On December​ 1, 2019,​ Carrie's Day Care receives $ 2 comma 700 in advance for an agreement to care for​ Susan's children for the months of​ December, January, and February.​ Carrie's Day Care will make an adjusting entry on December​ 31, 2019​ to:

Answers

Answer 1

Answer:

Unearned Revenue $900 (debit)

Revenue $900 (credit)

Explanation:

On 1 December Carrie's Day Care recorded Unearned Revenue of $2,700 the entry is as follows ;

Cash $2,700 (debit)

Unearned Revenue $2,700 (credit)

By end of the first month (31 December) one month`s revenue will have been earned and the unearned revenue balance decreases. The entries are as follows :

Unearned Revenue $900 (debit)

Revenue $900 (credit)

Calculation : December Revenue = 1/3 × $2,700 = $900


Related Questions

I'll have to investigate fraud once a person notifies them in writing that their information is an accurate

Answers

I'll have to investigate fraud once a person notifies them in writing that their information is an accurate and it does not show on records

How to investigate fraud

If an individual notifies in writing that their information is accurate and there are no indications of fraud, a fraud investigation may not be necessary. Instead, the focus should be on verifying the accuracy of the information and addressing any discrepancies through a verification or reconciliation process.

It is essential to communicate with the individual, update records if necessary, and maintain proper documentation. However, if fraud suspicions arise during the verification process or if the person later reports suspected fraud, a fraud investigation should be initiated following appropriate procedures.

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THE FOLLOWING INFO IS AVAILABLE FOR BERLIN CORPORATION FOR THE YEAR ENDING 12/31/20. OTHER REVENUE/GAINS= 12700, OTHER EXPENSES/LOSSES=13300, COST OF GOODS SOLD= 156000SALES 592000, OPERATING EXPENSES= 186000, SALES RETURNS= 40000. PREPARE A STEP-BY-STEP INCOME STATEMENT. TAX RATE IS 30 PERCENT

Answers

Based on the revenue, the expenses, the sales, and other entries, the step - by - step income statement for Berlin Corporation is:

                                         Berlin Corporation.

                                         Income Statement

Sales Revenue                                              $592,000

Less:  Sales Return                                       $40, 000

Net Sales                                                                           $552, 000

Less : Cost of Goods sold                                                ($156, 000)

Gross Profit                                                                         $396, 000

Less Operating expenses:                                                 (186, 000)  

Income from operations                                                    $210, 000

Other Revenue /Gains                                    12, 700

Other Expenses /Losses                                   (13, 300)       ( 600 )

Income before income taxes                                              $209 ,400

Less: Income tax expense                                                    ($62, 820)

Net Income / (Loss)                                                              $146,580

How to make an income statement?

When making an income statement, the goal is to find out how much net income or loss that a company makes.

First, write the revenue and then remove any sales returns or allowances. Then remove the cost of goods sold to find the gross profit. After this, the operating expenses are removed to find the income before taxes. After the taxes are removed, the remaining amount would be the Net income or loss.

The taxes here are:
= 209, 400 x 30%

= $62, 820

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The degree of operating leverage can be multiplied by a change in sales to determine the change in profit. (T/F)

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The stated statement is true so because change in profit may be calculated by multiplying the degree of operational leverage by a change in sales.

How does leverage work?

Financial leverage is the use of borrowed money (debt) to finance the purchase of assets in the anticipation that the income from the new asset or return of capital would outweigh the cost of borrowing. The definition of leverage is summed up in this idea.

How is leverage used in the workplace?

The capacity to double your efforts through influencing a systems or environment is known as leverage. To put it another way, it is putting in the correct amount of work through the right channels to increase returns for your company.

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By comparing prices at different stores, consumers will:

Answers

By comparing prices at different stores, consumers will save money and make informed purchasing decisions.

How can comparing prices at different stores benefit consumers?

Comparing prices at different stores allows consumers to make informed purchasing decisions and save money. By taking the time to research and compare prices, consumers can identify the best deals and discounts available for the products they intend to buy.

This practice helps them ensure that they are getting the most value for their money. It can also help consumers uncover any price discrepancies or inflated prices allowing them to avoid overpaying for goods and services.

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The S&P 500 stock index is at 1300. The annualized interest rate is 4.0 percent, and the annualized dividend is 2 percent. You are currently considering purchasing a two-month futures contract for your portfolio Refer to Exhibit 15.12. Calculate the current price of the futures contract.

