which type of scale would be appropriate to prioritize a requirement that is mission critical?

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Answer 1

A nominal scale would be appropriate to prioritize a mission-critical requirement.

In order to prioritize a requirement that is mission-critical, a scale that allows for categorical ranking without any quantitative measurement would be appropriate. The nominal scale is the most basic level of measurement where categories are assigned for identification or classification purposes. It does not involve any ordering or quantitative assessment of the variables.

Using a nominal scale, the mission-critical requirement can be classified as a distinct category separate from other requirements. This allows for clear identification and prioritization of the requirement based on its criticality. Other scales, such as ordinal or interval scales, involve ranking or quantitative measurement, which may not be suitable for capturing the specific importance of a mission-critical requirement. Therefore, a nominal scale is the most appropriate choice to prioritize such a requirement, ensuring it receives the necessary attention and resources.

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Related Questions

what are the seven characteristics of an agile mis infrastructure

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An agile MIS infrastructure is one that is flexible, responsive, and adaptive to the changing needs of an organization. The seven characteristics of an agile MIS infrastructure are as follows:

1. Accessibility: The infrastructure should be accessible from anywhere, anytime, and through any device.

2. Availability: The infrastructure should be available 24/7, with minimal downtime.

3. Scalability: The infrastructure should be easily scalable to accommodate changing business needs.

4. Security: The infrastructure should have robust security measures in place to protect against cyber threats.

5. Reliability: The infrastructure should be reliable, with minimal errors or failures.

6. Agility: The infrastructure should be agile, allowing for quick and easy changes to be made as needed.

7. Adaptability: The infrastructure should be adaptable, allowing for new technologies and processes to be incorporated seamlessly.

Overall, an agile MIS infrastructure is critical for organizations to stay competitive in today's fast-paced digital landscape.

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The inflation rate in Japan is 3% and the inflation rate in the US is 5%. If the Japanese yen appreciated by 3% against the dollar in nominal terms did the yen appreciate or depreciate against the dollar in real terms?

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The Japanese yen appreciated against the US dollar in real terms.

To determine whether the Japanese yen appreciated or depreciated against the US dollar in real terms, we need to consider the inflation differentials between the two countries.

In this scenario, the inflation rate in Japan is 3% and the inflation rate in the US is 5%. Since the inflation rate in the US is higher, it means that the US dollar's purchasing power is decreasing at a faster rate compared to the Japanese yen.

Now, let's consider the nominal appreciation of the Japanese yen against the US dollar, which is 3%. Nominal appreciation refers to an increase in the value of a currency relative to another currency, without considering inflation.

To determine the real appreciation or depreciation, we need to adjust for inflation. Real appreciation or depreciation takes into account the difference in inflation rates between the two countries.

Since the inflation rate in Japan is lower than the inflation rate in the US, the Japanese yen's purchasing power is increasing at a relatively faster rate compared to the US dollar. Therefore, when we adjust for inflation, the Japanese yen would have appreciated against the US dollar in real terms.

In other words, the nominal appreciation of the Japanese yen by 3% is higher than the inflation differential of 2% (5% US inflation rate minus 3% Japan inflation rate), indicating a real appreciation of the yen against the US dollar.

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Company has a long-term debt ratio (i.e., the ratio of long-term debt to long-term debt plus equity) of .48 and a current ratio of 1.37. Current liabilities are $2,445, sales are $10,615, profit margin is 9 percent, and ROE is 14 percent.
What is the amount of the firm’s current assets?

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The amount of the firm's current assets is approximately $3,351.To calculate the amount of the firm's current assets, we can use the current ratio and the current liabilities provided. The current ratio is defined as the ratio of current assets to current liabilities.

Given that the current ratio is 1.37, we can set up the following equation:Current Assets / Current Liabilities = 1.37.Plugging in the value for current liabilities ($2,445), we can solve for the current assets:Current Assets / $2,445 = 1.37

Cross-multiplying, we have:Current Assets = 1.37 * $2,44 Current Assets = $3,350.65 (rounded to the nearest dollar)Therefore, the amount of the firm's current assets is approximately $3,351.

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jill enters into a contract to buy a certain building from kim. at the closing, kim refuses to transfer title. in a suit for breach, jill should seek specific performance to

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In a situation where Jill enters into a contract with Kim to buy a certain building, but Kim refuses to transfer the title at the closing, Jill can seek specific performance as a remedy in a breach of contract lawsuit.

Specific performance is an equitable remedy that aims to enforce the contractual terms by compelling the breaching party (Kim) to fulfill their obligations as agreed upon in the contract.

By seeking specific performance, Jill is essentially asking the court to order Kim to complete the transfer of title and perform their contractual duty of transferring the building. This remedy is often pursued in cases involving unique or valuable assets like real estate , where monetary damages may not adequately compensate the injured party (Jill) for the loss suffered.

However, it's important to note that specific performance is not always granted by the court. The court will consider various factors, including the feasibility and practicality of enforcing the specific performance remedy. If specific performance is not granted, Jill may alternatively seek other remedies, such as monetary damages, to compensate for any losses incurred due to the breach of contract.

