In a minimization problem and a maximisation problem, the dual price for a constraint in a linear programming problem will always be non-negative. If and only if the related constraint is inactive at the best solution, it can be zero.
The dual price, also known as the shadow price, in linear programming refers to the change in the objective function value brought on by a change in the right-hand side of a constraint. The dual price in a minimization problem is non-negative since raising the value of the constraint can never result in a worsening of the objective function. On the other hand, in a maximisation issue, the dual price is negative since the objective function can never be improved by raising the constraint value. The dual price of a constraint that is inactive at the best solution is zero, which denotes that altering the value of the constraint has no impact on the value of the objective function.
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suppose you expect to receive $80 at the end of year 1, $90 at the end of year 2, $100 at the end of year 3, and $110 at the end of year 4. what is the present value of these cash flows if the interest rate is 7 percent compounded annually?
Future cash flow is worth $338.90 at present.
The present value of a future cash flow is calculated by using the following formula:
Present Value = Future Value / (1 + r)ⁿ
Where r is the interest rate and n is the number of periods.
To calculate the present value of the cash flow, we need to solve for the present value of each cash flow separately:
Present Value of Year 1 = $80 / (1+0.07)¹ = $74.68
Present Value of Year 2 = $90 / (1+0.07)² = $81.11
Present Value of Year 3 = $100 / (1+0.07)³ = $87.94
Present Value of Year 4 = $110 / (1+0.07)⁴ = $95.17
The total of all the current values represents the present value of these cash flows.
Present Value = $74.68 + $81.11 + $87.94 + $95.17 = $338.90.
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when a person’s income is greater than his/her expenses the difference is a
The difference of a person's income and its expenses is a discretionary income.
Discretionary income is the remaining income left after paying taxes and other expenses that could be use for spending, investing, or saving. Discretionary income includes any money spent on luxury and tertiary items. Discretionary income is a subset of disposable income. However disposable income represents the money someone has post-taxes to use both necessities and fun.
Discretionary income is important to economy because it can influence the amount of spending and savings one person contributes to the economy. When econonmy is on expansionary and interest rate is low, discretionary income will be use more on spending. However when the economy is on tight monetary policy, the high interest rate will attract people to save their discretionary incomes in bank and spend less.
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Determine whether each of the following costs should be classified as direct materials
All manufacturing expenses that may be directly linked to a product are categorized as either direct labor or direct materials.
What is manufacturing?Manufacturing is the process of transforming raw materials or component components into completed things using equipment, labor, tools, and chemical reactions. By charging more for finished goods, manufacturing enables businesses to recoup their original investment in raw materials. By using assembly-line techniques and cutting-edge technologies, large-scale manufacturing makes it possible to produce items in large quantities. By utilizing economies of scale to produce more products for less money, manufacturers can profit from efficient production processes. It entails processing raw materials like ore, wood, and food into finished items like furniture, metal goods, and processed foods. Manufacturing is a particularly lucrative component in the supply chain since this added value drives up the cost of finished goods.
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Jonas, a retiree, wants to use his savings to open a day care facility for dogs. After deciding on the services that he would provide to his customers, he calculates costs versus the demand and the profit he could make depending on the volume of sales. After extensive deliberation, Jonas decides to take a bank loan because the needed initial investment is too high for opening the facility. Jonas is currently in the _____ stage of the new-product development process
implementation stage This stage involves the actual launching of the new product or service and the start of commercial production.
What is implement stage of commercial production?Some key steps involved in the implementation stage are:Securing funding: Jonas has already decided to take out a bank loan to finance the opening of the day care facility.Acquiring necessary permits and licenses: Jonas will need to obtain any necessary permits and licenses to legally operate the day care.Building the facility: This will involve physically constructing the day care, including the kennels, play areas, and any other necessary facilities.Hiring staff: Jonas will need to hire employees to help run the day care, including dog handlers, cleaners, and administrative staff.Marketing and advertising: Jonas will need to promote the day care to potential customers and build a client base.Opening the facility: Once everything is in place, Jonas can finally open the day care and start providing services to customers.The implementation stage is a critical step in the new-product development process, as it marks the start of commercial production and the realization of the business idea. Success in this stage is critical for the long-term success of the business.To learn more about implementing stage refer:
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What causes a production possibilities frontier to shift outward?