Answers

Answer: $1,304.30

Explanation:

Current price can be calculated by the formula:

= 1,300 * ( 1 + (4% - 2%)) ^ 2/12 months

= 1,300 * 1.0033058903246372019414946658385

= $1,304.29

= $1,304.30

Wally's Walleyes wants to introduce a new product that has a start-up cost of $7,800. The product has a 2-year life and will provide cash flows of $4,500 in Year 1 and $4,300 in Year 2. The required rate of return is 15 percent. Should the product be introduced? Why or why not?

Answers

The calculated NPV is negative, indicating that the present value of expected cash flows does not exceed the start-up cost of the project. In other words, the project is expected to generate a net loss.

To determine whether Wally's Walleyes should introduce the new product, we can calculate the net present value (NPV) of the project. The NPV measures the present value of expected cash flows, taking into account the required rate of return.

To calculate the NPV, we need to discount the cash flows using the required rate of return (15 percent). The formula for calculating NPV is:

NPV = Cash Flow Year 1 / (1 + Required Rate of Return)^1 + Cash Flow Year 2 / (1 + Required Rate of Return)^2 - Start-up Cost

\(NPV = $4,500 / (1 + 0.15)^1 + $4,300 / (1 + 0.15)^2 - $7,800\)

\(NPV = $4,500 / 1.15 + $4,300 / (1.15)^2 - $7,800\)

NPV = $3,913.04 + $3,537.41 - $7,800

NPV = -$350.55

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Suppose that the demand and suppig equations of a consumer are given by: dd 150-sop Qu = 60+40p A, Show graphically and co-pute the consumer surplus? B. show graphically and compute the change in consumer-surpius Lohen the price changes to 2 ?​

Answers

The change in CS when the price increases from $30 to $32 are $22.

Suppose that the demand and supply equations of a consumer are given by:Qd = 150 - 5P and Qs = 60 + 4P, respectively.

Graphical representation of consumer surplus and change in consumer surplus us consider the graph of the given demand and supply equations below: Graph of the given demand and supply equationsWe can observe from the graph above that the equilibrium price is $20 and the equilibrium quantity is 70.

The consumer surplus (CS) can be calculated as the difference between the maximum price that the consumer is willing to pay and the actual price paid.

Suppose that the consumer purchases 40 units of the commodity at a price of $30 per unit.

The CS can be calculated as follows: Maximum price that the consumer is willing to pay is calculated as the difference between the intercept of the demand curve on the vertical axis and the price for the quantity demanded of 40 units as follows: Maximum price = $150 - 5(40) = $-50

This is because the maximum price that the consumer is willing to pay cannot be negative, hence, we conclude that the consumer surplus for a price of $30 is zero.

If the price increases to $32, the consumer will reduce the quantity demanded to 38. The change in consumer surplus is calculated as the difference between the initial and new CS as follows: Initial CS = 0New CS = (150 - 5(38)) - (32)(38) = $22

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A coupon bond paying semiannual interest is reported as having an ask price of 122% of its $1,000 par value. If the last interest payment was made one month ago and the coupon rate is 5%, what is the invoice price of the bond

Answers

Answer:

The correct answer is $1,224.12

Explanation:

According to the given scenario, the calculation of the invoice price of the bond is as follows:

Invoice price =  Clean price + accrued interest

here

Clean price

= 122% of $1,000

= $1,220

And, the accrued interest is

= ($1,000 × 0.05 ÷ 2) × (30 days ÷ 182 days)

= 4.12088

Now the invoice price is

= $1,220 + $4.12088

= $1,224.12

hence, the invoice price of the bond is $1,224.12

what step in the rational decision-making process involves assessing what worked and did not work about the process and solution

Answers

The  step in the rational decision-making process which involves assessing what worked and did not work about the process and solution is defining the problem.

What is rational decision-making process?

Rational decision  can be described as the opposite of intuitive decision making.

It can be described as the  strict procedure utilizing objective knowledge and logic and this also involves identifying the problem to solve, it hence The  step in the rational decision-making process which involves assessing what worked and did not work about the process and solution is defining the problem.

In conclusion, Decision making serves as the process that involves consideration of  choices through the identification of a decision.