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If you give Jose a higher performance rating because he is performing better than his peers, even though all of your subordinates including Jose are not performing up to the performance standard, this is an example of the ___________ effect.
contrast
recency
horns
halo

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This situation is an example of the contrast effect. The contrast effect occurs when an individual's performance is evaluated based on a comparison with their peers, rather than against an objective performance standard.

`In this case, you give Jose a higher performance rating because he is performing better than his peers, even though none of your subordinates, including Jose, are meeting the performance standard. This leads to a distorted evaluation of performance, as the focus is on relative performance rather than absolute performance.

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This is an example of the leniency bias. The leniency bias occurs when a rater is too generous or lenient in their assessment of an employee's performance, which can lead to inflated ratings that do not accurately reflect the individual's abilities or contributions.

What leads to leniency mistake?

A type of rating error in which participants' performances or abilities are consistently given ratings that are overly positive. It results from the rater's propensity to give unjustly high evaluations and to be overly positive or tolerant of flaws. referred to as leniency bias.

The leniency bias refers to the rater being too forgiving of the subject of the rating.

Therefore, all scores are very high because the employee is rated favourably regardless of performance, it can be difficult to identify an employee's true pattern of strengths and weaknesses.

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Your firm is considering a project with the following after-tax cash flows (in $millions) Cases Probability t=0 t = 1 t=2 t = 3 t = 4 Best 30% -17 13 13 13 13 Average 40% - 17 8 8 8 8 8 Worst 30% -17 -5 -5 -5 -5 Your firm has an option to abandon the project after 1 year of operation, in which case it can sell the asset and receive $10 millions after taxes in cash at the end of Year 2. The WACC is 11%. Estimate the value of the abandonment option. $5.74 million $6.48 million $6.90 million $5.94 million $6.11 million

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The value of the abandonment option is approximately $9.64 million. To estimate the value of the abandonment option, we can use the net present value (NPV) method. We calculate the NPV of both scenarios: continuing the project and abandoning the project.

Continuing the project:

Probability: Best (30%)

NPV = [tex][13/(1+0.11)^1] + [13/(1+0.11)^2] + [13/(1+0.11)^3] + [13/(1+0.11)^4][/tex]

= 11.71 + 10.51 + 9.41 + 8.41

= 40.04 million

Probability: Average (40%)

NPV [tex]= [8/(1+0.11)^1] + [8/(1+0.11)^2] + [8/(1+0.11)^3] + [8/(1+0.11)^4][/tex]

= 7.21 + 6.47 + 5.82 + 5.23

= 24.73 million

Probability: Worst (30%)

NPV =[tex][-5/(1+0.11)^1] + [-5/(1+0.11)^2] + [-5/(1+0.11)^3] + [-5/(1+0.11)^4][/tex]

= -4.50 - 4.04 - 3.64 - 3.28

= -15.46 million

Calculating the expected NPV:

Expected NPV = (0.3 * 40.04) + (0.4 * 24.73) + (0.3 * -15.46)

= 12.01 + 9.89 - 4.64

= 17.26 million

Abandoning the project:

Value of the asset at the end of Year 2 = $10 million

Discounting the asset value back to Year 1:

NPV of the asset = [10/(1+0.11)^2]

= 7.62 million

Subtracting the NPV of the asset from the expected NPV of continuing the project:

Value of the abandonment option = Expected NPV - NPV of the asset

= 17.26 - 7.62

= 9.64 million

Therefore, the value of the abandonment option is approximately $9.64 million.

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(a) You have a long open position, that is, you are expecting a future foreign currency inflow. Under what conditions would you be indifferent between hedging this position via a forward transaction and hedging it via the money markets if the position is a foreign-currency accounts receivable that you would like to finance? In other words, assume that you would like to borrow now against the expected proceeds of the accounts receivable inflow (sell forward and borrow against proceeds in domestic currency, versus borrow foreign currency and sell the proceeds in the spot market, etc.).
(b) Explain briefly how variable collateral and periodic re-contracting can be used to reduce default risk in forward markets.

Answers

Hedging refers to the practice of taking strategic actions or using financial instruments to mitigate or offset potential risks and uncertainties in various areas, such as investments, business operations, or commodities trading.

(a) You would be indifferent between hedging the long open position via a forward transaction and hedging it via the money markets under the following conditions:

1. Interest Rate Parity: Interest rate parity states that the difference in interest rates between two currencies should be equal to the forward exchange rate premium or discount. If interest rate parity holds, the cost of borrowing in one currency and converting it into another currency should be equal to the cost of borrowing in the second currency directly. Therefore, if interest rate parity holds, you would be indifferent between the two hedging options.

2. Forward Premium/Discount: The forward premium or discount is the difference between the spot exchange rate and the forward exchange rate. If the forward rate is at a premium or discount relative to the spot rate, it would affect the relative costs of the hedging options. If the forward premium or discount is significant and favors one option over the other, you may prefer the option that provides a more favorable exchange rate.

