Sunland Company sells merchandise on account for $2300 to Morton Company with credit terms of 2/15, n/30. Morton Company returns $700 of merchandise that was damaged, along with a check to settle the account within the discount period. What entry does Sunland Company make upon receipt of the check

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Answer 1

Sunland Company will need to record two entries upon receipt of the check from Morton Company. First, they must address the return of damaged merchandise worth $700. Second, they need to record the receipt of payment within the discount period.

1. To account for the returned merchandise, Sunland Company will debit Sales Returns and Allowances for $700 and credit Accounts Receivable for $700. This entry reduces the revenue from the sale and the amount owed by Morton Company.

2. The original sale amount was $2300, and after the return, it is reduced to $1600. Since Morton Company pays within the discount period, they are entitled to a 2% discount on the remaining balance ($1600 x 0.02 = $32). Therefore, Morton Company's payment will be $1568 ($1600 - $32). Sunland Company records the receipt of payment by debiting Cash for $1568, debiting Sales Discounts for $32, and crediting Accounts Receivable for $1600.

These entries ensure that Sunland Company accurately reflects the returned merchandise, the offered discount, and the payment received from Morton Company.

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Related Questions

Which of the following is not at the generic competitor level for Ford's Expedition sport utility vehicle? Group of answer choices Schwinn mountain bike Taxicab ride Enterprise car rental Ford’s Escape SUV Harley Davidson motorcycle

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The Schwinn mountain bike is not at the generic competitor level for Ford's Expedition sport utility vehicle.

A generic competitor level refers to products or services that are not direct competitors but serve the same purpose or provide similar benefits to the target market. In this case, the Ford Expedition sport utility vehicle's generic competitor level would include other modes of transportation that are used for recreation or travel.

The Taxicab ride and Enterprise car rental can be considered at the generic competitor level as they both offer transportation services for travelers. Ford's Escape SUV is a direct competitor of the Expedition as they are both SUVs manufactured by Ford. The Harley Davidson motorcycle is a recreational vehicle that can also be considered at the generic competitor level.

However, the Schwinn mountain bike is not a mode of transportation that can be used for travel or recreation in the same way as an SUV or motorcycle. Therefore, it is not at the generic competitor level for Ford's Expedition sport utility vehicle.

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1. Discuss the relationship between net income and cash flow from operations for each of the three years.

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Net income is the profit that a company has earned after deducting all expenses and taxes from its revenue. Cash flow from operations, on the other hand, is the amount of cash that a company generates from its core business operations.

Now, let's look at the relationship between net income and cash flow from operations for each of the three years. If the company has a positive net income, it means that it has made a profit. However, this profit may not necessarily translate into cash in hand. For example, if the company has sold its products on credit, it may have earned revenue but not received cash yet. In this case, the cash flow from operations may be lower than the net income.

Conversely, if the company has a negative net income, it means that it has incurred losses. However, this may not necessarily mean that it has no cash in hand. The company may have received cash from its customers, which can increase the cash flow from operations.

Therefore, the relationship between net income and cash flow from operations can vary depending on the company's operating activities. In general, a positive net income should ideally result in a positive cash flow from operations, as the company should be receiving cash from its customers. However, if the company is investing heavily in its business or paying off debt, its cash flow from operations may be lower than its net income.

In summary, while net income and cash flow from operations are related, they are not always directly proportional. The relationship between the two can vary depending on the company's operating activities and investment decisions.

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When the Federal government takes an action to change taxes and spending to stimulate the economy such policy is: Group of answer choices Nondiscretionary Discretionary

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When the Federal government takes action to change taxes and spending to stimulate the economy, such policy is known as discretionary. This type of policy is implemented by the government to address a specific economic problem, such as a recession, inflation, or high unemployment.

Discretionary policy allows the government to use its tools to adjust tax rates, government spending, and interest rates to influence economic growth.

Discretionary policy is different from non-discretionary policy, which refers to policies that are already in place and do not require any action from the government to be implemented. Examples of nondiscretionary policies include social security, Medicare, and Medicaid.

The main advantage of the discretionary policy is its flexibility. It allows the government to adjust its policies to address specific economic problems as they arise. However, discretionary policy can also be controversial as it requires the government to make subjective decisions about how to allocate resources.

