review the statements below and select the one which is correct regarding the effect that reversing entries have on financial statements. multiple choice question. A. expenses and liabilities will be higher when reversing entries are used. B. assets and revenues will be lower when reversing entries are used. C. net income will be higher, but total assets will be lower. D. financial statements are unaffected by the choice to use or not use reversing entries.

Answers

Answer 1

The net income will rise even as the total assets decline. Assets and revenues will be lower when using reverse entries. Hence, choice c is the appropriate one of given question.

Which of the following statements best encapsulates the sequence in which the financial statements should be prepared?

An income statement, a statement of stockholders' equity, a balance sheet, and a statement of cash flows are all acceptable answers.

Which of the following could be undone during the next financial reporting period?

Entries for accruing earnings, unearned revenues, prepaid expenses, and accrued expenses may be reversed at the start of the period.

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Related Questions

On December 30, Mega Industries pays employee salaries of $50,000 in cash. When posting the journal entries related to this transaction, Mega’s accounting staff credits Cash for $50,000 and credits Accounts Payable for $50,000. Which of the following statements best describes the results of this posting?
a. In Mega’s general ledger, the ending balance for the Cash account will be too high, while the ending balance for the Accounts Payable account will be too low.
b. In Mega’s general ledger, the ending balance for the Cash account will be correct. However, the ending balance for the Accounts Payable account will be too low and the ending balance for the Salaries Expense account will be too high.
c. In Mega’s general ledger, the ending balance for the Cash account will be too low, while the ending balance for the Accounts Payable account will be too high.
d. In Mega’s general ledger, the ending balance for the Cash account will be correct. However, the ending balance for the Accounts Payable account will be too high and the ending balance for the Salaries Expense account will be too low.

Answers

The ending balance for the Cash account in Mega's general ledger will be too high, while the ending balance for the Accounts Payable account will be incorrect.

What are accounts payable?

A liability account called accounts payable (AP) keeps track of the sums due by a business to its suppliers or vendors for products or services received but not yet paid for. AP is a crucial part of managing a firm's working capital since it represents the debts a company has to its creditors. AP is a crucial component of a business' balance sheet and is used to determine the current ratio, which serves as a liquidity indicator. To preserve positive working relationships with their suppliers, control cash flows, and prevent liquidity issues, businesses must manage their AP balances correctly. When an invoice is received, AP is normally recorded, and it is decreased when the invoice is paid.

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if the price of good a increases and, as a result, the demand for good b decreases, then goods a and b are considered to be ______.

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If the price of good a increases and, as a result, the demand for good b decreases, then goods a and b are considered to be substitute goods.

Many times, two or more products can be utilized for a similar purpose and are therefore somewhat interchangeable if they are substitute goods. Customers frequently choose Commodity B instead of Commodity A when the price of one of these substitute items (in this case, Commodity A) rises in order to fulfil their needs or desires. In turn, this causes the demand for the replacement item (Commodity B) to rise while falling for the original good (Commodity A). The substitution effect is what is meant by this.

For instance, if the cost of coffee (Commodity A) goes up, some customers might decide to switch to tea (Commodity B), which could result in a decline in coffee demand and an increase in tea demand.

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Identifying, assessing, and managing the risks and day-to-day changes that occur during a project best defines which of the following project manager activities?
A) Conflict management
B) Risk and change management
C) Team management
D) Customer relations
E) Technical problem solving

Answers

The risk and change management has a function to Identifying, assessing, and managing the risks and day-to-day changes that occur during a project. So the correct option is B. Risk and change management.

In the term of business and organizations management, Risk management generally can be defined as the identification, evaluation, and prioritization of risks. The risk management action is followed by coordinated and economical application of resources. Risk management has an important function to minimize, monitor, and control the probability or impact of unfortunate events. In the other side, risk management has a function to maximize the realization of opportunities.