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Answer:

the last step

Explanation:

Theories of Work Motivation Your Company provides diversity training programs to ensure that employees realize the importance of working with a diverse workforce, are aware of the equal employment opportunity legislation, and are capable of addressing the challenges of working in a multicultural workforce. Participation in these programs is mandatory, and employees are required to take the training as many times as needed until they pass. The training program lasts one day and is usually conducted in a nice hotel outside the workplace. Employees are paid for the time they spend in the training program. You realise that employees are not motivated to perform well in this program. During the training, they put in the minimum level of effort, and most participants fail the examination given at the conclusion of the training program and then have to retake the training. Adapted from:

Question 1 Instructions: This assignment should be submitted as an essay and include the following:
a. A definition of process theories of work motivation.
b. Use expectancy and reinforcement theories, and explain four reasons (supported by the literature) why the employees may not be motivated to perform well in the training program.
c. Suggest improvements in the program so that employees are motivated to understand the material, pass the examination, and apply the material in the workplace.

Answers

Work motivation is said to emanate from with an employee who is with a passion and desire in order to work and produce the desired results. So, the work motivation theory is the study in order to understand what drives a person to work towards a particular goal or outcome.

Suppose if an employee has piles of work which is already stacked on their desk, such things that are already there will take precedence over training. So, while developing their skills with work motivation will benefit them more in the long run.

There are certain ways in order to motivate employees to engage in a training program, which are, by making training a practical and job-relevant. make training a company priority, by employing gamification strategies, etc.

Hence, through this, employees will be motivated to understand the material, pass the examination, and apply the material in the workplace.

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Fill in the "description" column for the below table by mentioning if it is elastic, inelastic or unit
elastic.
Price
$2.0
$3.0
$4.0
$5.0
$6.0
$7.0
$8.0
$9.0
Quantity
20
18
16
14
12
10
8
6
Total Revenue
(Price x
Quantity)
$40
$54
$64
$70
$72
$70
$64
$54
Slope Point Elasticity Description
-2.00
$0.10
-0.20
-2.00 $0.17
-0.33
-2.00
$0.25
-0.50
-2.00
$0.36
-0.71
-2.00
$0.50
-1.00
-2.00 $0.70
-1.40
-2.00
$1.00
-2.00
-2.00
$1.50
-3.00

Answers

Answer:

Explanation:

Price   Quantity   Total Revenue   Description

$2.0        20                $40                    Elastic

$3.0        18                $54                    Elastic

$4.0        16                $64                    Elastic

$5.0        14                $70                    Unit Elastic

$6.0        12                $72                    Inelastic

$7.0        10                $70                    Inelastic

$8.0        8                   $64                    Inelastic

$9.0        6                   $54                    Inelastic

The description for each value is as follows:

-2.00: Elastic

-0.20: Inelastic

-0.33: Inelastic

-0.50: Inelastic

-0.71: Inelastic

-1.00: Elastic

-1.40: Elastic

-2.00: Elastic

What defines the elasticity of the demand?

To determine whether the demand is elastic, inelastic, or unit elastic, there is need to look at the absolute value of the slope of the point elasticity.

Price Qty Total Rev Slope Point Elast. Des.

$2.0 20 $40 -2.00 Elastic

$3.0 18 $54 -0.20 Inelastic

$4.0 16 $64 -0.33 Inelastic

$5.0 14 $70 -0.50 Inelastic

$6.0 12 $72 -0.71 Inelastic

$7.0 10 $70 -1.00 Elastic

$8.0 8 $64 -1.40 Elastic

$9.0 6 $54 -2.00 Elastic

Based on the given values, it is seen that when the absolute value of the slope of the point elasticity is less than 1, it indicates inelastic demand. When it is exactly 1, it represents unit elastic demand. And when it is greater than 1, it indicates elastic demand.

Therefore, the description for each value is as follows:

-2.00: Elastic

-0.20: Inelastic

-0.33: Inelastic

-0.50: Inelastic

-0.71: Inelastic

-1.00: Elastic

-1.40: Elastic

-2.00: Elastic

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Consider a firm redesigning its logistics network. What are the advantages of having a small number of centrally located warehouses? What are the advantages of having a larger number of warehouses closer to the end customers?

Answers

Small centrally located warehouses offer cost efficiency and simplified inventory management, while larger warehouses closer to customers provide faster delivery, better customer service, and cost savings in shipping.

Having a small number of centrally located warehouses offers several advantages in a firm's logistics network:

Cost Efficiency: Centralized warehouses can lead to cost savings in terms of inventory management, transportation, and operational overheads. With fewer warehouses, the firm can benefit from economies of scale in procurement, storage, and distribution.

Simplified Inventory Management: Managing inventory becomes more streamlined when there are fewer warehouses. It allows for better control and visibility over stock levels, reducing the risk of stockouts or overstocking.