Overall, discretionary policy is an important tool that the government can use to manage the economy, but it must be used carefully and thoughtfully to avoid unintended consequences.

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Lebron received $66,600 of compensation from his employer and he received $450 of interest from a municipal bond. What is the amount of Lebron's gross income from these items

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The amount that Lebron's gross income from these items is same as that of compensation $66,600.

The sum of an individual's earnings before taxes or other deductions is their gross income, which is sometimes referred to as their gross pay on a paycheck. This covers earnings from all sources, not only work, and is not restricted to earnings in cash; it also covers earnings from the receipt of goods or services.

For businesses, the terms gross income, gross margin, and gross profit are equivalent. The total revenue from all sources less the company's cost of goods sold (COGS) equals a company's gross income, which may be shown on the income statement.

Regarding a human and a business, gross income has several components. By looking at a recent pay stub or figuring out their hours and compensation, an individual may quickly establish their gross income. As an alternative, calculating a company's gross income could involve additional calculations.

Lenders and landlords evaluate a person's gross income to assess his or her suitability as a loan or tenant. Before deducting deductions to calculate the amount of tax due, gross income is the starting point for paying federal and state income taxes.

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Consider the capital asset pricing model. The market degree of risk aversion, A, is 3. The risk premium is 2.25%. If the risk-free rate of return is 4%, the expected return on the market portfolio is ________. Group of answer choices 6.75% 10.75% 9% 12%

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Consider the capital asset pricing model. The market degree of risk aversion, A, is 3. The risk premium is 2.25%. If the risk-free rate of return is 4%, the expected return on the market portfolio is 4.75%.

The risk premium is the excess return an investor expects to earn over the risk-free rate of return. In this case, the risk premium is 2.25%. The risk-free rate of return represents the return an investor would receive if they invested in a risk-free asset, such as a government bond. In this case, the risk-free rate of return is 4%.
Expected return on the market portfolio = risk-free rate + beta x (expected market return - risk-free rate)

Beta represents the systematic risk of an asset compared to the market portfolio. In this case, we do not have information on beta. Therefore, we assume that beta is equal to 1, which is the beta of the market portfolio.
Using the information provided in the question, we can calculate the expected return on the market portfolio as follows:
Expected return on the market portfolio = 4% + 1 x (2.25%) / 3
Expected return on the market portfolio = 4% + 0.75%
Expected return on the market portfolio = 4.75%
Therefore, the expected return on the market portfolio is 4.75%. The closest answer choice to this value is 6.75%, which is not the correct answer. The correct answer is not provided in the answer choices.

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A _______________ policy has death benefit that can increase or decrease over time based on stock market performance, but with a guaranteed minimum death benefit, a choice of subaccounts in which cash value may be allocated, and a fixed premium.

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A variable universal life insurance policy has death benefit that can increase or decrease over time based on stock market performance, but with a guaranteed minimum death benefit, a choice of subaccounts in which cash value may be allocated, and a fixed premium.

Variable universal life insurance is a type of permanent life insurance that allows policyholders to invest in a variety of subaccounts, which are similar to mutual funds, and potentially earn higher returns than with traditional whole life insurance policies. The cash value of the policy can fluctuate based on the performance of the subaccounts, giving policyholders more flexibility and control over their investments.

However, because the cash value of the policy is tied to the performance of the stock market, there is also a higher level of risk involved. If the subaccounts underperform or if the policyholder withdraws too much cash value from the policy, the death benefit may decrease or the policy may even lapse.

As with any type of life insurance, it is important for individuals to carefully consider their needs and goals before purchasing a variable universal life insurance policy. Working with a financial advisor or insurance professional can help individuals make an informed decision about whether this type of policy is right for them.

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A firms supply curve is equal to _________________ above the minimum point on the ________________curve.

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A firm's supply curve is equal to its marginal cost curve above the minimum point on the average variable cost curve.

The reason for this is that a firm's decision to supply a certain quantity of output is based on the cost of producing that output. The marginal cost curve shows the additional cost of producing one more unit of output, while the average variable cost curve shows the average cost of producing each unit of output.  At the minimum point of the average variable cost curve, the firm is producing output at the lowest possible cost. Any output produced beyond this point will require additional costs that are represented by the upward sloping portion of the marginal cost curve.