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Assume Jones Manufacturing begins January with 10 units of inventory that cost $10 each. During January, the following purchases and goods sold were: $111 Jan 5 Purchased 8 units at S11 7 Sold 11 units 15 Purchased 6 units at S12 30 Sold 15 units $118 $188 Using the FIFO inventory costing method and the perpetual system, how much is Costs of Goods Sold for the sale of January 7 I DON'T KNOWYET submit

Answers

Given that the business uses FIFO, you would require 1 additional unit from the following transaction at a price of $11 each unit. As a consequence, the Cost of Sales for both the January 7 sale is equal to $111 (10 units at $10 each plus 1 item at $11).

How is the cost of items sold determined?

The cost of any new merchandise acquired throughout the covered period is added to the stock value at the start of the study period to determine the price of goods sold (COGS).

What do COGS and expenditures mean?

When comparing these two lines, the cost of selling goods solely accounts for the spending related to producing the things you sold throughout the year, whereas your expenses

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Which of the following describes the correct order of how financial statements are prepared from the information taken from the trial balance?
Identify all revenues and expenses, Compute net income, Compute the ending retained earnings balance, Prepare a balance sheet
Compute the ending retained earnings balance, Compute net income, Prepare a balance sheet, Identify all revenues and expenses
Compute net income, Identify all revenues and expenses, Compute the ending retained earnings balance, Prepare a balance sheet
Identify all revenues and expenses, Prepare a balance sheet, Compute the ending retained earnings balance, Compute net income

Answers

The correct order of how financial statements are prepared from the information taken from the trial balance is to first identify all revenues and expenses, then compute net income, and finally compute the ending retained earnings balance.

The trial balance is a listing of all the general ledger accounts and their balances, and is used to ensure that debits and credits are equal in the accounting system. From the trial balance, the next step is to identify all revenues and expenses by classifying the accounts into those categories. Once all revenues and expenses have been identified, the net income can be calculated as the difference between total revenues and total expenses. Finally, the ending retained earnings balance can be calculated by adding net income to the beginning retained earnings balance and subtracting any dividends paid during the period. These calculations are used to prepare the balance sheet, which reports the company's assets, liabilities, and equity at a specific point in time, and the income statement, which reports the company's revenues and expenses over a specific period of time.

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the shape of the average total cost curve reveals information about the nature of the barrier to entry that might exist in a monopoly market. which of the following monopoly types best coincides with the figure? * 1 point ownership of a key resource by a single firm natural monopoly government-created monopoly a patent or copyright monopoly

Answers

The shape of the average total cost curve reveals information about the nature of the barrier to entry that might exist in a monopoly market. Monopoly types best coincides in the "natural monopoly".

The monopoly market is the market in which the seller is single seller with a unique product in the whole market. The monopoly is of two types natural monopoly and legal monopoly.

In the natural monopoly in which the  circumstance of the high start-up costs and the economics of the scale lead to only one company. The shape of the average total cost curve reveals information about the nature of the barrier to entry that might exist.

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TRUE/FALSE. Companies decide each year’s dividend by looking at their capital expenditure requi- rements and then distributing whatever cash is left over.

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After deducting capital expenses and dividend payments, operating activities' net cash flow is referred to as free cash flow.

Dividends are a portion of profits and retained earnings that a publicly traded firm distributes to its investors or shareholders in exchange for their financial support of the enterprise. Free cash flow less cash supplied by activities and capital expenditures equals dividends paid. Free cash flow, which is the cash provided by operations less capital expenditures and cash dividends, is not included in the statement of cash flows. The cash supplied by operational operations in the Statement of Cash Flow does not account for the fact that a business must invest in new real estate, plant, and equipment in addition to continuing to pay dividends at the same rate to investors. After deducting capital expenses and dividend payments, operating activities' net cash flow is referred to as free cash flow.

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According to many philosophers, ethical duties should be ___ ___, which means that a person much obey fundamental ethical rules no matter what.

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According to many philosophers, ethical duties should be categorical imperatives, which means that a person much obey fundamental ethical rules no matter what. The Greek word "ethos," which means "way of living," is the root of the English word "ethics."

A branch of philosophy called ethics studies how people behave, especially in social situations. The idea that every business has obligations to others is the cornerstone of duty-based ethics. The categorical imperative states that it is acceptable to make an unethical decision that has a negligible impact as long as no other members of society do the same. Outcome-based ethics addresses accepted norms of behaviour.