Changes in the overall number of manufacturing elements that are now available or technical improvements may result in an outward or inward shift in the PPF.
What is the production possibilities frontier?The graph known as the Production Possibilities Frontier (PPF) illustrates all the possible output combinations of two items that can be created with the resources and technologies currently in use.
The PPF articulates the concepts of choice, tradeoffs, and scarcity well.
An outward or inward shift in the PPF could be caused by changes in the total amount of manufacturing factors that are now available or technological advancements.
If the total amount of production inputs, like labor or capital, rises, the economy can produce more goods at any point along the frontier.
The trade-off between manufacturing one good vs another is gauged by the production possibilities curve.
Therefore, changes in the overall number of manufacturing elements that are now available or technical improvements may result in an outward or inward shift in the PPF.
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Mean value of x And y, when the regreion line of y on x and y are 4x-7y15=0 and 7x-3y-20=0 are
The mean values of x and y can be found using the formula for the equations of the regression lines. The mean value of x is given by:
x_mean = (15/10) = 1.5
The mean value of y is given by:
y_mean = (-20/10) = -2.
So, the mean values of x and y are 1.5 and -2 respectively.
What is a mean value?A mean value is the average of a set of numbers, computed by summing the numbers and dividing by the number of items in the set.
A regression line is a line of best fit that represents the relationship between two continuous variables. It helps to predict the value of one variable based on the value of another variable.
The regression line is created by fitting a mathematical equation to the data points. The equation takes the form of y = mx + b, where y is the dependent variable, x is the independent variable, m is the slope of the line, and b is the y-intercept. The slope and y-intercept are determined through statistical analysis of the data, using methods such as linear regression.
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29. How can Joanne prevent having a balance due next year?a. She can increase the withholding on her Form W-4.b. She can make estimated tax payments.c. She can use the IRS withholding calculator to estimate her withholding for next year.d. All of the above
Joanne can prevent herself from having a balance due next year by using the IRS withholding calculator to estimate her withholding for next year. The Option C is correct.
What does having tax balance due means?The balance due is the government's tax liability. Balance dues can occur in four different ways. The first step is to file a tax return indicating a liability owed to the government that has not been paid. A taxpayer owes $10,000 if they file a tax return. They do not include the payment.
This will result in a balance due in the IRS system. The IRS's matching program is the second method by which balance dues are formed. When a taxpayer files a tax return that does not show a tax liability but contains errors or omissions, the IRS will make a correction.
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question 2 which of the following is an asset? (check all that apply) 1 point prepaid rent common stock cash notes payable retained earnings
Cash is an asset .Current assets include: Cash and cash equivalents, such as treasury bills and certificates of deposits.
The retained earnings is not a asset because it is considered a liability to the institution. Accounts payable is considered a current liability, not an asset, on the balance sheet. Accounts receivable is listed as a current asset in the balance sheet, since it is usually convertible into cash in less than a year. Common stock is considered an asset.
cash is a current asset and is the first line-item on a company's balance sheet. Cash is the most liquid type of asset and can be used to easily purchase other assets. Liquidity is the ease with which an asset can be converted into cash.
3 types of assets are:-
long-term assets.Current Assets. Current assets are assets that can be easily converted into cash and cash equivalents (typically within a year).Fixed or Non-Current Assets. Non-current assets are assets that cannot be easily and readily converted into cash and cash equivalents.Personal assets can include a home, land, financial securities, jewelry, artwork, gold and silver, or your checking account. Business assets can include such things as motor vehicles, buildings, machinery, equipment, cash, and accounts receivable.
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calvin, a project manager, has scheduled a meeting for his team to discuss problems that have developed over the course of the project. lou, a team member responsible for assisting with updating the project schedule, expresses his concern about the time constraints over the next month. he is concerned there will not be enough time to attend the upcoming training seminar on how to use a new software program. this program is designed to help him with his tasks for maintaining the project schedule. lou maintains that it is of the utmost importance to be able to attend the training. jane, who is part of the project management team, needs lou to be available to work on some key tasks. jane reminds lou and calvin that the training seminar will be presented three months from today's date and lou can attend it when there is more flexibility in the project schedule. which action should calvin take? answers a. agree with lou and let him attend the upcoming training seminar b. take into account lou and jane's points and let the team members come to a consensus c. consider all aspects of the situation and check with key project stakeholders d. let lou decide when to take the training seminar
Calvin is backing away from the problem by allowing Jane and Lou come up with a solution.