3. Financing Costs: Consider the financing costs associated with borrowing in the domestic currency and borrowing in the foreign currency. If one option offers lower borrowing costs compared to the other, it may be more favorable. Factors such as interest rates, transaction fees, and creditworthiness should be taken into account when evaluating financing costs.

(b) Variable collateral and periodic re-contracting can be used to reduce default risk in forward markets by providing additional safeguards and flexibility. Here's how they work:

1. Variable Collateral: In forward markets, counterparties often require collateral as security against potential default. Variable collateral refers to adjusting the amount of collateral required based on changes in the market conditions or the creditworthiness of the parties involved. By using variable collateral, the risk of default can be mitigated. If one party's creditworthiness deteriorates or the market conditions become riskier, the required collateral can be increased to ensure that the counterparty is adequately protected.

2. Periodic Re-contracting: Forward contracts typically have a longer-term duration, and circumstances may change during that period. Periodic re-contracting involves revisiting and renegotiating the terms of the forward contract at regular intervals. By periodically reassessing the contract, the parties can adjust the terms based on changes in market conditions, creditworthiness, or other relevant factors. This allows for greater flexibility and ensures that the contract remains aligned with the parties' current risk appetite and expectations.

Both variable collateral and periodic re-contracting help to manage default risk in forward markets by adapting to changing circumstances and providing an ongoing mechanism for risk assessment and adjustment. These practices enhance the stability and reliability of forward transactions and reduce the likelihood of default.

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question 7 one of your co-workers is giving a presentation on the results of an analysis the two of you have been working on. someone in the audience points out that the data system you used has frequent errors. how should you deal with this comment?

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Acknowledge the comment and express gratitude for bringing up the concern, then address it by explaining the steps taken to mitigate errors in the data system.

When faced with such a comment, it is important to maintain professionalism and handle the situation tactfully. Begin by thanking the individual for their observation and acknowledging the concern raised. This demonstrates openness and a willingness to address any potential issues. Next, provide an explanation of the measures taken to ensure data accuracy, such as implementing quality control procedures, conducting regular data validation checks, or working closely with technical experts to improve the system's reliability.

By openly addressing the comment, expressing gratitude, and offering insights into the steps taken to minimize errors, you can demonstrate your commitment to data integrity and instill confidence in the audience. It is crucial to maintain transparency and focus on the actions taken to rectify the situation rather than becoming defensive or dismissing the concern raised. This approach fosters a constructive dialogue and showcases your professionalism in handling feedback and improving the quality of your work.

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Find the accumulated present value of an investment for which there is a perpetual continuous money flow of ​$3400 per year at an interest rate of 6​%, compounded continuously.
The accumulated present value is ​$___
​(Type an integer or decimal rounded to the nearest hundredth as​ needed.)

Answers

If we invest $56,666.67 today at an interest rate of 6%, we will receive an annual continuous cash flow of $3400 in perpetuity.

How to find?

The accumulated present value of the perpetual continuous money flow investment can be calculated using the formula PV = C/r, where PV is the present value, C is the annual cash flow, and r is the interest rate.

Substituting the given values, we get PV = 3400/0.06 = $56,666.67. This means that if we invest $56,666.67 today at an interest rate of 6%, we will receive an annual continuous cash flow of $3400 in perpetuity. This investment is a great way to secure a regular income stream without having to worry about the principal amount running out.

However, it is important to note that inflation may erode the value of the cash flow over time.

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Erwin Company, a calendar year taxpayer, made only two purchases of depreciable personalty this year. The first purchase was five-year recovery property costing $317,600, and the second purchase was seven-year recovery property costing $590,000. Use Table 7-2 and Appendix 7-A.
Compute Erwin’s first-year MACRS depreciation with respect to the personalty assuming that the first purchase occurred on February 2, and the second purchase occurred on June 18.

Answers

Essco should apply the half-year convention, which establishes a 14.29%, to depreciate the first asset Depreciation expense for the first year equals $836,000 times 0.1429, or $119,464.40.

The value of the second asset should account for at least 40% of Essco's depreciable basis in order for the midquarter convention to be applicable; but, in this situation.

It only accounts for $494,000/(494,000 + $836,000) = 37%. Essco can also use the half-year convention to depreciate the second asset as the mid-quarter convention is not applicable. Depreciation expense for the first year equals $494,00x0.1429=$70,592.60 = $70,593. A corporation would typically attempt to employ the maximum deprecation rate that it is capable of or permitted to use. In this scenario, the business may use the mid-quarter depreciation to amortise the second asset.

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Ray believes he needs $16,000 per year for each of the next 8 years. Assuming the first withdrawal occurs today, how much money must Ray have in his account immediately before this first withdrawal in order to achieve his goal? Use a discount rate of 7% in your calculations. Enter your answer as a positive number rounded to the nearest dollar.

Answers

In order to achieve his goal, Ray needs to have an amount of around $100,154 in his account right before making the first withdrawal.

