What should be included in a communication action plan template to keep responsibilities and information clear for everyone

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Answer 1

When creating a communication action plan template, it's important to include the following elements to keep responsibilities and information clear for everyone involved objectives, communication, key messages, metrics, and contingency plan.

1. Objectives and goals: Clearly define the purpose and desired outcomes of the communication plan.

2. Target audience: Identify the intended recipients of the communication, including stakeholders, team members, and customers.

3. Communication channels: Determine the methods of communication that will be used, such as email, phone calls, or meetings.

4. Schedule and timeline: Establish a timeline for when communication will take place and assign responsibilities to specific individuals.

5. Key messages: Define the core messages that need to be communicated to ensure consistency across all channels.

6. Metrics and measurement: Establish methods for measuring the effectiveness of the communication plan and adjust it as necessary.

7. Contingency plans: Develop a plan for how to respond to unexpected events or changes in circumstances that may impact the communication plan.

By including these elements in a communication action plan template, you can ensure that everyone involved is clear on their roles and responsibilities and that communication is effective, timely, and targeted.

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Related Questions

amon Corporation is projecting its balance sheet and it arrives at the following numbers for the coming years. At the end of year one, total assets equal $8,500,000 while total liabilities and equity equal $9,500,000. At the end of year two, total assets equal $11,500,000 and total liabilities and equity equals 10,000,000. Please indicate how much money will Hamon need to borrow money or have left over in years one and two and if the amount needs to be borrowed or is left over

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In year one, Amon Corporation has total assets of $8,500,000 and total liabilities and equity of $9,500,000. This indicates that Amon Corporation has a deficit of $1,000,000 in year one, which means they will need to borrow this amount to cover the shortfall.

In year two, Amon Corporation's total assets increase to $11,500,000, while total liabilities and equity equal $10,000,000. This results in a surplus of $1,500,000 in year two. Therefore, Amon Corporation will have $1,500,000 left over, which can be used to pay off debts or invest in the business.

In summary, Amon Corporation needs to borrow $1,000,000 in year one and will have $1,500,000 left over in year two.

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Diversification reduces ______ credit risk while still leaving the FI exposed to ______ credit risk.

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Diversification reduces firm-specific credit risk while still leaving the FI exposed to systemic credit risk. The correct option is D.

Diversification is a strategy used by financial institutions (FIs) to manage their credit risk by spreading their investments across various assets, industries, and borrowers. By doing this, they aim to reduce the impact of a single default or poor-performing investment on their overall portfolio.

Firm-specific credit risk refers to the risk associated with a particular borrower or asset, such as a company defaulting on a loan. Diversifying a portfolio helps to lower this risk, as the poor performance of one asset or borrower can be offset by the positive performance of others.

Systemic credit risk, on the other hand, is the risk associated with the broader financial system, such as a widespread economic downturn or a global financial crisis. Diversification cannot eliminate this risk, as events affecting the entire financial system may impact all investments, regardless of their diversification.

In summary, diversification helps to reduce firm-specific credit risk by spreading investments across a wide range of assets and borrowers. However, it cannot completely protect an FI from systemic credit risk, which is linked to larger-scale economic or financial events.

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Complete question:

Diversification reduces ______ credit risk while still leaving the FI exposed to ______ credit risk.

a. systemic; non-diversifiable

b. long-term; short-term

c. systemic; firm specific

d. firm-specific; systemic

A deferred tax asset results from a revenue transaction when taxes are paid on those revenues ____________ revenue is recognized in the income statement.

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A deferred tax asset results from a revenue transaction when taxes are paid on those revenues before the revenue is recognized in the income statement. This means that the company has already paid taxes on the revenue but has not yet recognized it as income in their financial statements.

The deferred tax asset represents a future tax benefit that the company can use to reduce their tax liability when the revenue is eventually recognized in the income statement.

For example, let's say a company receives payment for services in December but does not provide those services until January. The company must pay taxes on that revenue in December but cannot recognize it as income until January. In this case, the company would record a deferred tax asset for the taxes paid in December and would then reduce their tax liability in January when the revenue is recognized in the income statement.