Faster Transit Times: With centrally located warehouses, products can be shipped more quickly to various regions since they are closer to major transportation hubs. This reduces lead times and improves overall customer satisfaction.

Improved Coordination: Centralized warehouses facilitate better coordination and synchronization of supply chain activities. It becomes easier to manage inbound and outbound logistics, optimize transportation routes, and consolidate shipments.

On the other hand, having a larger number of warehouses closer to end customers provides the following advantages:

Faster Delivery: Proximity to end customers enables faster order fulfillment and delivery. Products can reach customers more quickly, reducing transit times and improving responsiveness.

Enhanced Customer Service: Local warehouses allow for better customization and personalization of service. They can cater to specific regional preferences, offer faster response times to customer queries, and handle returns or exchanges more efficiently.

Lower Shipping Costs: By locating warehouses closer to customers, transportation costs can be reduced as products travel shorter distances. This can lead to cost savings in shipping expenses.

Flexibility and Redundancy: Having multiple warehouses distributed geographically provides redundancy and flexibility in the supply chain. It mitigates the risk of disruptions, such as natural disasters or transportation issues, as the firm can rely on alternative warehouse locations.

In summary, a small number of centrally located warehouses offer cost efficiency and streamlined inventory management, while a larger number of warehouses closer to end customers provide faster delivery, improved customer service, lower shipping costs, and increased flexibility.

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Help I’ll give you 30 pts

Help Ill give you 30 pts

Answers

Answer:

Dejé caer las pastillas

Ellas perdieron la recepie

Tengo la radiografia

Explanation:

aquí ypu va! ¡Espero que esto ayude!

'professionally managed and centrally coordinated marketing channels designed to achieve channel economies and maximum marketing impact are referred to as

Answers

In order to achieve channel economies and the most possible marketing impact, vertical marketing systems—professionally managed and centrally coordinated marketing channels—were developed.

What do you mean by vertical marketing system in terms of marketing?

A vertical marketing system is produced when wholesalers, retailers, and manufacturers all collaborate to meet the needs of their customers. It makes it possible for one company to have complete control over the production and distribution of a thing.

A vertical marketing system's ability to act as a system is one of its advantages.

The main advantage of VMS is that it allows your company total control over all facets of developing and promoting a product. By being able to see the larger picture, anticipate problems, and make changes as needed, doing this increases your efficiency.

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q Conflict Consequences 2 Difference between critical and Creative thinking. 3. Positive Use & Teisure time 41m Portance & Self Identity Svalues associated with creative Thinking​

Answers

Critical thinking involves analyzing and evaluating information, while creative thinking involves generating new ideas and solutions. Positive use of leisure time includes engaging in activities that promote personal well-being, learning, self-improvement, socializing, and exploring new experiences.

Difference between critical and creative thinking:

Critical thinking is a cognitive process that involves analyzing and evaluating information or arguments in a logical and systematic manner. It focuses on objective analysis, reasoning, and problem-solving. Critical thinking requires the ability to question assumptions, recognize biases, and assess evidence to form well-reasoned judgments or decisions.

On the other hand, creative thinking involves generating new ideas, insights, or solutions. It is a process of divergent thinking, breaking away from conventional thoughts and exploring alternative perspectives.

Creative thinking often involves combining different ideas, making connections, and thinking outside the box. It encourages imagination, flexibility, and the ability to embrace uncertainty.

While critical thinking aims to assess and evaluate existing information or arguments, creative thinking aims to generate new possibilities or approaches. Critical thinking seeks to analyze and deconstruct, while creative thinking seeks to synthesize and construct.

Positive use of leisure time:

Leisure time refers to the period when individuals are free from work or other obligations and can engage in activities of their choice. Positive use of leisure time involves engaging in activities that contribute to personal well-being, growth, and fulfillment. Here are some examples:

Pursuing hobbies and interests: Engaging in activities such as painting, playing a musical instrument, gardening, or sports can provide relaxation, personal enjoyment, and a sense of accomplishment.

Learning and self-improvement: Using leisure time to learn new skills, read books, take online courses, or engage in personal development activities can enhance knowledge, broaden perspectives, and foster personal growth.

Physical and mental well-being: Allocating leisure time for exercise, meditation, yoga, or other wellness activities promotes physical fitness, reduces stress, and enhances overall well-being.

Socializing and building relationships: Spending leisure time with family, friends, or participating in community activities helps foster social connections, build relationships, and strengthen support networks.

Exploring new experiences: Traveling, visiting museums, attending cultural events, or trying new cuisines broadens horizons, provides exposure to different cultures, and creates memorable experiences.