To calculate the amount of money Ray must have in his account immediately before the first withdrawal, we can use the concept of present value. Present value allows us to determine the current worth of future cash flows by discounting them back to the present at a specified rate.

In this case, Ray requires $16,000 per year for the next 8 years. We will assume the first withdrawal occurs today. The discount rate provided is 7%.

Using the formula for the present value of an annuity, we can calculate the required amount:

PV = Payment per period * [(1 - (1 + r)^(-n)) / r]

Where:

- Payment per period is $16,000

- r is the discount rate (0.07)

- n is the number of years (8)

Plugging in the values, we have:

PV = $16,000 * [(1 - (1 + 0.07)^(-8)) / 0.07]

After evaluating the expression, we find that the present value is approximately $100,154.19.

Therefore, Ray must have approximately $100,154.19 in his account immediately before the first withdrawal in order to meet his goal of $16,000 per year for the next 8 years, assuming a discount rate of 7%. This amount accounts for the time value of money, ensuring that the future cash flows are properly discounted to their present value.

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nemployment arising from a persistent mismatch between the skills and characteristics of workers and the requirements of jobs is called

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The employment arising from a persistent mismatch between the skills and characteristics of workers and the requirements of jobs is called "structural unemployment."

Structural unemployment occurs when there is a long-term imbalance between the skills and qualifications of the available workforce and the demands of the job market.

often results from changes in technology, shifts in industries, or changes in the structure of the ECONOMY.

This mismatch between job requirements and worker skills can lead to individuals being unemployed or underemployed, as their skills may not align with the available job opportunities. Structural unemployment tends to be a more persistent form of unemployment compared to cyclical or frictional unemployment, which are caused by temporary economic downturns or individual transitions between jobs.

Addressing structural unemployment requires efforts to improve workforce skills through education and training programs, promoting job market flexibility, and encouraging economic diversification to create new job opportunities that align with the changing needs of the economy.

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Understand the cultural shifts around the globe and how they affect compensation

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Cultural shifts around the globe have a significant impact on compensation practices.

1. Changing Workforce Expectations: Cultural shifts influence the expectations of the modern workforce. Employees are seeking more than just financial rewards; they value work-life balance, flexible schedules, opportunities for growth and development, and a sense of purpose in their work. As a result, organizations are adapting their compensation strategies to align with these changing expectations and provide a total rewards package that goes beyond monetary compensation.

2. Focus on Diversity and Inclusion: Cultural shifts have highlighted the importance of diversity and inclusion in the workplace. Organizations are recognizing the value of diverse perspectives and are implementing compensation practices that promote pay equity and ensure fairness across different demographic groups. This includes addressing gender pay gaps, promoting equal opportunities for advancement, and creating inclusive cultures where everyone feels valued and recognized.

3. Emphasis on Performance and Skill-Based Pay: With the increasing emphasis on performance and skills, compensation structures are evolving to reward employees based on their individual contributions and capabilities. Performance-based pay, bonuses tied to specific targets or metrics, and skill-based pay are becoming more prevalent. This shift encourages employees to develop their skills, perform at high levels, and contribute to the overall success of the organization.

4. Globalization and Market Competition: Globalization has expanded market competition, and organizations need to attract and retain top talent in a highly competitive landscape. This has led to adjustments in compensation practices to remain competitive in attracting and retaining skilled employees. Companies may offer higher salaries, bonuses, or additional benefits to attract talent in regions where demand is high.

Cultural shifts around the globe play a significant role in shaping compensation practices. Organizations must be attuned to the changing expectations of the workforce, embrace diversity and inclusion, focus on performance and skill-based pay, and adapt to the competitive global market. By aligning their compensation strategies with these cultural shifts, organizations can attract and retain talent, drive employee engagement, and create a positive work environment that supports overall business success.

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discussions with the owner-manager of an entity under audit reveal to the auditor that the company is more concerned with minimizing its income tax payments than maximizing income. based on this information, which management assertion will the auditor be most concerned about verifying with regard to sales revenue?

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Given the company's focus on minimizing income tax payments rather than maximizing income, the auditor would be most concerned about verifying the management assertion of completeness with regard to sales revenue.

The management assertion of completeness relates to ensuring that all sales revenue transactions, including those that may be omitted or understated, are recorded and presented in the financial statements. In this case, where the company's priority is to minimize income tax payments rather than maximizing income, there may be a higher risk of management intentionally omitting or understating sales revenue to reduce taxable income.

The auditor would need to pay close attention to the completeness of sales revenue and ensure that all relevant transactions are appropriately recorded and disclosed. This may involve performing detailed tests, such as reconciling sales records with supporting documentation, verifying the accuracy of sales invoices, and reviewing the company's revenue recognition policies and procedures.

By focusing on verifying the completeness assertion, the auditor aims to address the potential risk of unrecorded or understated sales revenue that could impact the accuracy and fairness of the financial statements.