A possible or actual conflict between members of the project team is avoided by the project manager as a means of conflict resolution.
When exactly does the project manager evaluate the effect a change has on the project?
The process of determining the impact of the modification on the project is called the impact assessment stage. It should be possible to capture the necessary information in a systematic manner by using a change request template. The goal is to make it possible for the sponsor and other interested parties to make an educated choice.
The benefits are listed in the benefit management plan, which is a tool for determining whether the system's trial results met the required advantages.
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Uing "The Evolution of Economic Thought" book by Randy R. Grant and Stanley L. Brue a reference,
1. What wa the hitorical background of neoclaical chool?
2. What were the major tenet of neoclaical chool? Write all the major tenet. 3. Which tenet of the chool became lating contribution?
The study of the various thinkers' philosophies and theories in the fields that subsequently became political economy and economics, from antiquity to the current day in the twenty-first century, is known as the history of economic thinking.
What is the history of economic thought?The study of the various thinkers' philosophies and theories in the fields that subsequently became political economy and economics, from antiquity to the current day in the twenty-first century, is known as the history of economic thinking.Different schools of economic thought are all included in this field.According to the theory of evolutionary economics, people and society as a whole both influence and shape economic processes.It disdains the classic economics' rational choice theory, contending that psychological variables are the main forces that shape the economy.Economic thought, which spans from antiquity to the present, is the study of many philosophies, theories, and thinkers in the field of economics.A philosophy or an art, rather than a science, is what economics is more of.To learn more about economy refer
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net income = $400; total assets = $3,000; total liabilities = $1,200; total asset turnover = 2.0 what is the capital intensity ratio assuming dividends paid total $250?
The capital intensity ratio assuming dividends paid total $250 is 2.
Capital intensity ratio is a financial metric that measures a company's use of fixed assets, such as property, plant, and equipment, relative to its total sales. In other words, it shows the level of investment a company has made in its long-term assets to generate revenue.
To calculate the capital intensity ratio, we divide the total value of a company's fixed assets by its sales. In this case, the student has total assets of $3,000 and total asset turnover of 2.0, meaning their sales are $3,000 / 2.0 = $1,500.
Therefore, the capital intensity ratio can be calculated as follows:
$3,000 (total assets) / $1,500 (sales) = 2
This indicates that for every $1 of sales, the student has invested $2 in fixed assets.
It's important to note that capital intensity ratio can vary significantly from industry to industry and from company to company. Some industries, such as manufacturing, require significant investment in fixed assets to generate sales, resulting in a high capital intensity ratio. Other industries, such as retail, require less investment in fixed assets, resulting in a lower capital intensity ratio.
In this scenario, the student has a high capital intensity ratio of 2, indicating that they have made a significant investment in fixed assets relative to their sales.
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which issue is a bank’s early warning signal of problem loans?
A bank's early warning signal of problem loans is usually a rise in the number of delinquencies and/or defaults on loans.
In the banking industry, early detection of problem loans is critical for mitigating the risk of loan loss. Banks use various methods and tools to monitor the performance of their loan portfolios, including the use of early warning signals. Early warning signals are indicators that a borrower is experiencing financial difficulties and may be unable to fully repay their loans. One of the most commonly used early warning signals is an increase in delinquencies and/or defaults. A delinquency occurs when a borrower misses one or more payments on their loan, while a default occurs when a borrower has failed to repay their loan according to the terms of their loan agreement. When a borrower begins to miss payments, it is a clear sign that they are experiencing financial difficulties, and banks use this information as an early warning signal to identify potential problem loans. In addition to an increase in delinquencies and defaults, banks also monitor changes in the borrower's financial condition, such as a decrease in income, an increase in debt, or changes in the value of collateral used to secure the loan. These changes can also be indicators of potential loan problems, and banks use this information to assess the risk of loan default and take appropriate action to mitigate the risk of loan loss.