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Magnificent Blooms is a florist specializing in floral arrangements for weddings, bo graduations, and other events. Magnificent Blooms has a fixed cost associated with space and equipment of $100 per day. Each worker is paid $50 per day. The daily production § function for Magnificent Blooms is shown in the accompanying table. © Macmil Submit All Quantity of labor (workers) 0 1 2 3 4 5 a. Calculate the marginal product of each worker. Quantity of floral arrangements 0 5 9 12 14 15 Marginal product Quantity of labor (workers) 1 2

Answers

The marginal product of each worker for Magnificent Blooms is as follows: Worker 0: N/A: Worker 1: 5: Worker 2: 4: Worker 3: 3: Worker 4: 2: Worker 5: 1

To calculate the marginal product of each worker for Magnificent Blooms, we need to determine the change in the quantity of floral arrangements resulting from each additional worker.

Here's how to calculate the marginal product for each worker:

Worker 0: Since there are no workers (0 workers), the quantity of floral arrangements is 0. Therefore, the marginal product for worker 0 cannot be calculated.

Worker 1: The quantity of floral arrangements with 1 worker is 5. To calculate the marginal product for worker 1, we subtract the quantity of floral arrangements with 0 workers from the quantity with 1 worker: 5 - 0 = 5.

Worker 2: The quantity of floral arrangements with 2 workers is 9. To calculate the marginal product for worker 2, we subtract the quantity of floral arrangements with 1 worker from the quantity with 2 workers: 9 - 5 = 4.

Worker 3: The quantity of floral arrangements with 3 workers is 12. To calculate the marginal product for worker 3, we subtract the quantity of floral arrangements with 2 workers from the quantity with 3 workers: 12 - 9 = 3.

Worker 4: The quantity of floral arrangements with 4 workers is 14. To calculate the marginal product for worker 4, we subtract the quantity of floral arrangements with 3 workers from the quantity with 4 workers: 14 - 12 = 2.

Worker 5: The quantity of floral arrangements with 5 workers is 15. To calculate the marginal product for worker 5, we subtract the quantity of floral arrangements with 4 workers from the quantity with 5 workers: 15 - 14 = 1.

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Which of the following is not a type of trademark? fanciful arbitrary simple suggestive

Answers

Considering the available options, the choice that is not a type of trademark is "Simple."

What is a Trademark?

Trademark is the term used to describe the word, phrase, design or symbol, or combination thereof.

Generally, the purpose of a Trademark is to create the identity for the source of the commodities such that these commodities can be easily differentiated from similar commodities.

Different types of Trademarks

There are four major categories of Trademarks which include the following:

Coined or Fanciful trademarkArbitrary trademarkSuggestive trademarkDescriptive trademark

Hence, in this case, it is concluded that the correct answer is "Simple."

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Answer:

The answer is B

Explanation:

got it right on edge 2022

Estate has an ROI of 16% based on revenues of $400,000. the residual income is $14,000 and the investment turnover is 2. what is the hurdle rate? With Explanation

Answers

If Estate has an ROI of 16% based on revenues of $400,000. the residual income is $14,000 and the investment turnover is 2. The hurdle rate is 9%.

How to find hurdle rate?

First step is to find the investment turnover using this formula

Investment turnover=Sales/invested capital

Investment turnover = ($14,000 / $400,000) × 2

Investment turnover = 0.035 × 2

Investment turnover =0.07

Second step is to find the hurdle rate using this formula

Hurdle rate = ROI - Investment turnover

Hurdle rate = 0.16 - 0.07

Hurdle rate = 0.09× 100

Hurdle rate = 9%

Therefore the hurdle rate is 9%.

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explanation of how business intelligence is used or could be used to support SpaceX's 3D printing process

Answers

By providing greater performance and efficiency business intelligence is could be used to support SpaceX's 3D printing process.

By providing insights into performance and efficiency, highlighting areas for improvement, forecasting future outcomes, real-time monitoring, and supply chain optimization, business intelligence can help SpaceX's 3D printing process.

SpaceX can optimize the printing process, avoid expensive errors, and increase efficiency by tracking key performance indicators, reviewing historical data, and monitoring the process in real-time. BI can also help cut costs and improve the supply chain. Overall, BI can offer SpaceX useful data driven decision making support so that it can keep innovating in the aerospace sector.