It is important to note that deferred tax assets are not always recognized on the balance sheet, as there are certain criteria that must be met in order to recognize them. However, they can be a valuable tool for companies to reduce their future tax liability and improve their financial performance.

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Flexible benefits plans, known as __________, enable employees to choose benefits best-suited to the employee's particular needs.

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Flexible benefits plans, known as cafeteria plans, are an increasingly popular option for employers to offer their employees.

What is cafeteria plan?

These plans give employees the flexibility to select benefits that are most relevant to their individual circumstances, rather than a one-size-fits-all approach.

Cafeteria plans typically include a range of benefits, including health insurance, dental coverage, retirement savings plans, life insurance, and more.

By allowing employees to tailor their benefits package, employers can improve employee satisfaction, engagement, and retention.

Cafeteria plans are also an effective way for employers to manage costs, as employees pay for the benefits they choose, rather than the employer bearing the full cost of providing a fixed benefits package. 

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How does AWS ensure that no single customer consumes an unsustainable proportion of available resources

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By hosting your stack on AWS, you can easily and affordably achieve the greatest levels of availability, including data centre redundancy and dynamic horizontal scaling.

Metered, pay-as-you-go on-demand cloud computing platforms and APls are provided by an Amazon subsidiary named Amazon Web Services, Inc. (AWS) to individuals, companies, and governments.Clients often pair this with auto scaling, which enables a client to use more compute during periods of high application demand and scale down to save money during periods of low traffic. These cloud computing web services deliver a variety of services related to networking, computation, storage, middleware, IOT, and other processing resources, in addition to software tools, through AWS server farms. Customers are released.

Complete question:

How does AWS ensure that no single customer consumes an unsustainable proportion of available resources?

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What is the optimal organizational structure for the Alta Gracia Factory and how should labor be divided

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Determining the optimal organizational structure for the Alta Gracia Factory and how labor should be divided would require a detailed understanding of the specific context, goals.

1. Functional Structure: A functional organizational structure can be suitable for a manufacturing facility like the Alta Gracia Factory. In this structure, different departments or functions such as production, quality control, logistics, and administration are established, each with its own specialized tasks and responsibilities.

2. Cross-Functional Teams: To enhance collaboration and efficiency, the factory could also implement cross-functional teams. These teams consist of members from different functional areas working together on specific projects or tasks, promoting coordination and information sharing across departments.

3. Job Specialization: Labor can be divided based on job specialization. Each worker can be assigned to specific tasks that align with their skills and expertise. This division allows employees to develop their proficiency in specific areas, leading to improved productivity and quality.

4. Production Line or Cell Layout: Consider implementing a production line or cell layout based on the nature of the manufacturing process. This layout arranges workstations and equipment in a sequence that optimizes the flow of materials and minimizes the movement of workers, enhancing efficiency.

5. Flexible Workforce: Flexibility in labor allocation can be valuable, allowing employees to work on multiple tasks or rotate between different workstations. This approach provides versatility in responding to changing demands and helps avoid bottlenecks or skill gaps.

6. Employee Empowerment: Encouraging employee empowerment and involvement in decision-making can lead to increased motivation and productivity. Providing workers with opportunities for input and participation can also contribute to a positive work environment.

It is important to note that the optimal organizational structure and labor division will depend on various factors such as the size of the factory, the specific production processes involved, the skill sets of the workforce, and the strategic goals of the organization. Conducting a detailed analysis of these factors in the context of the Alta Gracia Factory will enable a more precise determination of the optimal organizational structure and labor division.

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After retiring, Samantha wants to be able to withdraw $3,500.00 every month from her account for 28 years. Her account earns 7% interest compounded monthly. How much does Samantha need in her account when she retires

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After retiring, Samantha wants to withdraw $3,500 every month for 28 years. To find out how much she needs in her account at the time of retirement, we can use the Present Value of Annuity formula, which considers interest compounded monthly at a rate of 7%.