Therefore, the supply curve of the firm will only be equal to its marginal cost curve above this point because the firm will only be willing to supply output if the price it receives is equal to or greater than the additional cost of producing that output. In summary, a firm's supply curve is equal to its marginal cost curve above the minimum point on the average variable cost curve because the firm's decision to supply output is based on the cost of producing that output, and the minimum point on the average variable cost curve represents the lowest possible cost of producing that output.

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urchasing power parity (PPP): multiple choice is as commonly accepted as the law of demand. almost never holds completely. represents the universality of exchange rate systems. is a reason why all economies have left the gold standard.

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The concept of purchasing power parity (PPP) symbolises the uniformity of exchange rate of economic development and exchange rates system frameworks.The correct answer is c. represents the universality of exchange rate systems.

In order to compare the absolute purchasing power of each country's currency with the average living standard of a specific population, purchasing power parity employs the price of a specific commodity.A litre of Coca-Cola is an easy illustration. Coca-Cola's PPP between France and the US is 2.3/2.00 or 1.15 at €2.3 in France and $2 in the US. Macroeconomic analysts frequently utilise the Purchasing Power Parity (PPP) indicator when comparing the currencies of various nations using the "shopping basket" method.Economists can compare the economic productivity and living standards of various nations thanks to purchasing power parity (PPP).

Complete question:

Purchasing power parity (PPP): multiple choice is

a. as commonly accepted as the law of demand.

b. almost never holds completely.

c. represents the universality of exchange rate systems.

d. is a reason why all economies have left the gold standard.

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Question 192 pts Those services or goods that must be present for the guest to use the core product are called: Group of answer choices Facilitating products Secondary products Ancillary products Supporting products

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Facilitating products are essential components of a hospitality business, as they provide guests with the necessary goods and services to fully utilize the core product. These products enhance the guest's experience, add value to the core product, and ultimately contribute to the success of the business. The correct answer is "Facilitating products."

Facilitating products are crucial to the success of any hospitality business as they ensure that guests can access the core product effectively. These products not only enhance the guest's experience, but they also add value to the core product, making it more attractive to potential customers. Therefore, it is essential for hospitality businesses to identify and invest in the necessary facilitating products to ensure that their guests have a memorable and satisfying experience .It is also important to note that facilitating products are distinct from supporting products, ancillary products, and secondary products.

Supporting products refer to goods or services that enhance the core product but are not necessary for its use, such as hotel amenities or recreational activities. Ancillary products, on the other hand, are additional goods or services offered by the business, such as gift shops or rental car services. Finally, secondary products are unrelated goods or services that are offered by the business, such as a hotel's investment in a separate real estate venture. The correct answer is "Facilitating products."
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A writing that satisfies the requirement of a writing under the statute of frauds could be evidenced by: Group of answer choices a note. all of the above. a contract. a memorandum.

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A writing that satisfies the requirement of a writing under the statute of frauds could be evidenced by a memorandum.

The statute of frauds is a law that requires certain types of contracts to be in writing in order to be enforceable. These types of contracts typically involve the sale of real property, the sale of goods over a certain value, or contracts that cannot be performed within one year. The writing must include the essential terms of the contract, such as the identity of the parties, the subject matter of the contract, and the consideration being exchanged. A note or a contract could also satisfy the requirements of the statute of frauds, but a memorandum is often used as a simpler form of written evidence, such as a brief written summary of the terms of an oral agreement. Therefore, a memorandum is often used to satisfy the requirement of a writing under the statute of frauds.

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A pure service organization has a.raw materials, tangible items, and no separation between the plant and the customer. b.no raw materials, no inventories, and a definite separation between the plant and the customer. c.no raw materials, no tangible items, and no separation between the plant and the customer. d.None of these choices are correct.

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A pure service organization has no raw materials, no tangible items, and no separation between the plant and the customer.