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match each work outcome with the corresponding organizational behavior concept. what is each behavior an example of? work outcome organizational behavior concept organizational commitment performance productivity dysfunctional behavior
The outcome with the corresponding organizational behavior concept is as follows- Organizational Commitment - Ryan plans to quit in a few months.
Productivity - Amy sells 20 cars in a month.
Performance- Mary volunteers to help a new coworker learn how to use the company's intranet.
Dysfunctional Behavior - Sivan steals $1,000 from the company.
Organizational behavior is the academic study of how people interact within groups, the principles of which are primarily applied to make organizations more effective.
Organizational behavior research includes research areas dedicated to improving job performance, increasing job satisfaction, fostering innovation, and developing leadership, and is the foundation of organizational talent.
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what is an accurate characterization of the role of international business investments in latin america today?
International business investments in Latin America today are seen as an important way to promote economic growth and development.
Foreign direct investments (FDI) in the region have increased significantly over the past decade, driven by a combination of factors such as improved macroeconomic policies, increased access to international financial markets, and a growing middle-class population.
Foreign investors are attracted by the region’s large domestic markets and increasing consumer spending power, as well as the availability of natural resources and labor. Investments in infrastructure, manufacturing, and services are helping to drive economic growth and reduce poverty levels in Latin America.
FDI is also helping to improve access to modern technology, foster innovation, and create new jobs. However, governments must ensure that these investments benefit all citizens by promoting inclusive economic growth and reducing inequality.
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the receipt of cash from a credit customer on account has what effect on the accounting equation?
When a receipt of cash in advance from customers occurs, account equation, the company records the transaction as an increase in cash (which is an asset) and an increase in unearned revenues (which is a liability). Thus, assets and liabilities both increase.
The account equation, also called the balance distance equation, represents the relationship between the means, arrears, and proprietor's equity of a person or business. It's the foundation for the double- entry secretary system. For each sale, the total disbenefits equal the total credits.
What are the 3 account equations?
The account equation can be rearranged into three different ways means = arrears proprietor's Capital- proprietor's delineations Earnings- Charges. proprietor's equity = means- arrears. Net Worth = means- arrears.
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in the last decade, the , fill in the blank, strategy has been significantly impacted by the ability for customers to order products via mobile apps, the internet, and free-standing kiosks. these activities are most closely associated with which element of the marketing mix?
The dispersion or place component of the marketing process is most closely related to these activities.
How would you define marketing?The process of developing, communicating, delivering, as well as exchanging offerings that are valuable to customers, clients, partners, as well as society at large collectively is known as marketing.
What does marketing encompass?Giving customers post-purchase assistance is part of marketing management's remit in order to keep their business, foster brand loyalty, and improve the company's reputation. Additionally, it entails getting customer feedback to determine how satisfied customers are. Philip Kotler is widely regarded as the founder of contemporary marketing, and with 57 publications to his credit, it's easy to see why.
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Which statement is the BEST example of a point of view opposed to free trade?
Question 4 options:
Sheltering young industries allows them to grow and compete with foreign competitors.
Mutually lowering tariffs produces gains on both the supply and demand side.
Skilled worker migration works to reduce poverty.
Comparative advantage benefits developing nations.
The best example of a point of view opposed to free trade is: sheltering young industries allows them to grow and compete with foreign competitors. The Option A is correct.
Why are some arguments against Free Trade?One of the main arguments against free trade is that when lower-cost international competitors enter the market, domestic producers go out of business.
These argument is wrong because the loss of domestic jobs is accompanied by price reductions in consumer goods, and these benefits should not be overlooked when weighing the tradeoffs involved in protecting domestic production versus free trade.
Furthermore, free trade not only eliminates jobs in some industries, but it also creates jobs in others. This dynamic occurs because there are usually industries where domestic producers end up being exporters and because the increased income held by foreigners who benefit from free trade is used to buy domestic goods.
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now imagine a measure of well-being that includes time spent working in the home and taking leisure. true or false: the change in this measure of well-being would be less than the change in gdp.
A statement "the change in this measure of well-being would be less than the change in gdp." is true because the change in GDP must be less.