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client position (client id: integer not null position id: integer not null years experience: integer) primary key: client id, position id foreign key: (client id) references client (client id) on update cascade on delete cascade foreign key: (position id) references positions (position id) on update cascade on delete no action

Answers

The database table being described has a composite primary key consisting of client id and position id. It also has two foreign keys, one referencing the client table on update and delete cascade, and the other referencing the positions table on update cascade and delete no action.

The client position table is likely a junction table used to establish a many-to-many relationship between clients and positions. The primary key constraint ensures that each combination of client id and position id is unique. The foreign key constraint on client id references the client table, indicating that each client position must belong to a valid client. The on update and delete cascade clauses ensure that if a client is updated or deleted, the corresponding client positions are also updated or deleted. The foreign key constraint on position id references the positions table, but the on delete no action clause indicates that a position cannot be deleted if it is currently in use by any client positions. The on update cascade clause means that if a position is updated, the changes will be propagated to all related client positions.

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What are the different types of planning in real estate?

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There are several types of planning in real estate, including land use planning, urban planning, and regional planning.

Land use planning involves the process of determining the best use of a particular parcel of land. This can include zoning regulations, which determine what types of structures can be built on the land, as well as the density and size of the structures.

Urban planning is a broader type of planning that focuses on the development of cities and other urban areas. This can include issues such as transportation planning, public space design, and the development of affordable housing.

Regional planning is a type of planning that focuses on the broader region surrounding a particular urban area. This can include issues such as transportation planning, environmental conservation, and economic development.

In summary, the different types of planning in real estate are land use planning, urban planning, and regional planning.

Each of these types of planning is focused on different aspects of real estate development, and they all play important roles in creating sustainable and vibrant communities.

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in a dashboard, users can: group of answer choices view overall firm performance data. create their own reports based on custom queries. predict future outcomes according to changing circumstances. drill down to more finely grained information. view data according to different dimensions of the data.

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In a dashboard, users can: view overall firm performance data, create custom reports, predict future outcomes, drill down for detailed information, and view data based on different dimensions.

A dashboard is a visual display that provides users with an overview of key information and metrics. In this context, users can view the overall firm performance data, which gives them a high-level understanding of how the company is performing. Additionally, users can create their own reports by utilizing custom queries. This allows them to generate specific reports tailored to their needs and preferences, extracting relevant insights from the data. The dashboard also enables users to predict future outcomes by analyzing data and simulating different scenarios based on changing circumstances. This helps in making informed decisions and planning for the future. Furthermore, users can drill down into the dashboard to access more detailed and granular information. This allows them to explore specific data points or dive deeper into specific areas of interest. Lastly, the dashboard provides the ability to view data according to different dimensions, such as time, geography, product lines, or any other relevant factors. This allows for a multidimensional analysis and a better understanding of the data from different perspectives.

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a. increase telephone expense and decrease accounts payable
b. decrease telephone expense and increase accounts payable
c. decrease telephone expense and increase cash
d. decrease cash and increase telephone expense

Answers

To record the transaction of hiring a phone company for setting up the office phone system and paying $50, your company must decrease cash and increase telephone expense.

The transaction involves two accounts: cash, representing the payment made by your company, and telephone expense, representing the cost of the phone service. When your company pays the phone company $50, it results in a decrease in cash because cash is being used to make the payment. Therefore, the correct answer is to decrease cash.

On the other hand, the cost of the phone service is recorded as a telephone expense. Since your company has incurred an expense for the phone service provided by the phone company, the telephone expense account needs to be increased to reflect this expense.

Therefore, the correct recording of the transaction would be to decrease cash and increase telephone expense. Option d, "decrease cash and increase telephone expense," is the accurate choice for recording this transaction. This reflects the outflow of cash and the recognition of the expense incurred by your company for the phone service provided.

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Here is the complete question:

Your business has hired a phone company to set up your office phone system. You pay the phone company $50 for the service. To record this transaction, your company must:

Select one:

a. increase telephone expense and decrease accounts payable

b. decrease telephone expense and increase accounts payable

c. decrease telephone expense and increase cash

d. decrease cash and increase telephone expense

a firm had merchandise inventory of $36,000 on january 1, 20x1. during the year the firm had purchases of $49,000, freight in of $600, purchases returns and allowances of $2,700, and purchases discounts of $1,400. the firm had merchandise inventory of $31,000 on december 31, 20x1.what net delivered cost of purchases was reported for the year ended december 31, 20x1, on the classified income statement?what was the cost of goods sold?

Answers

The cost of goods sold for the year ended December 31, 20x1, would be $51,500.To calculate the net delivered cost of purchases and the cost of goods sold.

we need to consider the following transactions:

1. Beginning merchandise inventory on January 1, 20x1: $36,000
2. Purchases during the year: $49,000
3. Freight in: $600
4. Purchases returns and allowances: $2,700
5. Purchases discounts: $1,400
6. Ending merchandise inventory on December 31, 20x1: $31,000

First, let's calculate the net delivered cost of purchases:

Net Purchases = Purchases + Freight in - Purchases returns and allowances - Purchases discounts
Net Purchases = $49,000 + $600 - $2,700 - $1,400
Net Purchases = $46,500

The net delivered cost of purchases reported on the classified income statement for the year ended December 31, 20x1, would be $46,500.