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Prepare the 2021 statement of cash flows for Smolira Golf Corp. (Negative answers should be indicated by a minus sign.) \begin{tabular}{|l|} \hline \multicolumn{1}{|c|}{ SMOLIRA GOLF CORPORATION } \\ \hline Statement of Cash Flows \\ \hline Fash, beginning of the year \\ \hline Operating activities \\ \hline \end{tabular} \begin{tabular}{|l|} \hline Net cash from investment activities \\ \hline Financing activities \\ \hline \end{tabular}

Answers

The 2021 statement of cash flows for Smolira Golf Corp. will include a section for cash flows from operating activities, net cash from investment activities, and financing activities.

What is cash flow?

Cash flow is the movement of money into and out of a business, individual, or other entity. It is the net amount of cash and cash-equivalents being transferred into and out of an organization. Cash flow can refer to the money flowing in and out of business activities, such as operating, investing, and financing activities, as well as any other external sources of money entering or leaving the company.

The cash flows from operating activities will include the cash generated from sales and other income, as well as the cash used to purchase inventory and pay expenses. The net cash from investment activities will include the cash generated from any investments made during the year, such as the sale or purchase of fixed assets. The financing activities will include the cash generated from any borrowing or other financing activities, such as the issuance of debt or equity. Finally, the statement will also include the cash balance at the beginning of the year.

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The component costs of capital are market-determined variables in the sense that they are based on investors' required returns. True or False

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The answer is true, The component costs of capital are market-determined variables in the sense that they are based on investors' required returns is true.

What does the term "market" in economics mean?

The entire number of buyers and sellers in the area or region under consideration is referred to as the market. Earth, as well as several nations, regions, states, and cities, may be the subject. The worth, expense, and cost of the goods traded depend on the forces of supply and demand in the market.

What is a good illustration of market economics?

In a market economy, activity happens at random. It is not governed by a centralized body; rather, the supply and demand for goods and services decide it. Japan, England, and the United States are all instances of market economies.

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suppose that there are two independent economic factors, f1 and f2. the risk-free rate is 6%, and all stocks have independent firm-specific components with a standard deviation of 45%. portfolios a and b are both well-diversified with the following properties:

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The relationship between the two economic factors will be as follows: 6.00% + 8.56% BP1 + 6.08% BP2.

Which seven economic elements are there?

The presence of a viable market, affordable land, high plant yields, well-developed plantation methods, a competent labor force, strong research support, and a robust supporting infrastructure to assure cost-effective transport to markets are important considerations.

The importance of economic factors

Economic issues, which can affect the economy directly, include things like interest rates, laws, salaries, and tax rates. These sorts of elements affect a business's worth as an investment. Important company choices can be influenced by actually listening to these external factors.

The return beta relationship is computed as shown below:

Expected return on A = risk free rate + Beta on M1 x risk premium 1 + Beta on M2 x risk premium 2

Expected return on B = risk free rate + Beta on M1 x risk premium 1 + Beta on M2 x risk premium 2

26 = 6 + 1.2 x risk premium 1 + 1.6 x risk premium 2 (Equation 1)

23 = 6 + 2.1 x risk premium 1 - 0.16 x risk premium 2 (Equation 2)

Multiply 1st equation by 7 and 2nd equation by 4. We shall get

182 = 42 + 8.4 risk premium 1 + 11.2 risk premium 2

92 = 24 + 8.4 risk premium 1 - 0.64 risk premium 2

Now we shall subtract equation 2 from equation 1 and shall get:

90 = 18 + 11.84 risk premium 2

72 / 11.84 = risk premium 2

6.081081081 or 6.08 Approximately = risk premium 2

Plugging risk premium 2 in equation 1 and solve:

26 = 6 + 1.2 risk premium 1 + 1.6 x 6.081081081

16.27027027 = 6 + 1.2 risk premium 1

10.27027027 = 1.2 risk premium 1

8.56 Approximately = risk premium 1

So, the relationship will be:

6.00% + 8.56% BP1 + 6.08% BP2.