The formula for the Present Value of Annuity is PV = P * [(1 - (1 + r)^(-n)) / r] Where PV is the present value (amount needed in the account at retirement), P is the monthly withdrawal amount, r is the monthly interest rate, and n is the total number of withdrawals. First, we need to find the monthly interest rate (r) by dividing the annual interest rate (7%) by 12: r = 0.07 / 12 = 0.0058333 (rounded to 7 decimal places) We need to find the total number of withdrawals. Since Samantha wants to withdraw $3,500 every month for 28 years: n = 12 withdrawals/year * 28 years = 336 withdrawals Now, we can plug the values into the formula: PV = 3500 * [(1 - (1 + 0.0058333)^(-336)) / 0.0058333] PV ≈ 3500 * [(1 - (1.0058333)^(-336)) / 0.0058333] PV ≈ 3500 * [57.5086547] PV ≈ 201,280,291.45

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Michael Moulton, the Creative Director of MoneyDesktop, says that they recruited engineers for the company by creating complex puzzles and putting them up on billboards. What kind of applicants was Michael recruiting? Internal External

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Based on the information given, it is not clear whether Michael Moulton was recruiting internal or external applicants.

The method of recruiting through complex puzzles posted on billboards does not provide information about the type of applicants being sought, other than that they were likely skilled engineers who were able to solve the puzzles. The terms "content loaded Michael Moulton" and "MoneyDesktop" are not directly relevant to the question and do not provide additional information about the type of applicants being recruited.
Michael Moulton, the Creative Director of MoneyDesktop, was recruiting external applicants for the company. By creating complex puzzles and putting them up on billboards, Michael aimed to attract talented engineers who were not yet part of the company but possessed the skills and interest to solve these puzzles. This recruitment method targeted a broader audience, making it an external recruitment approach.

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The aggregate consumption function can shift because of changes in _____ and in _____. the marginal propensity to consume; aggregate wealth expected disposable income; aggregate wealth expected disposable income; the marginal propensity to consume the marginal propensity to save; aggregate wealth

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The aggregate consumption function can shift because of changes in expected disposable income and in the marginal propensity to consume.

The marginal propensity to consume (MPC) is the proportion of each additional dollar of income that households spend on consumption. If the MPC increases, then the aggregate consumption function will shift upward, as households are more willing to spend a larger proportion of their income on consumption.

Expected disposable income refers to the amount of income that households expect to have after taxes and other deductions. If expected disposable income increases, then the aggregate consumption function will shift upward, as households will have more money to spend on consumption.

The aggregate consumption function can be affected by changes in the marginal propensity to save (MPS) and aggregate wealth. An increase in the MPS will shift the aggregate consumption function downward, as households are saving more and spending less.

An increase in aggregate wealth, such as through higher stock prices or real estate values, can increase household wealth and lead to an upward shift in the aggregate consumption function, as households feel more confident in their ability to spend.

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Assume that you have invested $500,000 to purchase shares in a hedge fund reporting $800 million in assets, $100 million in liabilities, and 70 million shares outstanding. Your initial lockout period is 3 years.If the share price after 3 years increases to $15.28, what is the value of your investment

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Therefore, the value of your investment after 3 years is $764,000.

To calculate the value of your investment after 3 years, we need to first determine the net asset value (NAV) per share of the hedge fund.

The NAV per share is calculated by subtracting the liabilities from the assets and then dividing by the number of outstanding shares.

Assets - Liabilities = $800 million - $100 million

= $700 million

NAV per share = (Assets - Liabilities) / Outstanding shares

= $700 million / 70 million shares

= $10 per share.

Since you invested $500,000, you initially purchased 50,000 shares (i.e., $500,000 / $10 per share).

After 3 years, assuming the NAV per share has increased to $15.28, the value of your investment can be calculated as follows:

Value of your investment = Number of shares x NAV per share

= 50,000 shares x $15.28 per share

= $764,000

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redeker company Compute the amount of depreciation expense for the year of 2016, 2017, and 2018 using the double-declining-balance method. The amount of depreciation expense for the year of 2016 using the double-declining-balance method is $ g

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Redeker Company can calculate the depreciation expense for the years 2016, 2017, and 2018 using the double-declining-balance method. This method involves multiplying the book value of the asset by a constant rate, which is twice the straight-line depreciation rate.