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First National Bank Assets Liabilities and Net Worth US Treasury Bonds $450,000 Net Worth $500,000 Reserves (Cash) $175,000 Checkable Deposits $250,000 Loans $125,000 Second National Bank Assets Liabilities and Net Worth US Treasury Bonds $100,000 Net Worth $250,000 Reserves (Cash) $250,000 Checkable Deposits $100,000 Third National Bank Assets Liabilities and Net Worth US Treasury Bonds $900,000 Net Worth $1,000,000 Reserves (Cash) $350,000 Checkable Deposits $500,000 Loans $250,000


The Required Reserve Ratio is 25% for all banks. Assuming that all the customers that have outstanding loans have used all of those additional funds to invest in new machinery for their businesses (therefore, the amount of Checkable Deposits is the true liability the bank has to its customers), then $_____________ is the resulting change to the loan creating potential of the whole system (these three banks) as a result of Second National Bank customers depositing an additional $400,000 in their Checkable Deposit accounts in new loans.

Answers

As a result, the system's overall capacity to create loans increases by $750,000.

what are the assets and liabilities of the First National Bank?

For all banks, a 25% reserve ratio is necessary. This means that banks can lend out the remaining 75% of their checkable deposits after holding 25% of them as reserves.

Before Second National Bank's clients added another $400,000 to their checkable deposit accounts, the sum of the three banks' checkable deposits was as follows:

$250k First National Bank

$100,000 Second National Bank

$50000 Third National Bank

There were $850,000 worth of checkable deposits in the system.

Each bank needs to have the following reserves:

First National Bank: 25% times $250 000 is $62,500

Second National Bank: 25% times $100,000 equals $25,000.

Third National Bank: $125,000 x 25% of $500,000

$212,500 in total reserves are needed for the system.

The banks had $637,500 ($850,000 - $212,500) available for loans prior to the additional deposit. The system's total checkable deposits rose to $1,250,000 ($850,000 + $400,000) after customers of Second National Bank added an extra $400,000 to their accounts.

The updated necessary reserves for any bank are:

First National Bank: 25% times $250 000 is $62,500

Second National Bank: $125,000 x 25% of $500,000

Third National Bank: $187,500 ($25% x $750,000)

The system now has to have reserves of $375,000 ($62,500 + $125,000 + $187,500).

As a result, Second National Bank clients depositing an additional $400,000 in new loans in their checkable deposit accounts has the following impact on the system as a whole (these three banks):

$750,000 is equal to $1,250,000 (new checkable deposits) minus $375,000 (new needed reserves) and $125,000 (current Second National Bank reserves).

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What is defined as a “take-home pay”?
A. Paystub
B. Net income
C. Salary
D. Wages

What is defined as a take-home pay?A. PaystubB. Net incomeC. SalaryD. Wages

Answers

Answer:

B. Net income

Explanation:

"Take-home pay" refers to the amount of money that an individual receives after all deductions, such as taxes and contributions to social security or health insurance, have been taken out of their gross income. It is the amount of money that the individual actually takes home and has available to use for expenses and savings. "Take-home pay" is also sometimes referred to as "net pay" or "take-home salary." It is important to note that take-home pay is different from an individual's gross income, which is the total amount of money earned before any deductions are made.

Take-home pay can be  defined as  Net income. It is the amount of money left over after taxes, benefits, and voluntary contributions have been deducted from a paycheck. The correct option is a.

Take-home pay represents the net amount of income received after taxes, benefits, or voluntary contributions are deducted from a paycheck. It is the difference after subtracting all deductions from gross revenue. Federal, state, and municipal income taxes, Medicare and Social Security contributions, retirement plan contributions, and medical, dental, and other insurance premiums are all deductible. The employee receives the net amount, sometimes known as take-home pay.

The take-home pay is the net pay amount shown on a paycheck. Paychecks and pay statements detail the income earned within a specific pay period. Earnings and deductions are both listed on pay statements. Income tax, FICA, and Medicare tax withholdings are all examples of common deductions.

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how the fourth industrial revolution affects education​

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The fourth industrial revolution, also known as Industry 4.0, is bringing about a massive transformation in the way we live, work and learn.

What is industrial revolution?

The Industrial Revolution was a period of time in the 18th and 19th centuries when major changes in agriculture, manufacturing, and transportation had a profound effect on the socioeconomic and cultural conditions in Britain.