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Complete question:

FILL IN THE BLANK. Nina can choose to receive $5,000 today or $5,000 a year from now. If she takes the money now and invests the money at a 6% interest rate (after tax), she will have $____ one year from now. (The answer should be in the form of amounts rather than words.)

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Nina can choose to receive $5,000 today or $5,000 a year from now. If she takes the money now and invests the money at a 6% interest rate (after tax), she will have $5300 one year from now.


How to find the future value?

If Nina takes the money now and invests it at a 6% interest rate (after tax), she will have $5,300 one year from now.

To calculate, the formula is:

Future value = Present value x (1 + interest rate)

Future value = $5,000 x (1 + 0.06)

Future value = $5,000 x 1.06

Future value = $5,300

Therefore the future value is $5300.

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another example of social relationships causing human capital mobility is the of talent from an organization to form . multiple choice stability; bail-outs emigration; bail-outs relocation; new business units emigration; start-up ventures

Answers

The example of social relationships causing human capital mobility is the movement of talent from an organization to form new business units, or start-up ventures.

What is Human Capital?

Human capital refers to the knowledge, skills, abilities, and other intangible assets that an individual possesses, which can be used to create economic value. It encompasses a wide range of attributes, such as education, experience, training, creativity, innovation, and problem-solving abilities, as well as social and emotional intelligence.

Human capital is considered a critical factor for economic growth and development, as it drives innovation, productivity, and competitiveness in a knowledge-based economy. Moreover, investments in human capital, such as education and training, can lead to higher earnings, improved job prospects, and better quality of life for individuals and society as a whole.

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Why might a company invest in the securities of another company?

Answers

A company may invest in the securities of another company for a variety of reasons, including potential financial gain, diversifying their portfolio, or access to new technologies or markets. For example, a company may purchase stocks in another company to gain access to their expertise or access to new products.

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which of the following primary data techniques would be best suited to gathering reliable data in a target population of young children?

Answers

In general, interviews and focus groups are considered to be more acceptable and successful than surveys when gathering data directly from children.

Why focus groups are preferable to surveys

Studying through surveys - Surveys are less customized and participative, but they can also be more cost-effective and produce more quantifiable data that is simple to analyze. Focus groups often lead to fruitful discussions, but they may be expensive and time-consuming, and they can also produce qualitative data that is occasionally harder to comprehend.

What advantages do child focus groups offer?

Focus groups can help researchers learn about the viewpoints, original ideas, and insights of kids that are typically overlooked in more traditional pediatric research. Another cutting-edge technique for learning about children's experiences from a developmental perspective is focus groups.

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The complete question is:

which of the following primary data techniques would be best suited to gathering reliable data in a target population of young children?

(a). interviews

(b). focus groups

(c). Surveys

Don and Kim have entered into a contract for the purchase of a car. Don has paid money for the car, but Kim has not yet delivered it. This is an:
a. implied contract
b.illusory contract
c.executed contract
d.executory contract

Answers

Option D is correct. This is an executory contract.

What is an executory contract?

An executory contract is an ongoing arrangement between two parties that places certain duties on them to be fulfilled over a predetermined time frame. They are contracts in writing that guarantee each party is aware of their obligations as well as those of the other.

What are the basic types of contracts?

Fixed-price and cost-reimbursement contracts are the two primary categories that are most frequently used in federal government contracts. Incentive contracts, time-and-materials agreements, labor-hour agreements, contracts for indefinite delivery, and letter agreements are other contract forms.

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The __________ clause gives you the right to reinstate your life insurance policy by paying all back premiums, interest, and policy loans. This feature typically must be exercised within a few years from the time the policy lapses.1. incontestability clause2. misstatement of age provision3. policy reinstatement4. the grace period

Answers

The C: policy reinstatement clause gives you the right to reinstate your life insurance policy by paying all back interest, premiums, and policy loans. This feature generally must be exercised within a few years from the time the policy lapses.

The policy reinstatement clause in a life insurance policy allows the policyholder to reinstate their coverage after it has lapsed by paying all the back premiums, interest, and policy loans owed. This option typically must be exercised within a few years from the time the policy lapsed. The policy reinstatement clause provides an opportunity for individuals who have allowed their life insurance coverage to lapse to resume their coverage without having to go through the application process again.