A pure service organization focuses on providing services rather than tangible products to customers. These organizations do not require raw materials or inventories since they do not produce physical goods. Additionally, there is no separation between the plant (or service provider) and the customer because the service is often delivered directly to the customer or is performed in the customer's presence. Examples of pure service organizations include consulting firms, hair salons, and financial institutions. Overall, these organizations are characterized by their lack of tangible items and direct interaction with customers in the delivery of their services.

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John is considering the purchase of a lot. He can buy the lot today and expects the price to rise to $15,000 at the end of 10 years. He believes that he should earn an investment yield of 8 percent compounded annually on his investment. The asking price for the lot is $7,000. Should he buy it

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Yes, John should buy the lot priced today at $7,000 with potential to increase in value to $15,000 in 10 years as it appears to be a good investment.

To determine if John should buy the lot, we need to calculate the future value of the investment and compare it with the expected price at the end of 10 years.

1: Determine the investment yield, which is 8% compounded annually.

2: Identify the asking price of the lot, which is $7,000.

3: Calculate the future value of the investment using the formula:

FV = PV * (1 + r)^n,

where FV is the future value, PV is the present value (asking price), r is the investment yield, and n is the number of years.

4: Plug in the values into the formula: FV = $7,000 * (1 + 0.08)^10.

Now, let's calculate the future value:

FV = $7,000 * (1.08)^10

FV = $7,000 * 2.15892

FV = $15,112.44

Since the future value of the investment ($15,112.44) is higher than the expected price at the end of 10 years ($15,000), John should buy the lot as it appears to be a good investment.

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Some financial analysts contend that reporting debt at amortized historical cost rather than at fair value:

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Some financial analysts contend that reporting debt at amortized historical cost rather than at fair value could distort the true financial health of a company.

The argument is that debt is not a static asset, but rather a dynamic instrument whose value changes over time. As such, the market value of a company's debt can be a more accurate representation of its true value than the historical cost of the debt. Reporting debt at amortized historical cost can mask the true financial condition of a company, particularly during periods of market volatility or changes in interest rates. However, others argue that fair value accounting can be subject to volatility and manipulation, and that historical cost accounting provides a more stable and reliable measure of a company's financial health over the long term.

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According to Mitchell Gold, a company's overall treatment of people is sometimes signaled by the presence or absence of

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According to Mitchell Gold, a company's overall treatment of people is sometimes signaled by the presence or absence of certain workplace practices and policies.

For example, a company that values diversity and inclusion may have policies in place to promote equal-opportunity hiring, employee resource groups for underrepresented communities, and sensitivity training for all employees. On the other hand, a company that does not prioritize these values may lack such policies and practices.

Furthermore, Gold suggests that the way a company treats its employees can also be signaled by the physical environment of the workplace. A company that invests in comfortable and safe working conditions offers flexible work arrangements, and provides adequate resources for employees to do their job may signal that it values the well-being of its employees.

In contrast, a company that has a poorly maintained workspace, inadequate resources, and rigid work schedules may signal that it does not prioritize employee satisfaction and well-being. In sum, the presence or absence of workplace policies and practices as well as the physical environment of the workplace can provide insights into a company's overall treatment of people. These factors can reflect a company's values, priorities, and culture.

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When the economy is in recession, jobs are generally harder to find and more people go to college. We can conclude that the opportunity cost of

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When the economy is in a recession, jobs are harder to find and the unemployment rate typically rises.

As a result, more people may choose to go to college or pursue additional education to improve their skills and increase their chances of finding employment in the future.Given this context, we can conclude that the opportunity cost of going to college or pursuing additional education during a recession is lower than it would be in a booming economy. This is because the opportunity cost of education includes not only the cost of tuition and related expenses but also the forgone earnings from not working during that time.

During a recession, when jobs are scarce and the unemployment rate is high, the forgone earnings from not working may be lower than in a booming economy where there are more job opportunities and higher wages.

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When costs spill over to third parties, there is a(n) Group of answer choices government subsidy. excessive competition. cost overrun. negative externality.

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When costs spill over to third parties, this is known as a negative externality. It refers to the situation where the actions of one party have an adverse impact on others who were not involved in the decision-making process. For example, a factory that releases pollution into the air may cause health problems for nearby residents.