What is change in GDP?Rising GDP indicates that the economy is expanding and that the resources accessible to citizens - products and services, salaries and profits - are increasing. An rise in GDP raises money demand because consumers will need more money to execute the transactions required to acquire the additional GDP.
In other words, the transactions demand impact raises actual money demand. Real GDP is a measure of an economy's total products and services in a given year that takes into account price fluctuations.
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All of the following are tips experts recommend to job seekers using LinkedIn EXCEPT:
A. grow your network to connect with new people.
B. brand yourself as an expert in your career field.
C. don't be too presumptuous by showing how you can help a prospective employer.
D. make sure your profile is complete.
E. make sure your profile is current, even listing your present employer.
The correct answer is option c. All of the following are tips experts recommend to job seekers using LinkedIn EXCEPT: don't be too presumptuous by showing how you can help a prospective employer.
This can come across as pushy or overeager and may actually harm your chances of landing a job. Instead, it's important to focus on building relationships, showcasing your skills and experiences, and highlighting your qualifications in a professional and appropriate manner.
LinkedIn is a powerful tool for job seekers, offering a wealth of opportunities to connect with potential employers, showcase your skills and experiences, and build your professional network. However, it's important to use LinkedIn effectively in order to maximize its benefits.
Experts recommend several tips for job seekers using LinkedIn, including growing your network to connect with new people, branding yourself as an expert in your career field, and making sure your profile is complete and current, even listing your present employer.
Another important aspect of using LinkedIn is to regularly update your profile, including listing your current employer and highlighting any new skills, experiences, or qualifications. This will help keep your profile current and relevant, and increase your visibility to potential employers.
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What are the differences between cash and accrual basis accounting? Provide an example of each type. Briefly explain why a company might need to adjust entries in the general ledger.
Cash basis accounting records transactions only when cash is exchanged. Accrual basis accounting records transactions when they occur, regardless of when cash is exchanged.
Example of cash basis accounting: A company sells goods for $100 on January 1, but does not receive payment until January 15. In cash basis accounting, the company would only recognize the $100 as income on January 15 when it receives payment.
Example of accrual basis accounting: A company sells goods for $100 on January 1, but does not receive payment until January 15. In accrual basis accounting, the company would recognize the $100 as income on January 1 when the sale occurs, regardless of when payment is received.
A company may need to adjust entries in the general ledger to correct errors, to update accounts to reflect new information, or to align with accrual basis accounting principles.
For example, if a company forgot to record a sale that occurred in December, an adjusting entry would be made in January to correct the error.
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Which financial statements reports a company's assets and liabilities?
a. Income Statement
b. Statement of stockholders' equity
c. Balance Sheet
d. Statement of cash flows
The correct answer to this question is option a. Balance Sheet are the financial statements that report a company's assets and liabilities.
An organization's assets, liabilities, and shareholder equity are listed on a balance sheet, which is a financial statement. One of the three primary financial statements used to assess a company is the balance sheet. It offers a snapshot of the assets and liabilities of a corporation as of the publication date.
The balance sheet gives a quick overview of a company's assets, liabilities, and equity and is based on the fundamental accounting equation, or balance sheet equation: Assets = Liabilities + Equity.
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Suzy's Temporary Employee (STE) business, located in a big city, can do an online criminal background check in-house for $2. 24 per search with a fixed cost of $28,000. A third-party online security firm offered to do a similar security search for $8. 00 per person with an annual service contract with STE. If STE's forecast is 3,300 searches next year, should STE continue to do the search in-house or accept the third-party offer
Since the cost of the third-party offer is less than the cost of doing the background check in-house, STE should accept the third-party offer.
To determine the cost of doing the background check in-house, we can use the following formula:
Cost = (Number of searches * Cost per search) + Fixed cost
For in-house:
Cost = (3,300 * $2.24) + $28,000 = $7,912 + $28,000 = $35,912
For the third-party offer:
Cost = (3,300 * $8.00) = $26,400
Since the cost of the third-party offer ($26,400) is less than the cost of doing the background check in-house ($35,912), STE should accept the third-party offer.
