the following entry:
a) debit Machinery; credit Accumulated Depreciation
b) debit Depreciation Expense; credit Accumulated Depreciation
c) debit Cash; credit Accumulated Depreciation
d) debit Accumulated Depreciation; credit Machinery

Answers

The correct entry when a company discards machinery that is fully depreciated is d) debit Accumulated Depreciation; credit Machinery.

When an asset has been fully depreciated, the carrying value of the asset is reduced to zero on the company's balance sheet. At this point, the asset has no residual value and is considered to have reached the end of its useful life. If the company disposes of the asset, the entry will reflect the removal of the asset's carrying value from the balance sheet.

The credit entry to the Machinery account will remove the asset from the balance sheet, and the debit entry to Accumulated Depreciation will reduce the balance in the contra-asset account to zero, reflecting that all depreciation expense related to the asset has been recognized.

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give an example of marketing myopia using a company you perceive to be suffering from this. identify and explain the specific marketing myopia problem in this company, as defined by the levitt article.

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Blockbuster is an example of a company that suffered from marketing myopia by focusing too narrowly on its existing business model and failing to adapt to changing market conditions.

Blockbuster's marketing myopia problem was its failure to recognize the shift in consumer behavior towards digital streaming and video-on-demand services.

According to Levitt's article, "Marketing Myopia," companies need to focus on identifying and satisfying customer needs, rather than on their own products and services.

In Blockbuster's case, the company was too focused on its video rental business and failed to recognize the growing demand for digital streaming services.

As a result, Blockbuster lost market share to competitors such as Netflix and Redbox, who were able to capitalize on this emerging trend.

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in an ideal scenario, do you believe there were any impurities in the products (aside from water and acetone) of the vacuum filtration method? do you believe there were any impurities in the products of the evaporative collection method?if yes, be sure to state which impurities are in the products and use experimental evidence to support your answer, or use experimental evidence to support why you believe there are no impurities in the products.hint: it may be helpful to determine the phases of each substance at each stage of the reaction. you may find it helpful to refer to section 1.3 in your textbook.

Answers

We can see here that it is believable that in the vacuum filtration method, the impurities present in the product can depend on the nature of the starting material and the filtration medium used.

On the other hand, if the filtration medium is not selective, soluble impurities can pass through, leading to a contaminated product. To minimize impurities, it is important to choose a suitable filter medium, wash the product thoroughly, and analyze the purity of the final product.

What is vacuum filtration method?

The vacuum filtration method is a laboratory technique used to separate a solid product from a solvent or liquid reaction mixture.

It involves filtering the mixture through a filter paper and a vacuum filtration apparatus, which applies suction to draw the liquid through the filter paper while leaving the solid behind.

Similarly, in the evaporative collection method, the impurities present in the product can depend on the nature of the starting material and the purity of the solvent used.

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Which of the following items are normally included as key components of a corporation's annual report?
1. The report of the external auditor's examination of the financial statements
2. A five-year (or longer) summary of key financial data
3. The notes to the financial statements
4. A corporate structure chart showing line and staff reporting responsibilities of all key personnel employed by the reporting firm.
5. The reporting firm's operating budget for the next fiscal year.

Answers

The statements, 1, 2 and 3 are normally included as key components of a corporation's annual report

A company's annual report is the one it submits to its shareholders or investors each year. It is an account of the actions taken and the money earned in the year before the current one. The components included are -

The external auditor's review report of the financial statements is a crucial part of the annual report since it offers an unbiased assessment of the completeness and quality of the financial statements. This report, which is often created by an independent auditing firm, contains an assessment of the internal controls of the company as well as a judgement on the accuracy of the financial statements.To provide an overview of the company's financial performance over time summary of major financial data is frequently included in the annual report. This summary often contains various performance measures along with important financial figures like revenue, net income, and earnings per share.The annual report's notes to the financial statements, which give context and additional information, are a crucial part of the document. The notes provide information not found in financial statements like important accounting assumptions and judgements. It then specifics regarding the corporation's accounting standards.

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______ is the part of the marketing mix that aims at creating value by providing features and benefits that meet customers' needs.

Answers

Product is the part of the marketing mix that aims at creating value by providing features as well as benefits that meet customers' needs.

The product element of the marketing mix includes the design, development, and packaging of goods or services that will be offered to the market. This includes features such as quality, design, functionality, and branding, as well as the benefits that the product or service provides to the customer.

A key aspect of the product element is differentiation, or the process of making a product or service unique in some way to stand out from competitors. By creating a product that meets customers' needs and provides value, businesses can differentiate themselves from their competitors and build customer loyalty.

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A downward sloping, linear demand function exhibits:
a less elastic demand as output increases
b more elastic demand as output increases
c cannot be determined with information given
d Constant demand elasticity

Answers

As output rises, a downward-sloping, linear demand function displays a less elastic demand.(option a)

How does demand function work?