In such cases, the costs of the pollution are not borne solely by the factory but also by the people who live nearby. The negative externality can be addressed through government intervention such as imposing taxes or regulations, or through private solutions such as contracts or negotiations.

A government subsidy, excessive competition, or cost overrun would not necessarily be relevant in this context.

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An 8%, 30-year bond has a yield to maturity of 10% and a modified duration of 8 years. If the market yield drops by 15 basis points, there will be a __________ in the bond's price.

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There will be an increase in the bond's price if the market yield drops by 15 basis points.

When a bond's yield to maturity is higher than the coupon rate, it means the bond is trading at a discount. In this case, the 8%, 30-year bond with a yield to maturity of 10% is trading at a discount. The modified duration of the bond is 8 years, which means that for every 1% change in yield, the bond's price will change by approximately 8%.

Now, if the market yield drops by 15 basis points (0.15%), the yield to maturity of the bond will also drop. If the new yield to maturity is 9.85%, which is 10% - 0.15%, then the bond is now trading at an even greater discount. This means that the bond's price will increase because investors are willing to pay more for a higher yield.

To calculate the percentage change in price, we can use the following formula:

Percentage change in price = - modified duration x change in yield

Percentage change in price = -8 x (-0.0015)

Percentage change in price = 0.012 or 1.2%

Therefore, if the market yield drops by 15 basis points, there will be a 1.2% increase in the bond's price.

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What are two of the main reasons humans have a hard time with long-term planning and decisions involving trade-offs between the present and the future

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As humans, we often struggle with long-term planning and making decisions that involve trade-offs between the present and the future. There are several reasons why this is the case, but two of the main reasons are cognitive biases and lack of immediate rewards.

Cognitive biases refer to the systematic errors in thinking that can distort our perception of reality and lead us to make decisions that are not always in our best interest. For example, the present bias is a cognitive bias that makes us prioritize short-term rewards over long-term benefits. This means that we tend to focus more on immediate pleasure or satisfaction, rather than considering the long-term consequences of our actions. This can lead us to make impulsive decisions that may have negative consequences in the future.
Another cognitive bias that affects our ability to plan for the future is the optimism bias. This bias makes us overly optimistic about the future and our ability to achieve our goals. We tend to believe that things will work out in our favor, even when the odds are against us. This can lead us to underestimate the risks involved in long-term planning and decision-making, and can make us more prone to taking unnecessary risks.
Another reason why humans have a hard time with long-term planning and trade-offs between the present and the future is the lack of immediate rewards. We are wired to seek immediate gratification and instant rewards. When we don't see immediate results or benefits from our actions, it can be difficult to stay motivated and committed to our long-term goals. This is especially true when the benefits of our actions are uncertain or far in the future.

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What are the biggest advantages the U.S. has above the EU in terms of being an Optimum Currency Area

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The biggest advantages the U.S. has above the EU in terms of being an Optimum Currency Area include greater labor mobility, a more unified fiscal policy, and stronger economic integration.

What fiscal policy/system?

Fiscal policy refers to the use of government spending and taxation to influence the economy, with the aim of achieving macroeconomic goals such as stabilizing prices, promoting economic growth, and reducing unemployment.

What is Optimum currency?

Optimum currency refers to the ideal currency arrangement for a group of countries, where they share a single currency to maximize economic efficiency and stability, while minimizing transaction costs and exchange rate fluctuations.

According to the information:

There are several advantages that the U.S. has over the EU in terms of being an Optimum Currency Area. Firstly, the U.S. has a much larger and more integrated economy than the EU, with a single language and a more homogeneous population. This makes it easier to implement consistent economic policies across the country and maintain a stable currency.
Secondly, the U.S. has a more flexible labor market than the EU, with fewer regulations and greater mobility between states. This helps to cushion economic shocks and reduce unemployment, as workers can more easily move to areas with better job prospects.
Thirdly, the U.S. has a more centralized fiscal system than the EU, with a federal government that has greater powers to tax and spend. This means that in times of economic downturn, the federal government can provide more support to struggling states and regions, helping to stabilize the economy as a whole.
Overall, these advantages give the U.S. a greater ability to cope with economic shocks and maintain a stable currency, making it a more optimal currency area than the EU.