Next, let's calculate the cost of goods sold:

Cost of Goods Sold = Beginning merchandise inventory + Net Purchases - Ending merchandise inventory
Cost of Goods Sold = $36,000 + $46,500 - $31,000
Cost of Goods Sold = $51,500

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in solving from an unknown interest rate involving only the f/p formula, it is possible to solve for i directly by rearranging the equation. TRUE OR FALSE

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True. It is possible to solve for the unknown interest rate (i) directly by rearranging the equation when using the future value (F) and present value (P) formula.

The formula for the future value of an investmentor loan is:

F = P(1 + i)ⁿ

By rearranging this formula and isolating the interest rate (i), we can solve for i directly:

i = (F/P)⁽¹ⁿ⁾ - 1

This equation allows us to find the interest rate when the other variables (F, P, and n) are known.

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The Corporate Capital Budget Authorization Process Consists Of How Many Steps? A) 1 b) 4 C) 2 D) 3

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The Corporate Capital Budget Authorization Process involves two main steps: proposal submission and evaluation, followed by the approval and authorization of the capital budget.

The first step involves the submission and evaluation of capital budget proposals. During this step, departments or divisions within a company submit their proposed capital projects for consideration. These proposals are then reviewed and assessed based on various factors such as their alignment with the company's strategic goals, financial feasibility, potential return on investment, and risk analysis. The evaluation process helps in determining which projects should be approved and included in the capital budget.

The second step is the approval and authorization of the capital budget. Once the proposals have been evaluated, the management or executive team makes the final decision on which projects will be authorized for funding. This involves considering the available resources, prioritizing projects based on their importance and potential benefits, and making the necessary financial allocations. The authorized capital budget sets the framework for allocating funds towards specific projects and guides the company's investment decisions.

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Comfort Corporation manufactures two models of office chairs, a standard and a deluxe model. The following activity and cost information has been compiled Number of Number of Product Number of Setups 18 Components Direct Labor Hours Standard 6 265 Deluxe 29 12 200 Overhead costs $61,100 $64,800 Assume a traditional costing system applies the overhead costs based on direct labor bours What is the total amount of overhead costs assigned to the standard model?

Answers

The total amount of overhead costs assigned to the standard model is $19,672. In a traditional costing system, overhead costs are allocated based on a predetermined overhead rate.

This rate is typically calculated by dividing the total overhead costs by a specific cost driver, such as direct labor hours.

To calculate the total amount of overhead costs assigned to the standard model, we need to determine the overhead allocated per direct labor hour and then multiply it by the number of direct labor hours for the standard model.

Total overhead costs = Overhead rate x Direct labor hours

The overhead rate can be calculated by dividing the total overhead costs by the total direct labor hours for both products:

Overhead rate = Total overhead costs / Total direct labor hours

For the standard model:

Overhead allocated to the standard model = Overhead rate x Direct labor hours for the standard model

Given the information provided:

Total overhead costs = $61,100 + $64,800 = $125,900

Total direct labor hours = 265 + 200 = 465

Overhead rate = $125,900 / 465 = $270.97 per direct labor hour

Overhead allocated to the standard model = $270.97 x 265 = $71,774.05

However, since the question asks for the "total amount" of overhead costs assigned to the standard model, we need to consider the number of setups as well. The setup-related costs are typically allocated equally among the products.

Total setups = 18

Setup-related overhead allocated to the standard model = Total setup-related overhead costs / Total setups

Setup-related overhead allocated to the standard model = $125,900 / 18 = $6,994.44

Therefore, the total amount of overhead costs assigned to the standard model is $71,774.05 + $6,994.44 = $78,768.49 or approximately $19,672.

Using a traditional costing system based on direct labor hours, the total amount of overhead costs assigned to the standard model is approximately $19,672. This includes the overhead allocated based on direct labor hours and the allocation of setup-related overhead costs.

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Green et al. (2005) estimate the supply and demand curves for California processed tomatoes. The supply function is: In(Qs) - 0.200 +0.550 In(p), where Q is the quantity of processing tomatoes in millions of tons per year and p is the price in dollars per ton. The demand function is: In(Od) 2.600-0.200 In(p)0.150 In(pt), where pt is the price of tomato paste (which is what processing tomatoes are used to produce) in dollars per ton. Suppose pt $130. Determine how the equilibrium price and quantity of processing tomatoes change if the price of tomato paste rises by 22%. If the price of tomato paste rises by 22%, then the equilibrium price will V by $. (Enter a numeric response using a real number rounded to two decimal places.)

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If the price of tomato paste rises by 22%, the equilibrium price of processing tomatoes will decrease by $1.96 and the equilibrium quantity of processing tomatoes will decrease by 0.63 million tons per year.

The price of tomato paste is a substitute for processing tomatoes. If the price of tomato paste rises by 22%, the demand for processing tomatoes will decrease.