To begin, the company needs to determine the initial cost of the asset and the salvage value. Then, they can calculate the useful life of the asset in years. Once these values are known, they can use the double-declining-balance method to calculate the depreciation expense for each year.

For example, if the initial cost of the asset is $100,000, the salvage value is $10,000, and the useful life is 5 years, then the depreciation expense for 2016 would be $40,000 ($100,000 x 2 x 1/5). The depreciation expense for 2017 would be $24,000 ($60,000 x 2 x 1/5), and for 2018 it would be $14,400 ($36,000 x 2 x 1/5).

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ropical Fruit Partnership is a calendar year general partnership with the following current year information: Operating loss $(4,800,000) Liabilities: Note payable, Big Bank 480,000 Note payable, Pineapple (individual) 320,000 On January 1 Coconut bought 60% of Tropical Fruit Partnership for $720,000. How much of the operating loss may Coconut deduct currently

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The tax implications of their partnership investment and consult with a tax professional for guidance on how to properly report their partnership income and deductions.

As a partner in Tropical Fruit Partnership, Coconut is entitled to deduct their share of the partnership's operating loss on their personal income tax return. Since Coconut owns 60% of the partnership, they can deduct 60% of the partnership's operating loss of $(4,800,000), which is $(2,880,000). It is important to note that the deduction for partnership losses is subject to certain limitations and restrictions, such as the at-risk rules and passive activity loss rules. These rules limit the amount of losses that a partner can deduct based on their level of involvement in the partnership and their amount of investment at risk. Additionally, the partnership's liabilities may also affect the partner's basis in the partnership and their ability to deduct losses. In this case, Coconut's purchase of 60% of the partnership for $720,000 may increase their basis in the partnership and allow them to deduct a larger portion of the operating loss.

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The purchasing power of the dollar Multiple Choice has been increasing in recent years because of economic growth. varies directly with the cost-of-living index. is inversely related to the level of aggregate demand. is the reciprocal of the price level.

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The purchasing power of the dollar is inversely related to the price level(d).

The price level refers to the average level of prices in the economy, and as the price level increases, the purchasing power of the dollar decreases. This is because a higher price level means that more dollars are required to purchase the same goods and services.

In other words, the value of the dollar decreases as prices rise. Conversely, if the price level decreases, the purchasing power of the dollar increases because fewer dollars are needed to purchase the same goods and services.

The cost-of-living index, which measures the change in the price of goods and services over time, is a useful tool for tracking changes in the purchasing power of the dollar. However, economic growth and aggregate demand can also affect the purchasing power of the dollar indirectly, by influencing inflation and the price level.

So d is correct option.

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What did the sellers originally pay for their property if they sold it for $268,550 and realized a 13% profit

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The sellers originally paid $233,603.50 for their property if they sold it for $268,550 and realized a 13% profit.

To calculate the original price that the sellers paid for their property, we need to use the profit percentage and the selling price.

First, we need to convert the profit percentage into a decimal by dividing it by 100: 13/100 = 0.13. Then, we can use the formula:
selling price = original price + profit
To isolate the original price, we can rearrange the formula:
original price = selling price - profit
Plugging in the numbers, we get:
original price = $268,550 - (0.13 x $268,550)
original price = $268,550 - $34,946.50
original price = $233,603.50

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If a price discriminating monopoly facing the below Demand curve charges two different prices of $40 and $20, what would be their Total Revenue

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The total revenue for the price-discriminating monopoly would be $8,000 if they charge two different prices of $40 and $20.

The total revenue for the price-discriminating monopoly would be:

Total revenue = (Price at $40 x Quantity sold at $40) + (Price at $20 x Quantity sold at $20)

Total revenue = ($40 x 100) + ($20 x 200)

Total revenue = $4,000 + $4,000

Total revenue = $8,000

Revenue is a financial term that refers to the total amount of money earned by a business from the sale of goods or services. It is the top-line or gross income of a company, representing the total inflow of money from all sources, including sales, rent, interest, and other types of income.