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a consumer properly sued a used car dealership for fraudulent misrepresentation and breach of contract in federal court. the case proceeded through trial, and following closing arguments, the judge presented the jury instructions to the jury, but failed to give one of the jury instructions requested by the consumer. the consumer's attorney, however, did not object. instead, he decided to wait and see how the jury would decide the case. after deliberation, the jury returned a verdict for the car dealership. the consumer filed a timely appeal based on the judge's failure to give the requested jury instruction, alleging that this failure caused the jury to render its verdict in favor of the car dealership. how will the appellate court likely rule?
The decision of the appeals court will depend on the specifics of the case and the applicable legal norms, thus the outcome is unpredictable.
An appellate court is what?Appeals from judgements rendered by lower courts are considered by an appellate court, which is a higher court. It is the responsibility of an appeal court to review decisions made by lower courts and determine if any errors warranted the decision's reversal or modification.
What does India's appellate court do?A person may appeal a lower court's decision to a higher court in India under the appellate system if they believe it to be unfair.
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TO obtain your first driver's license, you must successfully complete several activities. First, you must produce the appropriate identification. Then, you must pass a written test. Finally, you must pass the road test. At each of these steps, 10 percent, 15 percent, and 40 percent of driver's license hopefuls fail to fulfill the step's requirements. You are only allowed to take the written test if your identification is approved, and you are only allowed to take the road test if you have passed the written test. Each step takes 5, 3, and 20 minutes, respectively (staff members administering written test need only set up the applicant at a computer). Currently the DMV staffs 4 people to process license applications, 2 to administer written tests, and 15 to judge the road test. DMV staff work 8 hours per day. What is the bottleneck according to the current staffing plan? What is the capacity of the process (expressed in approved cases per day)?
The total number of candidates that are able to take the evaluation test = is 960/3 =320 candidates
According to the existing personnel, there is a 2 bottleneck-
hours spent working on each segment in total
=4x8=36
=2x8=16
=5x8=40
Bottleneck
36 x.9 =32.4 hours candidates will only move forward for the next step
16 x .85 =13.6 hours will only move forward for the next step
40 x .6 =24 hours will only move forward for the next step
In manufacturing systems (such as an assembly line or computer network), a bottleneck is an area of pressure that stops or severely slows down the process. Production stops and costs go up as a result of the bottleneck's inefficiencies.
The term "bottleneck" refers to a bottle's typical shape and the fact that its neck is its thinnest point, increasing the likelihood of congestion and attempting to impede the flow of water out of the bottle. Long-term and short-term impediments are separated into their respective groups. Temporary conditions like staff members who are on vacation or sick leave frequently result in a temporary bottleneck.
The delayed process has a bottleneck when compared to other activities, according to the conclusion drawn from the aforementioned solution discovery procedure.
3. Maximum number of candidates for the assessment test
Exam time will take 3 minutes
The total number of working hours per day = 16
Number of working hours into minutes=16 x 60 =960 minutes
The total number of candidates that are able to take the evaluation test = is 960/3 =320 candidates
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best discount store uses the perpetual system and had a sale on account to julie smith of $5,000 with terms 3/10, n/30. ms. smith did not pay within the discount period. the journal entry to record receiving payment from the sale on account would be:
Cash is received in the amount of $4,850(debit), which needs to be deducted from Accounts Receivable of $4,850 (credit).
What are Accounts Receivable?
The term "accounts receivable" describes the unpaid bills or cash that customers owe a business. The term describes accounts that a company is entitled to get since it has provided a good or service. Receivables, also known as accounts receivable, are a company's line of credit that typically include terms that call for payments to be made within a somewhat short time frame. A few days to a fiscal or calendar year are usually included. Due to the customer's legal duty to pay the debt, businesses include accounts receivable as an asset on their balance sheets. They are regarded as liquid assets since they can be pledged as security against a loan to cover immediate expenses.
At the time the income was recorded, a discount of $150 (.03 * 5,000) had already been deducted from Accounts Receivable and Service Revenue. The balance due from Ms. Smith is $4,850 ($5,000 - $150), which must be paid.
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would the cost of job 114, as reported on the job cost record, have been different had the company used "direct labor cost" as the moh allocation base, rather than "direct labor hours"?