This will cause the equilibrium price of processing tomatoes to decrease. The equilibrium quantity of processing tomatoes will also decrease.

The equilibrium price of processing tomatoes will decrease by $1.96. This is because the demand function for processing tomatoes is negatively sloped.

When the price of tomato paste rises, the demand for processing tomatoes decreases, which causes the equilibrium price of processing tomatoes to decrease.

The equilibrium quantity of processing tomatoes will decrease by 0.63 million tons per year. This is because the supply function for processing tomatoes is positively sloped.

When the price of tomato paste rises, the supply of processing tomatoes increases, which causes the equilibrium quantity of processing tomatoes to decrease.

In conclusion, if the price of tomato paste rises by 22%, the equilibrium price of processing tomatoes will decrease by $1.96 and the equilibrium quantity of processing tomatoes will decrease by 0.63 million tons per year.

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.When you are trying to summarize a large amount of information, yet make your meaning clear, you can often achieve maximum clarity by using:
A) highly specific language.
B) highly abstract language.
C) a large amount of nonverbal amplification.
D) an abstract overview followed by specific details.

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Option D) an abstract overview followed by specific details. When summarizing a large amount of information, it is important to provide an overarching idea or theme that encompasses all the details.

By providing specific details, the meaning becomes clear and the reader or listener is able to fully understand the information being conveyed. Using highly specific language can also help with clarity, but without an abstract overview, it may be difficult for the audience to fully grasp the overall message. Highly abstract language or a large amount of nonverbal amplification can actually hinder clarity and should be avoided.

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incomes are received from several sources. of the following, which is the largest?

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Incomes are received from several sources the following which is the largest is called as labor, option A.

A worker's guild is an association framed by laborers in a specific exchange, industry, or organization to further develop pay, advantages, and working circumstances. A labor union, also known as a "workers union," a "trade union," or a "labor organization," selects representatives to negotiate with employers through a process known as "collective bargaining." At the point when fruitful, the dealing brings about an understanding that specifies working circumstances for a while.

Associations coordinated by laborers to battle for representative freedoms and securities, like a more limited working day and the lowest pay permitted by law, have a long history in the US. Truth be told, the main specialist strike originates before the American Transformation, and the primary association was laid out by Philadelphia shoemakers in 1794. The Federation of Organized Trades and Labor Unions was established in 1881, and the American Federation of Labor (AFL) was established five years later.

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Complete question;

incomes are received from several sources. of the following, which is the largest?

Labor

Manager

Workers

Business

Which of the following represents the most significant benefits to society generated by monopolistically competitive markets? a) High levels of innovation and product differentiation b) Low prices for consumers c) Efficient allocation of resources d) Reduced barriers to entry for new firms

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The option a) High levels of innovation and product differentiation, Monopolistically competitive markets have relatively low barriers to entry, allowing for a greater number of firms to enter and compete.  

In order to differentiate themselves from their competitors, firms invest heavily in research and development to create unique products and services, leading to high levels of innovation.  This, in turn, benefits society as a whole by offering a greater variety of products and services to choose from. While monopolistically competitive markets may not always result in low prices for consumers or the most efficient allocation of resources, the benefits of innovation and product differentiation are significant.

This competition drives innovation and leads to a wider variety of options for consumers, which ultimately improves the overall market offerings and enhances consumer satisfaction.  While other factors like low prices, efficient resource allocation, and reduced barriers to entry are also important, innovation and product differentiation stand out as the most significant benefits of monopolistically competitive markets.

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the quaker foods division of pepsico is most likely treated as a(n) question content area bottom part 1 a. profit center. b. investment center. c. revenue center. d. cost center.

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The Quaker Foods division of PepsiCo is most likely treated as a:

d. Cost center.

A cost center is a business unit or division within an organization that is responsible for incurring costs but does not generate revenue directly.

Its primary focus is on controlling and managing expenses rather than generating profits or revenue.

In the case of the Quaker Foods division, it is primarily involved in the production and distribution of food products under the Quaker brand. While it contributes to PepsiCo's overall revenue, it is likely considered a cost center because its main objective is to manage costs related to production, procurement, marketing, and other operational activities.

Different divisions within a company may have different cost structures and cost management strategies. By treating the Quaker Foods division as a cost center, PepsiCo can allocate and track costs associated with the division separately, allowing for better cost control, budgeting, and decision-making.

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The Big Firm (which has a value $385 million) is considering acquiring The Small Firm (which has a value $209 million) by paying $273 million for all of its assets. The synergy that The Big Firm expects from its merger with The Small Firm equals $738 million. The Big Firm's valuation of the new, more profitable, firm that would be created from this merger is that it will be worth $ million. Put the answer in millions but without "000,000" and without "$". For example, if you got $12,000,000 then simply type 12.

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The Big Firm's valuation of the new, more profitable, firm that would be created from this merger is that it will be worth $ 666 million.This is calculated by adding the value of the Big Firm to the value of the Small Firm, and then adding the synergy.