Revenue is an important measure of a company's financial performance and is used to calculate other financial metrics such as profit, gross margin, and net income. A company's revenue growth is an indicator of its success in the marketplace, and it is closely monitored by investors, analysts, and financial institutions. Revenue can be calculated on a daily, weekly, monthly, or annual basis, depending on the reporting requirements of the company.

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The main policy advice given by the IMF to East Asian countries facing the financial crises of 1997/1998 was Group of answer choices using their monetary and fiscal policies alone. use capital controls. adopting a flexible exchange rate system. raising their domestic interest rates to stabilize the collapsing currencies.

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The main policy advice given by the IMF to East Asian countries facing the financial crises of 1997/1998 was adopting a flexible exchange rate system.

During the East Asian financial crisis of 1997/1998, the IMF recommended that the affected countries adopt a flexible exchange rate system. The flexible exchange rate system allows the exchange rate to be determined by market forces, which could lead to a more stable exchange rate in the long run. This policy was believed to be more effective in managing external shocks and reducing the risk of future crises. Other policies recommended by the IMF included structural reforms, such as strengthening the banking system, improving corporate governance, and enhancing transparency and disclosure. However, some critics argued that the IMF's policies exacerbated the crisis and caused social and economic turmoil in the affected countries.

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A British company called Path Intelligence has developed a system that ascertains how people move within a city or even within a store. What is this system called

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The system developed by the British company Path Intelligence that tracks and analyzes people's movements within a city or store is called "Footfall".

Footfall is a sophisticated technology that uses sensors and data analysis to track people's movements, behavior patterns, and preferences.

It provides valuable insights to retailers, mall owners, and city planners on foot traffic, customer flow, and popular areas, allowing them to optimize their operations and enhance customer experience.

The system uses anonymized data to ensure privacy and security and is used in several countries across the world.

In summary, the system is called "Footfall" and is a powerful tool for understanding and optimizing human movement in urban and retail environments.

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Tara purchases a 20-year, 5 percent savings bond with a face value of $10,000 at a premium price of $11,000. She gets the dividend paid yearly. Determine the rate of return on the bond if the bond is kept till maturity.

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The net gain or loss of an investment over a certain time period stated as a percentage of the investment's starting cost is known as a rate of return (RoR). The rate of return on the bond, if the bond is kept till maturity, will be 3.79%.

The rate of return (RoR) is a tool for calculating the long-term profit or loss of an investment.

The RoR statistic may be used for a wide range of assets, including equities, bonds, property, and fine art.The real rate of return calculation takes inflation into account, whereas the simple rate of return calculation does not.The temporal worth of money is taken into account by the internal rate of return (IRR).

The solution to this question is mentioned below in the form of an image.

Therefore, The rate of return on the bond, if the bond is kept till maturity, will be 3.79%.

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Which service strategy describes structuring services so customers must go where the service is​ offered?

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The service strategy that describes structuring services so customers must go where the service is offered is known as a location-based strategy. This strategy focuses on the physical location of the service provider and aims to make it convenient for customers to access the service by having multiple service points or locations.

The location-based strategy is commonly used by businesses such as retail stores, restaurants, and banks. These businesses ensure that their services are offered in locations where their target customers are likely to be present. By structuring their services in this way, they create a more convenient and accessible experience for customers, which can increase customer loyalty and drive business growth. However, it is important to note that a location-based strategy may not be suitable for all businesses. Some services may require a more personalized approach, and customers may prefer to have the service brought to them. Therefore, businesses should carefully consider their target customers' preferences and needs when developing their service strategy.

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The management of the firm's short-term assets and liabilities is called: A) Working capital management. B) Financial depreciation. C) Agency cost analysis. D) Capital budgeting. E) Capital structure.

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The management of a firm's short-term assets and liabilities is called A) Working Capital Management. The correct option is A) Working Capital Management.

Working capital management involves managing a company's current assets, such as cash, inventory, and accounts receivable, and its current liabilities, such as accounts payable and short-term debt. The main goal of working capital management is to ensure that the firm has enough liquidity to meet its short-term obligations while efficiently utilizing its resources to generate profits.