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Mr. Youngher arrives at his interview for a community relations internship with Bethlehem Electric in Chicago five minutes late and in a rumpled suit. When he is introduced to the chief marketing officer, Mr. Youngher moves in close as they shake hands and winks. The executive takes a step back. Read the following scenario and answer the question. What advice or tips would you give Mr. Youngher as he prepares for other interviews? He should associate with people from diverse cultures to learn about the various customs he'll encounter in the workplace. He should cancel his appointments and clear his schedule when preparing for interviews, so he's not late. He should learn to appreciate the power of appearance and improve his decoding skills to be a better reader of others' reactions.

Answers

Based on the scenario described, I would advise Mr. Youngher to learn to appreciate the power of appearance and improve his decoding skills to be a better reader of others' reactions.

Why is this important?

It is important to dress appropriately and make a good first impression during interviews and to be aware of nonverbal cues and adjust his behavior accordingly.

Additionally, it's important for him to prioritize punctuality and arrive on time to future interviews so he can have a favorable response.

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a pension fund manager is considering three mutual funds. the first is a stock fund, the second is a long-term government and corporate bond fund, and the third is a t-bill money market fund that yields a sure rate of 5.5%. the probability distributions of the risky funds are: expected return standard deviation stock fund (s) 17% 32% bond fund (b) 11% 23% the correlation between the fund returns is 0.25. problem 6-8 (algo) required: what is the expected return and standard deviation for the minimum-variance portfolio of the two risky funds? (do not round intermediate calculations. round your answers to 2 decimal places.)

Answers

The standard deviation would be  35%.

What is standard deviation?

Standard deviation is a statistical measure that describes the amount of variability or dispersion in a set of data. It measures how much the data values differ from the average or mean value of the data set.

A smaller standard deviation indicates that the data points tend to be closer to the mean, while a larger standard deviation indicates that the data points are more spread out.

In the above case, the standard deviation would be  35%.

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next, you and liz discuss some of the problems that can occur in the various phases in the decision-making process. for example, when defining the problem, liz should be careful:

Answers

We commonly observe specific instances of logical decision-making when making significant life decisions. It adheres to a strict procedure founded on logic and factual data.

Rational decision-making is the opposite of intuitive decision-making It requires recognizing the problem that has to be solved, gathering data, finding options and outcomes, evaluating them, considering all the linkages, and coming to a decision. Examples include choosing what to do with your life after high school, expanding your business significantly, or moving your family. Decision-making, which is also spelled decision-making, is the cognitive process that leads to the choice of a belief or a plan of action from a wide range of viable alternative possibilities. It might be both illogical and sensible at the same time. At the conclusion of any decision-making process, a decision is reached, and that decision may or may not result in action.

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the formula to compute the profit margin of a company is (net income/accounts receivable/net sales) divided by (net income/cash/net sales). True or False

Answers

The formula used to determine a company's profit margin, which divides net income/accounts receivable/net sales by net income/cash/net sales, is flawed. Thus, it is true.

What is meant by Profit Margin?

By dividing revenue by income, the profit margin can be used to calculate how much money a firm or business activity makes. The profit margin, which can be stated as a percentage, indicates how much profit was produced for each dollar of sales.

Profitability is assessed using the profit margin. By computing profit as a percentage of revenue, it is determined. . Low profit margin firms are nevertheless capable of surviving. Profit margins could be positive or negative.

Therefore, it is true that  profit margins are typically expressed as percentages. For instance, a business would have a 60% profit margin and a profit margin of $0.60 per dollar of revenue.

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financial budgets blank . multiple select question. include the capital expenditures budget impact the budgeted balance sheet include the cash budget impact the budgeted income statement

Answers

Financial budgets are essential tools for planning and managing the financial resources of an organization.