A demand curve in economics is a graph that shows the link between the cost of a given good and the amount that is desired at that cost. Levels can increase can be applied to the price-quantity connection for either a specific consumer or for every consumer in a given market. The initial cost plus the cost of manufacturing make up the cost function. We received the demand function. Simply multiplying x even by demand function yields the revenue function. We are aware that marginal revenue and marginal expense must match in order to optimise profit.

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Sandhill Company from time to time embarks on a research program when a special project seems to offer possibilities. In 2016, the company expends $324,500 on a research project, but by the end of 2016 it is impossible to determine whether any benefit will be derived from it. v (b) The project is completed in 2017, and a successful patent is obtained. The R&D costs to complete the project are $114,500. The administrative and legal expenses incurred in obtaining patent number 472-1001-84 in 2017 total $16,900. The patent has an expected useful life of 5 years. Record these costs in journal entry form. Also, record patent amortization (full year) in 2017. (Credit account titles are automatically indented when amount is entered. Do not indent manually. If no entry is required, select "No Entry" for the account titles and enter O for the amounts.) Account Titles and Explanation Debit Credit (To record research and development costs) (To record legal and administrative costs) (To record one year's amortization expense) Attempts: 0 of 5 used SAVE FOR LATER SUBMIT ANSWER

Answers

To record research and development costs, debit $324,500 from Research and Development Expense and credit $324,500 from Cash.

What is meant by journal entry?

A journal entry is a record of a financial transaction that is entered into the accounting system of a company. It typically includes the transaction date, the accounts involved, the transaction amount, and a brief description of the transaction. Journal entries form the basis of a company's financial records and are used to prepare financial statements, track cash flow, and monitor business performance. They can be done manually in a physical journal or automatically in an accounting software system, and they must be accurate and complete in order for the company's financial records to be reliable and up to date. To keep track of legal and administrative expenses:

Credit Cash for $16,900 Debit Patent Expense for $16,900 To record the amortisation expense for one year: Amortization Expense in the amount of $26,900 ($114,500 / 5 + $16,900) Credit Accumulated Amortization - $26,900 Patent.

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Different studies have examined the extra costs of delaying college graduation by one year. Which of the following is true?
A.) If eventual retirement income is taken into consideration, the costs could be $82,074
B.) All of the above
C.) On average, the costs of additional tuition, textbooks, fees and interest on loans can range from $18,597 to $26,817
D.) Future lost earnings due to an extra year of college could end up costing $46,355

Answers

Procrastination is very much an emotional response to heading off duties we want to complete. In psychology, they name it undertaking aversiveness.

Triggering these emotions to prolong and put off responsibilities can come from any quantity of scenarios, some mundane, others that carry serious concern.

Which of the following factors fine explains why the college wage top rate is rising?

The college wage top class is rising due to will increase in demand for college-trained people b/c of technology improvements.

Root motive analysis (RCA) is the technique of discovering the root causes of troubles in order to identify splendid solutions. RCA assumes that it is a lot more fantastic to systematically prevent and remedy for underlying issues rather than just treating ad hoc symptoms and putting out fires.

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Which of the following recruitment strategies can help an organization reduce labor costs and improve customer service together with accessing top talent?
A. offshoring
B. resume databases
C. observation
D. trade fairs

Answers

Option A is correct. Offshoring is the next recruitment strategy that helps companies reduce labor costs, improve customer service, and improve access to top talent.

Offshoring is the transfer of the activity or ownership of an entire business process to a country other than the country in which the company receiving the service is based. This primarily helps in gaining access to a more cost-effective labor market, but it also helps in accessing additional qualified workers or setting up a business establishment in a foreign country. Offshore companies do so through outsourcing agreements with third parties or by establishing their own Global In-House Center (GIC) presence at offshore locations, among other business structures.

There are many ways to outsource your client's operations and business activities. The hard part is deciding which contact center solution (offshore outsourcing, nearshore outsourcing, onshore outsourcing, home-based, or a combination of all) is right for your product or service. In this strategy guide, take a closer look at all your options and learn how each can benefit your business and your customers for years to come. 

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limiting a firm's ability to switch back and forth between alternative generally accepted accounting methods is driven by which of the following concepts/principles?

Answers

Limiting a firm's ability to switch back and forth between alternative generally accepted accounting methods is driven by Consistency of management process.

What does the management process entail?

A sequence of processes known as the management process are utilized to carry out commercial activities. Planning, organizing, staffing, leading, managing, and assessing are all parts of the management process.

What number of management processes exist?

The management process' four functions. The four primary management process functions are as follows. The planned, organizing, directing, and controlling stages are what are referred to as these. Each of these phases aids businesses and organizations in carrying out their aims and objectives successfully and efficiently.