The use of "direct labor cost" as the allocation base for overhead costs would result in a different cost of job 114, as reported on the job cost record, compared to if "direct labor hours" were used. This is because the "direct labor cost" takes into account both the number of hours worked and the rate of pay for each worker.
In cost accounting, companies use various allocation bases to determine the overhead costs associated with a particular job or product. One such allocation base is "direct labor hours", which assigns overhead costs based on the number of hours of direct labor used in the production of the job. However, companies can also choose to use "direct labor cost" as the allocation base.
For example, if worker A works 10 hours and is paid $20 per hour, while worker B works 5 hours and is paid $30 per hour, then the total direct labor cost for worker A would be $200 (10 hours * $20 per hour) and the total direct labor cost for worker B would be $150 (5 hours * $30 per hour). If the company uses "direct labor cost" as the allocation base, then overhead costs would be assigned based on the total direct labor cost of each worker, rather than just the number of hours worked.
On the other hand, if the company uses "direct labor hours" as the allocation base, then overhead costs would be assigned based solely on the number of hours worked, regardless of the rate of pay for each worker. This means that if worker A and worker B both worked the same number of hours, they would be assigned the same amount of overhead costs, even though their total direct labor cost is different.
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Marketing research involves all of the following regarding information EXCEPT:
identification.
collection.
analysis.
manipulation.
dissemination.
Market research involves identification, collection, analysis, and dissemination. Hence, all options are correct EXCEPT manipulation.
Market research is a means of gathering information about certain markets and target customers. Market research firms and trade associations give statistics and statistical reports on current and projected market trends.
Typical steps in doing market research includes:
Identify and define the problem or research questionsMake the planCollect data and informationAnalyze data and the findingsDisseminate the results in a report, paper, or other publications.It's sometimes necessary to put up a summary of the study, including the process you used, the results, the conclusions, and the next steps you recommend based on those results.
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consider the supply chain involved when a customer orders a book from amazon. identify the push and pull boundary and two processes each in the phases of push and pull.
The supply chain involved when a customer orders a book from amazon. Push boundary: Amazon ordering system
Pull boundary: Amazon's shipping system
Push processes:
1. Inventory Management: Amazon must track its inventory to ensure that the ordered item is in stock when the customer places their order.
2. Product distribution: Amazon must ensure that the product is shipped to the customer on time.
Pull processes:
1. Order Fulfillment: Amazon must receive the order from the customer, process the payment, and then fulfill the order.
2. Shipping and Logistics: Amazon must ensure that the order is shipped to the customer using the most efficient and cost-effective shipping method.
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startups are fun and while they have inherent risks, they can often be more engaging to work in than a large corporation. some of the differences in working for a startup versus a corporation might include:
If you work in corporate, it's possible for someone else to quickly take your place, especially if you've only recently started. In contrast, you can eventually develop special knowledge and experience in a startup. The more experience you have, the more valuable you are to a startup.
An organization in its early phases of existence is referred to as a startup. Entrepreneurs that desire to create a product or service they think there is a market for launch startups. A startup is a business that has not been around for more than three to five years. making use of a cutting-edge/disruptive business approach or technology. aiming for a sizeable team and income growth. A small firm is more concerned with building and sustaining a steady and consistent revenue stream while a startup is more focused on fast growing and becoming a much bigger corporation. In no way are they attempting to scale up.
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The differences in working for a startup versus a corporation might include:
What Is Times Interest Earned Ratio?
The interest coverage ratio, sometimes referred to as the times interest earned ratio, is a financial indicator used to assess a company's capacity to service its debt. It is computed by dividing the interest expenditures by the profits before interest and taxes of the firm.
How is Times Interest Earned Ratio determined?By dividing a company's profits before interest and taxes (EBIT) by its interest expenditures, the times interest earned ratio (TIE) is calculated. Following is the formula:
EBIT / Interest Expenses = TIE
EBIT is computed by deducting operational costs from overall revenue of the firm. Interest expenditures are the sum that a business must pay in interest on its outstanding debt.
The resultant ratio displays the multiple by which a business's profits can pay its interest costs. While a low TIE ratio could be a sign of financial strain and a higher likelihood of default, a high TIE ratio suggests that a corporation has a solid capacity to satisfy its debt commitments.
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