It is characterized by the increased use of technologies such as artificial intelligence (AI), the Internet of Things (IoT), robotics, and 3D printing. These changes are having a profound effect on education, from the way students learn to the way teachers teach.
One of the major impacts of the fourth industrial revolution on education is the shift from traditional instructional methods to more personalized, adaptive learning. With the use of AI and machine learning, students can now receive tailored instruction and content that is tailored to their individual learning styles and needs. This not only helps to increase student engagement and achievement, but also helps teachers to better meet the needs of their students.
Another way the fourth industrial revolution is affecting education is through the increased use of technology in the classroom. Technologies such as virtual reality and augmented reality are being used to create immersive learning experiences, while collaborative platforms are being used to facilitate group discussions and activities. This increased use of technology is allowing students to gain more hands-on experience and to better understand complex concepts.
Finally, the fourth industrial revolution is also having an impact on how students are assessed. With the use of AI and machine learning, teachers are able to gain insights into student performance and assess them in real time. This not only allows for more accurate assessment and feedback, but also helps to ensure that students are learning the material effectively.

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Suppose you own a bicycle but haven't found the time to ride it much lately. These days, it is only worth $25 to you. One of your close friends, who recently got a job at the college bookstore two miles down the road, wants to take it off your hands. He offers you $70 for the bicycle, and you gladly accept. Your friend is also happy because he thinks the bicycle is worth $94 . How much total value was created from this trade? $

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The total value created from this trade can be calculated by subtracting the value of the bicycle to you from the value of the bicycle to your friend and adding it to the value of the bicycle to you.

The value of the bicycle to you is $25 and the value of the bicycle to your friend is $94.

Therefore, the total value created from this trade is: $94 - $25 + $70 = $139

So, the total value created from this trade is $139.

This firm which has twenty years’ experience in this business is the first choice for all individuals and companies that want quality service. You have on the contrary, observed that many of the management practices have not developed precipitously as situations in the business environment warrant. The accountant confirmed this by saying in the last general meeting that a certain percentage of San’s profit margin is being lost because of this situation. She gave the example that the surveying department spent eight labor hours generating data that had been generated two weeks ago by another unit. Due to the fact that the surveying department did not know that the data had already been created, a substantial effort was wasted and this has been a recurrent problem. In addition, the increase in demand of the services of San’s Consulting has placed significant pressures on the five managers whose duties are not clearly defined. For instance, you have observed that any of these managers perform duties in the operations department as well as any other unit within the firm. They are not able to perform all the functions required of them due to the ineffectiveness of the organizational structure. You and the members of your group are expected to write a report to the top-level management team regarding your analysis of the situation in the firm. Questions 1. Explain which of the four main management functions is/are not operating as it/they should within the firm?

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Explanation:

The four main managerial functions are:

Staffing, Planning, Directing,Organization.

Analyzing each of the functions from the company scenario described in the question, it is possible to notice several flaws:

1- Staffing:

With the increase in workload, management is unable to establish an effective planning of workers needed to carry out the tasks, therefore having an ideal serial investment in training and development so that the work becomes more qualified, it would also be ideal to recruit more workers to supply the work load.

2- Planning:

With the increase in demand, it is necessary for management to develop strategies and establish organizational goals and objectives.

3- Direction:

The creation of adequate communication channels will be essential so that there is a greater targeting of employees in order to achieve the company's objectives, it is necessary to have guidance and direction as to the efficiency and productivity that the company expects from employees.

4- Organization:

The management must coordinate the different organizational functions and departments, providing the financial and human resources necessary to carry out the organizational tasks. Communication must also be clear and direct, so that there is greater understanding and commitment from employees.

A main element of financial statement analysis is the use of common-size financial statements, also called "vertical analysis." A common-size balance sheet divides each account's value by the value of total assets, while a common-size income statement divides each entry by net sales revenue.
Common-size balance sheets immediately show how a firm's assets, liabilities, and equity are distributed. Common-size income statements give a quick snapshot of how various expenses and types of income relate to sales revenue. The following common-size statements show that total liabilities are 51.2% of total assets, while long-term debt is 36.7% of total assets. In your finance course, you will learn the significance of these relationships.
Complete the missing entries in the following common-size statements:

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Common-size balance sheets immediately shown below how  a firm's assets, liabilities, and equity are distributed.

Question           formula                            calculation                     answer

A           Account receivable / assets     710/ 4387 = 16.187 %         16.2%

B            Notes payable/ assets               240 / 4387 = 5.47 %          5.5%

C        Total Current liability/ assets        636/ 4387 = 14.49 %        14.5%

D        Cost of goods sold/ revenue           2781/ 7000= 39.728%     39.7%

E       R & D Expense / total revenue         912 /7000 =13.028%     13.0%    

Financial statements:

Financial statements are written documents that describe a company's operations and financial performance. Accountants, businesses, government agencies, and others frequently audit financial statements. to guarantee accuracy and for investment, financing, and tax purposes.