They help in estimating the revenues and expenses of a company, setting financial targets, and monitoring the financial performance of the company. Two important financial budgets are the capital expenditures budget and the cash budget. The capital expenditures budget is a forecast of the company's expenditures on long-term assets such as buildings, machinery, and equipment. This budget impacts the budgeted balance sheet by increasing the value of the company's assets, which in turn affects the company's equity and liabilities. If the company plans to spend more on capital expenditures, it may need to borrow more funds, which will increase its liabilities. The cash budget, on the other hand, is a forecast of the company's expected cash inflows and outflows for a specific period. It impacts the budgeted income statement by estimating the net cash flow from operating activities. The net cash flow is then used to calculate the company's net income, which is an essential component of the budgeted income statement. In summary, the capital expenditures budget impacts the budgeted balance sheet, while the cash budget impacts the budgeted income statement. Both budgets are critical in financial planning and management as they help in ensuring that the company has adequate financial resources to achieve its goals and objectives.

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For publicly traded firms, these ratios measure what investors think of the company's future performance and risk.
A. Liquidity ratios
B. Market value ratios
C. Price value ratios
D. Profitability ratios

Answers

The correct answer is B. Market value ratios. Market value ratios are used by investors to determine how the stock market values a company.

Market value ratios provide insights into investors' expectations for a company's future performance and risk. These ratios include the price-to-earnings ratio (P/E ratio), which compares a company's stock price to its earnings per share, and the price-to-book ratio (P/B ratio), which compares a company's stock price to its book value. A high P/E ratio suggests that investors expect the company to have strong future earnings growth, while a low P/E ratio suggests the opposite. Similarly, a high P/B ratio implies that investors believe a company's assets are undervalued, while a low P/B ratio suggests the opposite. Other market value ratios include the market-to-book ratio (M/B ratio), which compares a company's market value to its book value, and the dividend yield ratio, which measures the return on investment through dividends paid by the company. In summary, market value ratios provide valuable insights into investors' perceptions of a company's future prospects and risks, which are important considerations when making investment decisions.

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The power adapters that Dell sells with its computers are built by small companies that specialize in power related accessories. When Dell purchases its power adaptors from those small companies, it is involved in B2B marketing
True
False

Answers

True. The power adapters that Dell sells with its computers are built by small companies that specialize in power related accessories. When Dell purchases its power adaptors from those small companies, it is involved in B2B marketing

What is B2B marketing?

When Dell purchases power adapters from small companies that specialize in power-related accessories, it is involved in business-to-business (B2B) marketing. B2B marketing involves transactions between two or more businesses, rather than between a business and individual consumers.

In this case, Dell is purchasing goods from other businesses (the small companies that specialize in power-related accessories) to use in the production of its own products. The focus of B2B marketing is on building long-term relationships between businesses, identifying the unique needs of business customers, and creating value for both parties involved in the transaction.

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Which of the following factors is not a reason forensic investigators are increasingly used in accounting?a New accounting rules.b Pressure from boards of directors.c The Sarbanes-Oxley Act.d Audit fee increases.

Answers

The correct option is D. Audit fee increases factors are not a reason forensic investigators are increasingly used in accounting.

An account is a particular report inside an employer's financial ledger or balance sheet. Accountants, finance experts, and bookkeepers can use debts to report important financial records, like reporting day-by-day transactions to confirm the exact amount of money an organization has at any moment.

In accounting, an account is a document within the famous ledger this is used to kind and maintain transactions. as an example, groups may additionally have an account of a coin wherein to file every transaction so one can increase or decreases the business enterprise's cash. fundamental accounting ideas used in commercial organizations globally cover income, charges, belongings, and liabilities. the one's elements are tracked and recorded in documents which encompass stability sheets, income statements, and cash glide statements.

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Which of the follow statements is true regarding the relevant range?
Total fixed costs can differ from one relevant range to another.
All of the statements are true.
The variable cost per unit can differ in various relevant ranges.
It is the volume where total fixed costs and variable cost per unit remain constant.

Answers

All of the given statements here are true regarding the given relevant range.