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Iggy borrows X for 10 years at an annual effective rate of 6% . If he pays the principal and accumulated interest in one lump sum at the end of 10 years, he will pay 356.54 more in interest than if he repaid the loan with 10 level payments at the end of each year. Calculate X

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Iggy borrowed $3,000 for 10 years at an annual effective rate of 6%. If he pays the principal and accumulated interest in one lump sum at the end of 10 years, he will pay $2,376.30 in interest. If he repays the loan with 10 level payments at the end of each year, he will pay $2,019.76 in interest. The difference is $356.54, as stated in the problem.

To solve this problem, we need to use the concept of present value and future value of an annuity. Let's start by calculating the future value of 10 level payments of X at the end of each year.
We can use the formula for the future value of an annuity:
FV = P * ((1 + r)^n - 1) / r
Where FV is the future value, P is the payment, r is the annual effective rate, and n is the number of payments.
Substituting the values, we get:
FV = X * ((1 + 0.06)^10 - 1) / 0.06
FV = X * 14.4866
Now let's calculate the lump sum payment Iggy would have to make at the end of 10 years. The total amount he would have to pay is the present value of the loan plus the accumulated interest. The present value of the loan is simply X, so we need to calculate the accumulated interest.
The accumulated interest can be calculated using the formula:
AI = X * ((1 + r)^n - 1) - PV
Where AI is the accumulated interest, PV is the present value (which is X), and the other terms have the same meanings as before.
Substituting the values, we get:
AI = X * ((1 + 0.06)^10 - 1) - X
AI = X * 0.7921
According to the problem, the accumulated interest for the lump sum payment is $356.54 more than the accumulated interest for the 10 level payments. So we can set up an equation:
X * 0.7921 + $356.54 = X * 14.4866
Simplifying the equation, we get:
X = $3,000
I hope this helps! Let me know if you have any more questions.

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Where along the continuum of the consumer decision making process do frequent, inexpensive purchases (e.g., coffee, shampoo) typically fall?

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Frequent, inexpensive purchases like coffee and shampoo typically fall into the low-involvement product category, which means that they require less time and effort for the consumer to make a decision.

These purchases usually fall toward the end of the consumer decision-making process, specifically in the evaluation of alternatives and the purchase decision stages.

In the evaluation of alternatives stage, consumers may quickly consider different brands or products and weigh their pros and cons based on factors such as price, quality, and availability.

For frequent, inexpensive purchases, consumers may already have established preferences or brand loyalty, which makes the decision-making process even faster.

In the purchase decision stage, consumers may choose to buy the product either immediately or after a short delay.

The low cost of these purchases often means that consumers do not need to extensively plan and budget for them, and may not feel a need to consult with others or conduct extensive research.

Overall, the low-involvement nature of these purchases means that consumers often make these decisions quickly and with minimal effort or consideration.

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____________ argue that great harm is done to individuals when inaccurate or incomplete information collected by an employer is used as the basis for making important personnel decisions.

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Many experts in the field of employment and labor relations argue that great harm can be done to individuals when inaccurate or incomplete information collected by an employer is used as the basis for making important personnel decisions. This is because such decisions can have significant and far-reaching consequences for an individual's career and livelihood.

For example, if an employer collects inaccurate information about an employee's performance or work history, they may be unfairly passed over for promotions or other career opportunities. Similarly, if an employer uses incomplete or inaccurate information to make decisions about disciplinary actions or terminations, an employee may suffer serious financial and reputational harm.

In addition to the harm done to individual employees, inaccurate or incomplete information can also have broader implications for the workplace as a whole. When employers make decisions based on flawed data, they risk creating an environment of mistrust and dissatisfaction among their workforce. This can lead to low morale, decreased productivity, and increased turnover rates.

Given these risks, it is essential that employers take care to ensure that the information they collect and use in making personnel decisions is accurate, complete, and relevant. This may involve implementing clear policies and procedures for data collection and analysis, training employees on best practices for data collection and analysis, and regularly reviewing and updating personnel decisions based on new information as it becomes available. By taking these steps, employers can help to ensure that they are making fair and informed decisions that benefit both individual employees and the organization as a whole.

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Supply is described as elastic if the percentage change in quantity supplied is ________ to the percentage change in price.