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Complete question:

Limiting a firm's ability to switch back and forth between alternative generally accepted accounting methods is driven by which of the following concepts/principles?

ConsistencyConservatismObjectivityMateriality

suppose the call money rate is 6.8 percent, and you pay a spread of 1.9 percent over that. you buy 1,100 shares at $55 per share with an initial margin of 55 percent. one year later, the stock is selling for $61 per share and you close out your position. what is your return assuming no dividends are paid? (do not round intermediate calculations. enter your answer as a percent rounded to 2 decimal places, e.g., enter 1.23 for 1.23%.)

Answers

To calculate the return on this investment, we need to consider several factors, including the initial cost, the amount of borrowed funds, the interest charged on those funds, and the final selling price.

First, let's calculate the initial cost of the investment. Since the investor is purchasing 1,100 shares at $55 per share with a margin of 55%, the total initial cost is:

Initial cost = (1,100 shares x $55 per share) / 0.55 = $121,000

Since the investor is only required to put up 55% of the initial cost as margin, they have borrowed the remaining 45%, or $53,900.

Next, we need to calculate the interest charged on the borrowed funds. The call money rate is 6.8%, and the investor pays a spread of 1.9% over that. Therefore, the interest rate charged on the borrowed funds is:

Interest rate = 6.8% + 1.9% = 8.7%

The interest charged on the borrowed funds for one year is:

Interest charged = $53,900 x 8.7% = $4,683.30

Now, let's calculate the final selling price of the shares. One year later, the stock is selling for $61 per share, so the total selling price is:

Selling price = 1,100 shares x $61 per share = $67,100

The net profit on the investment is the selling price minus the initial cost and interest charged on the borrowed funds:

Net profit = $67,100 - $121,000 - $4,683.30 = -$58,583.30

Since the net profit is negative, the return on this investment is negative as well. The percentage return is calculated by dividing the net profit by the initial cost and expressing the result as a percentage:

Percentage return = (-$58,583.30 / $121,000) x 100% = -48.47%

Therefore, the investor has incurred a negative return of 48.47% on this investment, assuming no dividends were paid. This negative return is primarily due to the high cost of borrowing funds, which significantly outweighed any gains from the increase in the stock price.

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FILL IN THE BLANK. Revenues are recognized when ___________ even when cash is collected in a different accounting period than the revenue is earned.
1) cash is collected
2) bills are paid
3) services are performed
4) customers prepay for goods/services

Answers

Option (c), Even though cash is received in a separate accounting period than the revenue is earned, revenues are still recorded when services are rendered.

if a profit was achieved but no money had yet been received?

Since expenses are recorded when they are spent rather than when money is received, revenue is recorded as it is earned when using accrual accounting. Long-term planning is facilitated by this method, which provides a more precise picture of income and expenses than cash accounting.

are earnings that have been made but have not yet been received or recorded?

Accrued income is the amount of money that has been made by providing a good or service but has not yet been paid for. Accrued revenues are recorded on the balance sheet as receivables to represent the amount that customers owe the business for the goods or services they purchased.

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Suppose identical​ price-setting duopoly firms have constant marginal costs of ​$25 per unit and no fixed costs. Consumers view the​ firms' products as perfect substitutes. The market demand is Q=200−p. In Bertrand equilibrium firm​ 1's price is ​$? and firm​2's price is ​$?

Answers

In Bertrand equilibrium, both firm 1 and firm 2 will set their price at $25 per unit.

In Bertrand equilibrium, both firms will set prices equal to their marginal cost since consumers will always choose the lower-priced product. In this case, the marginal cost is $25 per unit.

The market demand is Q = 200 - p, which means that if the price is set at p, the quantity demanded will be 200 - p.

Therefore, each firm will set its price at $25 to capture half of the market demand, which is 100 units.

So, both firm 1 and firm 2 will set their price at $25 per unit.

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Andre purchased some land ten years ago for $40,000 cash. The property appreciated to $70,000 at which time Andre sold it to his wife Steffi for $70,000 cash, its fair market value.What are the income tax consequences to Andre?

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The sale of property from Andre to his wife Steffi for its fair market value is basically implied to a transfer of property between related parties.

What is income tax consequence?

The impact of a transaction on income taxes depends on a number of variables, including the nature of the transaction, the type of income earned, and the tax laws that apply to the transaction.

A transfer of property between related persons is regarded as occurring when Andre sells a piece of property to his wife Steffi for its fair market value.

It could be interpreted in this situation as an effort to evade paying taxes on capital gains from the property's appreciation.

As a result, the IRS might consider this transaction to be a gift or a fictitious sale and might impose certain tax regulations on it.

Thus, in this scenario, Steffi's basis in the property would be $40,000 and would replace Andre's original cost basis of $40,000.

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