A specific level that is restricted by a maximum and minimal quantity is referred to as the relevant range. Certain revenue or spending increases are predictable within the defined parameters. Expenses and revenues outside of that pertinent range are most likely to differ from what has anticipated. The following two kinds of research make usage of the pertinent range idea particularly well. A business, service, or activity's projected cost is so much more likely to be true inside a time frame and less accurate outside of that range. Particularly, a "fixed" charge is only most likely to be true within an appropriate spectrum of activities. Additionally, suppliers' volume discounts are only applicable to specific buying volume numbers.

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how to evaluate assets and liabilities to determine their function in an accounting system. accounting

Answers

In accounting, assets are resources that a company owns and can use to generate future economic benefits, while liabilities are obligations that a company owes to others. To determine their function in an accounting system, you should evaluate assets and liabilities in terms of their liquidity, or the ability to convert them into cash.

Assets are usually listed in order of their liquidity, with cash and cash equivalents at the top, followed by short-term investments, accounts receivable, inventory, and fixed assets. Liabilities are also listed in order of their due date, with short-term liabilities, such as accounts payable and current portion of long-term debt, at the top, followed by long-term liabilities, such as bonds and mortgages.

By evaluating assets and liabilities in this way, you can determine their role in the accounting system, such as how they are used to generate revenue, how they are financed, and how they contribute to the overall financial health of the company.

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when setting up displays and arranging products, how many inches must be maintained for a clea erpath in all asiles, depatmens and distances between fixed shelves

Answers

It is necessary to plan open office spaces to create two exits with obvious, continuous paths. The minimum aisle width for life safety considerations in shared office spaces with established aisles between desks or cubicles is 28 inches, or 32 inches if wheelchair access is needed.

How do you define products?

A product is the item that is being sold. A product can be either an item or a service. Each product has a price and a cost connected with it. The price that can be charged is influenced by the market, the product's quality, its marketing, and the target market. You cannot use any of the other three components of the marketing mix if you don't have a product. Furthermore, outstanding items are simple to advertise because they fulfil both needs and wants.

What is characteristic of a product?

Product characteristics are the tangible qualities of the item that need to be controlled. Size, form, weight, colour, quality, hardness, and other attributes are a few examples of product qualities. Depending on your product and how its functional design criteria have been developed, the list of product attributes may vary.

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Which of the following would be counted as investment when calculating gross domestic product?
A) The purchase of a used computer by an auto manufacturer
B) The purchase of a share of IBM stock by an employee
C) The construction of a new house
D) The construction of roads by the government
E) The profit earned when selling shares of stock

Answers

The construction of a new house would be counted as an investment when calculating gross domestic product. Thus, option C is correct.

What is the investment?

An investment is a portion of the money that an individual, company, or business will put into something. This will generate income or revenue from the same investment in the future.

The investment that will be made with respect to the new house is an investment. This will generate income or profit in the near future as the price of the house will increase. This was to make the GDP of the country will increase.

Therefore, option C is correct.

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Chris asks Sarah to cosign, but she says that she doesn't have a good credit history. Which of the following make her unable to cosign for Chris?
answer choices
She has very little debt which affects her capacity.
She has made late payments which affects her character.
She owns her condo which affects her collateral.
She has a good character since she pays all credit card bills in full.

Answers

Sarah's statement about her credit history suggests that option (c) she owns her condo which affects her collateral, as her creditworthiness would be considered insufficient by most lenders.

Credit is an essential component of the modern economy, and it refers to the ability of a borrower to obtain money or goods with the promise of paying it back in the future.

When someone cosigns a loan, they are essentially agreeing to be responsible for the debt if the primary borrower defaults on the loan. As a result, lenders will evaluate the cosigner's credit history to assess their ability to repay the debt if necessary. Sarah's poor credit history, as indicated by her statement, would be a red flag to lenders, indicating that she may not be a reliable cosigner.

Specifically, the late payments she has made would suggest that she may not be able to make timely payments on the loan, while having very little debt would not necessarily help her case, as lenders may prefer to see a track record of successfully managing credit.

On the other hand, owning a condo would not necessarily impact her ability to cosign, as this is not typically considered collateral for a loan. Good character, as demonstrated by paying credit card bills in full, is a positive sign, but it may not be enough to offset a poor payment history.

Therefore, option(c) is correct.

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