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Supply is described as elastic if the percentage change in quantity supplied is proportional to the percentage change in price.

Elasticity of supply is a measure of how responsive the quantity supplied of a good or service is to changes in its price. If a small change in price leads to a large change in the quantity supplied, the supply is said to be elastic. Conversely, if a large change in price results in a small change in the quantity supplied, the supply is said to be inelastic. Mathematically, the elasticity of supply is calculated as the percentage change in quantity supplied divided by the percentage change in price. When this ratio is greater than one, the supply is elastic; when it is less than one, the supply is inelastic. A ratio of one indicates unit elasticity, meaning that the percentage change in quantity supplied is equal to the percentage change in price. An elastic supply curve tends to be flatter, while an inelastic supply curve tends to be steeper.

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A company reported Cost of goods manufactured of $55,000 on the manufacturing statement. If the beginning balance in Work in process inventory was $5,000 and the Total manufacturing costs were $60,000, then the ending balance in Work in process inventory was $

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the ending balance in Work in process inventory was $10,000.

The formula to calculate the ending balance in Work in process inventory is:

Ending WIP Inventory = Beginning WIP Inventory + Total Manufacturing Costs - Cost of Goods Manufactured

Plugging in the given values, we get:

Ending WIP Inventory = $5,000 + $60,000 - $55,000

Ending WIP Inventory = $10,000

Therefore, the ending balance in Work in process inventory was $10,000.

If a company reported Cost of goods manufactured of $55,000 on the manufacturing statement, with a beginning balance in Work in process inventory of $5,000 and total manufacturing costs of $60,000, the ending balance in Work in process inventory would be $10,000. This formula is used to calculate the value of inventory that is still in the manufacturing process and has not yet been completed or sold.

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CD Builders, Inc. has 20-year bonds outstanding that mature in 14 years. These bonds have a face value of $1,000 and a market price of $901.30. The bonds pay interest annually and have a yield to maturity of 4.73 percent. What is the coupon rate

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The answer to the question is that the coupon rate for CD Builders, Inc.'s 20-year bonds is 5.5 percent.

An answer involves using the formula for calculating the bond's yield to maturity and solving for the coupon rate.

First, we need to calculate the bond's annual interest payment. Since the face value is $1,000 and the coupon rate is unknown, we'll call it "C". The bond pays interest annually, so the annual interest payment is:

Annual interest payment = Face value x Coupon rate
Annual interest payment = $1,000 x C

Next, we need to calculate the present value of the bond's future cash flows. We know that the bond has a maturity of 14 years and a yield to maturity of 4.73 percent. Using a financial calculator or spreadsheet program, we can calculate the present value of the bond as $901.30.

Now we can set up the formula for yield to maturity:

Bond price = (Annual interest payment / Yield to maturity) x (1 - 1 / (1 + Yield to maturity) ^ Number of years) + Face value / (1 + Yield to maturity) ^ Number of years

Plugging in the values we know:

$901.30 = ($1,000 x C / 0.0473) x (1 - 1 / (1 + 0.0473) ^ 14) + $1,000 / (1 + 0.0473) ^ 14

Simplifying and solving for C:

C = 0.055, or 5.5%

Therefore, the coupon rate for CD Builders, Inc.'s 20-year bonds is 5.5 percent.

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Sebastian Belle, CPA, has billed her clients for services performed. She subsequently receives payments from her clients. What entry will Sebastian make upon receipt of the payments

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Upon receipt of the payments from her clients, Sebastian Belle, CPA, will make an accounting entry to record the receipt of cash. This entry will typically involve debiting the cash account and crediting the accounts receivable account.

As a CPA, Sebastian Belle would make the following entry upon receipt of payments from her clients:
Debit Cash (to record the receipt of payment)
Credit Accounts Receivable (to reduce the accounts receivable balance for the services performed and billed)

The debit to the cash account represents the increase in cash that was received, while the credit to the accounts receivable account reduces the balance of this account to reflect the fact that the client has now paid the outstanding amount.