What function do financial statements serve?

A company's performance, operations, and cash flow are all detailed in financial statements, which provide a snapshot of the company's financial health. Since they provide information about a company's revenue, expenses, profitability, and debt, financial statements are essential.    

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Harold Hill borrowed $16,900 to pay for his child’s education at Riverside Community College. Harold must repay the loan at the end of 18 months in one payment with 212% interest

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Harold Hill will therefore be required to pay back a total of $25,428.20 after 18 months, which includes both the principal and interest.

To calculate the total amount that Harold Hill will have to repay at the end of 18 months

We must add the interest to the principal sum to determine the total that Harold Hill will be required to repay after 18 months.

Let's start by figuring out how much interest Harold will have to pay:

Interest is calculated as follows:

Principal = Principal x Rate x Time

= 16,900 x 2,12 x (18/12)

= 16,900 x 2,12 x 1.5 = 8,528.20

Here, we have used a rate of 212%, which is expressed as 2.12 in decimal form. We have also multiplied the time in years by 1.5 to convert it to 18 months.

Now, we can calculate the total amount that Harold will have to repay:

Total Amount = Principal + Interest

= $16,900 + $8,528.20

= $25,428.20

Therefore, Harold Hill will therefore be required to pay back a total of $25,428.20 after 18 months, which includes both the principal and interest.

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Brief Exercise 8-5 Vaughn Company uses a periodic inventory system. For April, when the company sold 450 units, the following information is available. Units Unit Cost Total Cost April 1 inventory330$22$ 7,260 April 15 purchase380269,880 April 23 purchase 290 29 8,410 1,000 $25,550 Compute the April 30 inventory and the April cost of goods sold using the FIFO method. Ending inventory $ Cost of goods sold

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Answer:

Results are below.

Explanation:

Giving the following information:

Units sold= 450 units

Units Unit Cost Total Cost

April 1 inventory= 330 units at $22

April 15 purchase= 380 units art $26

April 23 purchase= 290 units at $29

To calculate the ending inventory, first, we need to determine the number of units in ending inventory:

Ending inventory in units= 330 + 380 + 290 - 450= 550 units

Ending inventory FIFO= 290*29 + 260*26= $15,170

COGS= 330*22 + 120*26= $10,380

It may seem odd, but why would anyone buy bonds if they have a negative interest rate?

Choose one or more:
A. People who buy these bonds wish to help the government pay down debt at a lower cost.
B. Some pension funds are required to keep a portion of their portfolios in government bonds.
C. Government bonds are almost riskless.
D. The prices of alternative "safe" assets like gold do not change very much.

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My opinion is that its government bonds seem to be almost risk-free.

How are governmental bonds issued?

Bonds are a common form of capital raising used by both governments and enterprises. In essence, you are making a loan to the issuer when you buy a bond. In return, they promise to pay your interest just on bond on a regular basis, usually twice a year, and to pay back the full loan amount on a specific date.

What do current government bonds pay?

I-bonds issued between November 2022 and April 2023 have a 6.89% composite rate.

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How a company classifies its inventory depends on whether the firm is a merchan- diser or a manufacturer. In a merchandising company. such as those described in Chapter 5, inventory consists of many different items. For example, in a grocery store, canned goods, dairy products, meats, and produce are just a few of the inven- tory items on hand. These items have two common characteristics: (1) They are owned by the company, and (2) they are in a form ready for sale to customers in the ordinary course of business. Thus, merchandisers need only one inventory classifi- cation, merchandise inventory, to describe the many different items that make up the total inventory.​

Answers

Answer:

2.94

Explanation:

Is it possible to incorporate investment and speculation within the same security explain?

Answers

It is not possible to combine both of them. This is a great investment strategy. Generally, speculation is defined as someone predicting that the value of something will rise.

They would then commit a larger sum of money on a single transaction, hoping that it would be beneficial.

Investors increase their wealth in a methodical manner, purchasing assets with tolerable levels of risk in exchange for long-term gain.

Speculators, on the other hand, purchase assets that may increase rapidly but may potentially lose their entire worth if they fall out of favor.

Market players include both investors and speculators.

The goal of investment and speculation is to make money.

Nonetheless, they differ greatly in terms of risk tolerance, expected rewards, and decision foundation  types of funds used, etc.

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