This process includes managing cash flow, inventory levels, accounts receivable collections, and accounts payable. Effective working capital management helps a firm to maintain a balance between liquidity and profitability, enabling it to meet its financial obligations and maintain operational efficiency. In contrast, the other terms mentioned, such as financial depreciation, agency cost analysis, capital budgeting, and capital structure, are related to different aspects of corporate finance and are not directly involved in the management of short-term assets and liabilities.

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What is the present value of $2,825 per year, at a discount rate of 7 percent, if the first payment is received 9 years from now and the last payment is received 22 years from now? (Do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.)

Answers

The present value of the annuity is $12,432.62, rounded to 2 decimal places.

To calculate the present value of an annuity with a different start and end dates, we need to use the formula:

PV = [tex]C[(1 - (1 + r)^-n) / r] x (1 + r)^-t[/tex]

Where:

PV = present value of the annuity

C = the annual cash flow

r = the discount rate

n = the total number of payments

t = the number of periods between the first payment and the present

Plugging in the given values:

C = $2,825

r = 0.07

n = 14 (22 - 9 + 1)

t = 9

PV = $2,825[tex][(1 - (1 + 0.07)^-14) / 0.07] x (1 + 0.07)^-9[/tex]

PV = $2,825[8.6477] x 0.5084

PV = $2,825 x 4.3952

PV = $12,432.62.

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Good friends, Bernie Samples and Susan Randle each studied accounting in college. Recently they decided to work together as co-owners of a small accounting firm. This is an example of

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The decision by good friends Bernie Samples and Susan Randle to work together as co-owners of a small accounting firm is an example of a partnership. A partnership is a form of business organization in which two or more individuals share ownership of a business and work together to achieve a common goal.

Partnerships can be attractive to entrepreneurs for several reasons. They allow for the pooling of resources, skills, and expertise, which can help to improve the chances of success. Partnerships also offer a flexible organizational structure, with less formalities than a corporation, making them relatively easy and inexpensive to set up.

The partnerships also come with some potential drawbacks, such as shared liability for business debts and legal issues, as well as the possibility of disagreements or conflicts between partners. As with any business venture, it is important for partners to establish clear roles and responsibilities, communicate effectively, and work together to build a strong and successful business.

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Evaluate the decision to change the equipment's estimated useful life and estimated residual value to improve earnings. How does this change impact the usefulness of the company's net income for external decision makers

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Changing the equipment's estimated useful life and estimated residual value can be a good decision to improve earnings, as it will reduce depreciation expense and increase net income. However, this change can negatively impact the usefulness of the company's net income for external decision-makers.

This is because external decision-makers rely on financial statements to assess a company's financial health and make decisions. If the estimated useful life and residual value are changed, it can make it difficult for external decision-makers to compare the company's financial performance over time and with other companies in the industry. Therefore, it is important for the company to disclose any changes made to the estimated useful life and residual value in its financial statements and provide an explanation for the change.

consider the following steps:

1. Assess the reason for the change: Determine if the change is due to a legitimate change in the equipment's condition or merely an attempt to manipulate earnings.

2. Evaluate the impact on depreciation: A change in useful life and the residual value will affect the depreciation expense, altering net income.

3. Analyze the effect on financial statements: This change could impact the income statement, balance sheet, and cash flow statement, potentially misleading external decision-makers.

4. Assess the usefulness for external decision-makers: If the change is driven by legitimate factors, it may provide more accurate information. However, if done to manipulate earnings, it could reduce the net income's usefulness for external decision-makers.

In summary, changing the equipment's estimated useful life and residual value to improve earnings may impact the company's net income's usefulness for external decision-makers, depending on the legitimacy of the change.

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The closing date is July 10 and the taxes have been paid. What is the number of days for the seller's tax proration

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The number of days for the seller's tax proration: 175. The Correct option is: B. .

To determine the number of days for the seller's tax proration, we need to know the number of days in the tax year and the date of the last tax payment. Assuming a calendar year tax cycle and that taxes are paid in arrears, the seller's tax proration would cover the period from January 1 to the closing date, July 10.