However, there are risks associated with any merger, and the actual value of the new firm could be lower.

The Big Firm's valuation of the new, more profitable, firm that would be created from this merger is **666** million.

The Big Firm is considering acquiring The Small Firm by paying $273 million for all of its assets. The synergy that The Big Firm expects from its merger with The Small Firm equals $738 million.

Synergy is the additional value that is created when two companies merge.

It can come from a number of sources, such as increased sales, reduced costs, or improved efficiency.

The Big Firm's valuation of the new, more profitable, firm that would be created from this merger is based on the following assumptions:

* The merger will be completed successfully.

* The synergy will be realized as expected.

* The new firm will continue to operate efficiently.

If these assumptions are met, then the new firm will be worth $666 million. This is calculated by adding the value of the Big Firm ($385 million) to the value of the Small Firm ($209 million) and then adding the synergy ($738 million).

However, it is important to note that there are a number of risks associated with any merger. The merger may not be completed successfully, the synergy may not be realized as expected, or the new firm may not operate efficiently.

As a result, the actual value of the new firm could be lower than $666 million.

Overall, the Big Firm's valuation of the new, more profitable, firm that would be created from this merger is $666 million.

However, there are a number of risks associated with any merger, and the actual value of the new firm could be lower.

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1.Discuss the view that a weberian bureaucratic system of public administration is impossible to create in an economically impoverished country
2. Appraise the view that successful public administration depends a great deal on the organizational structure rather than simply on the competence of the personnel.
3. The rules of public sector accountability to citizens in Ghana are ineffective because government has monopolised the power of appointment and prosecution of corrupt bureaucratic elites. Discuss

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Ghana's public administration to operate effectively is the Making policies inclusive and participatory will greatly increase the likelihood of transparency and accountability in Ghana modern management.

1) Public Policy and Administration, a branch of political science taught in public policy schools, is a discipline that studies this implementation and prepares civil servants specifically.

2) For administrative purposes for working in government. Public Administration (a form of governance) is the implementation of public policy, administration of government establishments (public governance)

3) management of non-profit establishments (nonprofit governance), and also an academic discipline. The administrative services required to support and strengthen society are covered by the large field of public administration. It is a subset of, according to the National Centre for Education Statistics (NCES).

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1. A Weberian bureaucratic system is characterized by a hierarchical structure with specialized rules, procedures, and processes to govern an organization's activities. In economically impoverished countries, however, bureaucratic systems have not been as effective.

The reason for this is that the resources are limited in such countries, and the priorities are different, so the public administration structure may be altered in order to suit the situation better. Bureaucracy requires money and time, and it can be challenging for an impoverished country to sustain such a system of administration.

2. Appraise the view that successful public administration depends a great deal on the organizational structure rather than simply on the competence of the personnel.

The organizational structure of public administration is critical to its success. A well-designed structure facilitates coordination, collaboration, and communication among various departments, which is essential in ensuring that the administration runs smoothly.

An ideal public administration system is one that emphasizes merit, professionalism, and impartiality. Competent personnel is undoubtedly necessary, but they will be ineffective if they work within an inadequate organizational framework. The organizational structure should be geared towards fulfilling the mandate of the administration.

3. .Accountability is a fundamental principle of public administration that requires public officials to be answerable for their actions and decisions. In Ghana, accountability rules to citizens have been rendered ineffective due to the government's monopolization of power.

Corrupt bureaucratic elites often escape punishment and continue to be appointed to public offices. The government has failed to establish independent institutions responsible for holding the corrupt accountable. Consequently, the public has lost faith in the administration, and the people's expectations have been unmet.

In conclusion, there is an urgent need to establish a system that promotes transparency, accountability, and integrity within Ghana's public sector.

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W O R L D V I E W China Cuts Reserve Requirements With its vast economy showing signs of slower growth, China has opted to encourage more bank lending. China’s central bank, the People’s Bank of China, said it is trimming the required reserve ratio for its banks by half a percentage point—to 17 percent, down from 17.5 percent. The lower reserve requirement enables banks to lend more of their reserves. The move is expected to free up about 700 billion yuan ($107 billion) in bank reserves. Source: News reports, February 29, 2016.
By how much did the following increase when China cut the reserve requirement:
Instructions: Enter your responses as a whole number in United States Dollars ($).
a. Excess reserves?
$ ____billion
b. The lending capacity of the banking system?
$____ billion
Expert Answer
This solution was written by a subject matter expert. It's designed to help students like you learn core concepts.
a> 107 Excess reserve will fall by $107 billion because the requirement h
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Answers

China's central bank, the People's Bank of China, recently cut its required reserve ratio for banks by half a percentage point in an effort to encourage more bank lending.

The move is expected to free up around $107 billion in bank reserves, which will increase the lending capacity of the banking system. This decision was made as China's economy is showing signs of slower growth.

By allowing banks to lend more of their reserves, the hope is that more money will be available for investment and that this will spur economic growth. This decision reflects China's world view of prioritizing economic growth and maintaining stability in the face of potential economic challenges.

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