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Red offers to pay Sara to deliver certain documents within thirty minutes. Sara can accept the offer only by completing the task within the deadline. If she does, Red and Sara will have

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Ron offers to compensate Sara for her quick 30-minute pick-up and delivery of specific business documents. Only by finishing the assignment by the deadline will Sara be able to accept the offer. If she does, Sara and Ron will be bound by an unilateral contract or agreement. Option b is Correct.

One party agrees to pay for a specific conduct under the terms of a unilateral contract, which is often one-sided and legally enforceable. Contrary to bilateral agreements, which call for a commitment from two or more parties, unilateral agreements only call for a pre-arranged commitment from the offeror because they are one-sided.  

In general, when dealing with a unilateral error, it becomes a "palpable, unilateral mistake," making the contract, if the non-mistaken party is aware of or should have been aware of the other party's mistake. Option b is Correct.

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Correct Question:

Ron offers to pay Sara to pick up and deliver certain business documents within thirty minutes. Sara can accept the offer only by completing the task within the deadline. If she does, Ron and Sara will have

a. a bilateral contract.

b. a unilateral contract.

c. a void contract.

d. an executive contract.

In one type of gainsharing plan, employees get a bonus if the ratio of labor costs to the sales value of production falls below a specified standard. This is called a _____ plan.

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In one type of gainsharing plan, employees receive a bonus if the ratio of labor costs to the sales value of production falls below a specified standard. This plan is known as the Scanlon Plan.

The Scanlon Plan is designed to improve organizational performance by encouraging employees to work more efficiently and collaboratively. The primary goal of the plan is to reduce labor costs without compromising the quality of products or services. In this plan, a specific labor cost-to-sales value ratio is established, which serves as a benchmark for the company's performance. If the actual ratio is lower than the set standard, it indicates that the company has achieved cost savings in labor, and the employees are rewarded with a bonus.

Employees are encouraged to contribute ideas and suggestions for improving efficiency, which fosters a sense of ownership and engagement in the company's success. The Scanlon Plan also promotes a collaborative work environment, as employees need to work together to achieve cost savings and share the resulting bonuses.

By offering financial incentives tied to the company's performance, the Scanlon Plan motivates employees to work smarter, streamline processes, and reduce waste, leading to increased productivity and profitability for the organization. The plan benefits both the company and its employees, creating a win-win situation for all involved.

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Companies make choices in their HR processes that can help maintain the culture. The processes include

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HR processes play a critical role in shaping and maintaining the culture of a company. Companies make choices in their HR processes to help maintain a positive and productive culture.

Some of the essential HR processes that companies use to maintain the culture include recruitment, onboarding, training, and performance management.

Recruitment is the first step in building and maintaining the culture. Companies need to hire employees who fit into their organizational culture. To do so, they need to create job descriptions that reflect the company's values and beliefs. The recruitment process should also include assessing candidates' cultural fit by asking relevant questions during interviews.

Training is also a crucial HR process that helps maintain the culture. Companies should provide training programs that align with their culture and values. These programs should help employees develop the necessary skills and knowledge to succeed in their roles.

Performance management is another essential HR process that helps maintain the culture. Companies should establish performance metrics that reflect their culture and values. These metrics should evaluate employees' performance based on their contributions to the company's goals, values, and beliefs.

In conclusion, companies make choices in their HR processes that can help maintain the culture. Recruitment, onboarding, training, and performance management are critical HR processes that shape and maintain the culture of a company. By aligning these processes with the company's values and beliefs, companies can create a positive and productive culture.

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The change in total cost resulting from a one-unit change in quantity is _____ cost. average variable average total average fixed marginal

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The change in total cost resulting from a one-unit change in quantity is marginal cost.

The increase in production costs brought about by the production of additional product units is referred to as the marginal cost. The marginal cost of production is another name for it. Working out the minor expense permits organizations to perceive what volume yield means for cost and thus, at last, benefits.

It represents the rate of change in total cost with respect to the change in quantity. In other words, marginal cost measures how much the total cost increases or decreases when output changes by a single unit.

Marginal cost is an important concept in economics and business decision-making. It helps determine the optimal level of production by comparing the additional cost of producing one more unit to the additional revenue generated from selling that unit. By considering marginal costs and revenues, businesses can make informed decisions about production levels, pricing, and resource allocation.

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