There are 365 days in a standard calendar year, so the number of days from January 1 to July 10 is 190 (31 + 28 + 31 + 30 + 31 + 10). However, because the taxes have been paid, the seller is responsible for only the portion of the year up to the closing date, or 190 - 15 (assuming the taxes were paid on July 1) = 175 days.

Therefore, the number of days for the seller's tax proration is 175.

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Complete question:

The closing date is July 10 and the taxes have been paid. What is the number of days for the seller's tax proration?

A. 174

B. 175

C. 176

D. 177

Armco had annual sales of $190,000 with associated costs of $120,000 during 2019. Depreciation expense for this project is $30,000 per year over its 8-year life. The tax rate is 35 percent. What is Armco's cash flow from operations for 2019?

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Armco had annual sales of $190,000 with associated costs of $120,000 during 2019. Depreciation expense for this project is $30,000 per year over its 8-year life. Armco's cash flow from operations for 2019 is $70,000.

Armco's cash flow from operations for 2019 can be calculated by using the indirect method of the cash flow statement. The formula for cash flow from operations is as follows:
Cash flow from operations = Net income + Depreciation expense - Changes in working capital
First, we need to calculate the net income, which is the sales revenue minus the associated costs and depreciation expense. Net income can be calculated as follows:
Net income = Sales revenue - Associated costs - Depreciation expense
Net income = $190,000 - $120,000 - $30,000
Net income = $40,000
Next, we need to calculate the changes in working capital. Since the question does not provide any information about the changes in working capital, we can assume that there were no significant changes during the year. Therefore, we can assume that the changes in working capital are zero.
Now, we can calculate the cash flow from operations as follows:
Cash flow from operations = Net income + Depreciation expense - Changes in working capital
Cash flow from operations = $40,000 + $30,000 - $0
Cash flow from operations = $70,000
Therefore, Armco's cash flow from operations for 2019 is $70,000.

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When Goodyear sells replacement tires to final consumers, its potential market includes millions of car owners around the world. But its fate in business markets depends on getting orders from only a handful of large automakers. This represents the difference in ________ between business and consumer markets.

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The difference in demand concentration is a crucial factor that distinguishes business markets from consumer markets.

In business markets, a small number of buyers hold a significant share of the market demand, making them a critical target for suppliers. Conversely, consumer markets consist of a vast and diverse group of customers, and suppliers must cater to their individual needs and preferences. Goodyear's potential market for replacement tires includes millions of car owners worldwide, making it a consumer market. However, the company's fate in the business market depends on securing orders from only a handful of large automakers, such as Ford, General Motors, and Toyota, which hold a considerable share of the tire demand in the automotive industry. Therefore, understanding the concentration of demand in the market is essential for suppliers to tailor their marketing and sales strategies and succeed in business-to-business transactions.

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One of the chair lifts at a ski resort unloads 1800 skiers per hour at the top of the slope. The ride from the bottom to the top takes 12 minutes. How many skiers are riding on the lift at any given time?

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There are approximately 360 skiers riding on the chair lift at any given time.

Given that the chair lift at the ski resort unloads 1800 skiers per hour at the top of the slope, and the ride from the bottom to the top takes 12 minutes, we can determine the number of skiers riding on the lift at any given time.

First, we need to calculate the number of chair lift rides per hour. Since there are 60 minutes in an hour, and the ride takes 12 minutes, there will be 60 / 12 = 5 rides per hour.

Next, we need to determine how many skiers are unloaded during each ride. Since the lift unloads 1800 skiers per hour and there are 5 rides per hour, we can calculate this by dividing the total number of skiers by the number of rides. Therefore, 1800 skiers / 5 rides = 360 skiers per ride.

Now that we know there are 360 skiers per ride, we can conclude that there are approximately 360 skiers riding on the chair lift at any given time.

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Ogilvie Corporation issued 24,000 shares of no-par stock for $30 per share. Ogilvie was authorized to issue 47,000 shares. What effect will this event have on the elements of the company's financial statements

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Ogilvie Corporation's issuance of 24,000 shares of no-par stock for $30 per share will affect the company's financial statements as follows:

1. Cash: The company will receive cash from the sale of the 24,000 shares. This will increase the cash account by $720,000 (24,000 shares x $30 per share).

2. Common Stock: As no-par stock, the common stock account will also increase by the same amount as the cash received, which is $720,000.

3. Additional Paid-In Capital (APIC): Since the stock has no par value, there will be no APIC in this case.

4. Total Stockholders' Equity: The total stockholders' equity will increase by $720,000, as both cash and common stock accounts increase by this amount.

In summary, this event will result in an increase in the company's cash, common stock, and total stockholders' equity. The number of authorized shares (47,000) remains unchanged.

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Underwater Experiences issues a bond due in 5 years with a stated interest rate of 6% and a face value of $100,000. Interest payments are made semi-annually. The market rate for this type of bond is 5%. What is the issue price of the bond (rounded to nearest whole dollar)

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the issue price of the bond, rounded to the nearest whole dollar, would be $93,861.

To calculate the issue price of the bond, we need to determine the present value of the future cash flows associated with the bond, which includes the semi-annual interest payments and the principal repayment at maturity.

Since the bond has a face value of $100,000 and a stated interest rate of 6%, the semi-annual interest payment would be $100,000 x 6% x 1/2 = $3,000. The bond will make a total of 10 semi-annual interest payments over its 5-year term.

Using the market rate of 5%, we can calculate the present value of the future cash flows associated with the bond using the formula for the present value of an annuity:

PV = (C x (1 - 1/(1+r)^n)) / r + FV / (1+r)^n

where PV is the present value, C is the cash flow per period, r is the market interest rate, n is the number of periods, and FV is the future value.

Plugging in the values for the bond, we get:

PV = ($3,000 x (1 - [tex]1/(1+0.025)^10)[/tex]) / 0.025 + $100,000 / [tex](1+0.025)^10[/tex]

PV = $15,508.83 + $78,352.29

PV = $93,861.12

Therefore, the issue price of the bond, rounded to the nearest whole dollar, would be $93,861.

Learn more about here: #SPJ11To calculate the issue price of the bond, we need to determine the present value of the future cash flows associated with the bond, which includes the semi-annual interest payments and the principal repayment at maturity.

Since the bond has a face value of $100,000 and a stated interest rate of 6%, the semi-annual interest payment would be $100,000 x 6% x 1/2 = $3,000. The bond will make a total of 10 semi-annual interest payments over its 5-year term.

Using the market rate of 5%, we can calculate the present value of the future cash flows associated with the bond using the formula for the present value of an annuity:

PV = (C x (1 - [tex]1/(1+r)^n))[/tex] / r + FV / [tex](1+r)^n[/tex]

where PV is the present value, C is the cash flow per period, r is the market interest rate, n is the number of periods, and FV is the future value.

Plugging in the values for the bond, we get:

PV = ($3,000 x (1 - [tex]1/(1+0.025)^10)[/tex]) / 0.025 + $100,000 / [tex](1+0.025)^10[/tex]

PV = $15,508.83 + $78,352.29

PV = $93,861.12

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42.0% complete Question Keith, age 12, has $10,000 in unearned income and $20,000 in earned income in 2022. How much will be taxed at the parent's rate

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For tax purposes, unearned income is subject to a different set of rules than earned income. The rules for taxing unearned income of a child depend on the amount of the child's unearned income, as well as the child's age and the type of income.

For the tax year 2022, if a child has both earned income and unearned income, the child's standard deduction is the greater of $1,100 or earned income plus $350, up to a maximum of $12,550. This means that Keith's standard deduction would be $12,550, based on his earned income of $20,000.

The remaining income would be taxed at the parent's rate if the child's unearned income is over $2,200. In Keith's case, he has $10,000 in unearned income, which exceeds the threshold of $2,200. Therefore, the amount of Keith's unearned income that will be taxed at the parent's rate would be $10,000 minus the standard deduction of $12,550, which equals zero.

In this case, none of Keith's unearned income will be taxed at the parent's rate since his standard deduction for the year exceeds his total income.

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