The CR Accumulated depreciation -equipment 700
How to solve
(16,000-2,000)/20= 700
DR Depreciation expense 700
CR Accumulated depreciation -equipment 700
Depreciation, the decline in an asset's worth with time due to deterioration, obsolescence, or other influences, is noted as an expenditure on a business's financial records, reflecting the lowered value.
Calculating depreciation can be done via diverse strategies, such as straight-line depreciation, accelerated depreciation, and units-of-production depreciation. Correctly cataloguing for depreciation is critical for properly representing a company's financial standing and distinguishing the true significance of its assets.
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On January 1, 2014, Wolf Creek Country Club purchased a new riding mower for $16,000. The mower is expected to have a 20-year life with a $2,000 salvage value.
What journal entry would Wolf Creek make on December 31, 2014, if it uses straight-line depreciation?
To meet the needs of its customers and help it achieve its company goals, a drugstore offers a large assortment of products, known as its product.
To meet the needs of its customers and help it achieve its company goals, a drugstore offers a large assortment of products, known as its product mix.
A product mix is the total variety of product lines and individual products or services an organization offers. To boot noted as product assortment or product portfolio. Product combines vary from company to company. Some have multiple product lines with many products in every line.
For example, an organization could sell multiple product lines, with the merchandise lines being fairly similar, like dentifrice, toothbrush, or solution, and alternatives such as toiletries.
Product mix, additionally called product assortment, refers to the entire variety of product lines an organization offers its customers. The four dimensions of a company's product combine embody breadth, length, depth and consistency.
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You have found a home that you are interested in purchasing. Instead of a conventional loan, you agree to pay the premium for the private mortgage insurance (pmi), which finances 95% of the loan. The amount of the home is listed at $125,000. From the given information, determine the amount needed for the down payment to qualify for the pmi loan
Deposit is 5% of the stated amount, 100-95=5D44 down payment amount, 95,278 × 0.05 = 4,763.9.
If your mortgage down payment is less than 20%, it's important to understand your personal mortgage insurance (PMI) options. Some people can't afford the 20% down payment. Others may choose to pay a smaller down payment to have more cash available for repairs, alterations, furnishings, and emergencies.
Personal Mortgage Insurance (PMI) is a type of insurance that a borrower must purchase as a condition of a traditional mortgage. Most lenders charge a PMI when a homebuyer makes a down payment of less than her 20% of the home purchase price. If the borrower makes a down payment of less than 20% of the value of the property, the loan to value ratio (LTV) of the mortgage is over 80%.
Unlike most types of insurance, this policy protects the investment of the home lender, not the person buying the insurance (the borrower). However, PMI allows some people to become homeowners early. For individuals who choose to finance between her 5% and her 19.99% of their housing costs, PMI offers the opportunity to obtain loans.
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QUESTION: Identify an example of the change in relative prices of two products.
pls help T o T
Answer: First lets start off with relative change. Relative changes shows the change of a value of an indicator in the first period and in percentage terms, ext. Relative change is calculated by subtracting the value of the indicator in the first period from the value of the indicator in the second period which is then divided by the value of the indicator in the first period and the result is taken out in percentage terms. The formula for relative change is very simple, and it is derived by initially deducting the initial value of the variable from the final value, then dividing the result by the initial value, and then finally multiplying by 100% to express in terms of percentage. Also
Explanation:
A small example in relative prices is In apple season, apples cost half as much as oranges. In orange season, oranges cost half as much as apples. Also to understand better, either market forces or government intervention, the relative price of goods and services does impact the allocation of resources used to produce these goods and services. A relative price is the price of one good compared to another. Resource allocation addresses how land, capital, and labor are spent in the production of goods and services. Since we went over that relative price is the price of something compared to something else. In other words, it is the ratio of two prices. Completely logical people will make purchasing decisions by considering the relative prices of their options. We can conclude that gas is $2.76 compared to the $3.02 of diesel . Now the gas is $0.26 cents cheaper than diesel. This is caused by the price to refine diesel compared to gas. Now that we have two simple example to show the basis of relative prices, you can clearly see the mean and definition of relative prices through the examples shown!
Which of the following are types of evidence that can be used to support a
controlling idea? *
facts (statements that can be proved true)
statistics (data that is gained from research)
examples (specific instances of a general idea)
anecdotes (brief stories that illustrate a point)
all of the above
Answer:
all of the above
Explanation:
The controlling idea is the text that grabs the reader's attention in a paragraph or headline. It arouses curiosity in the audiences. The controlling idea makes people eager and anxious for details. In support of the controlling idea, the writer uses evidence to paint a clear picture of the events or story.
Some of the evidence that a writer can use include
Verifiable facts and dataReal-life stories and experiencesResearch outcomesFactual information in the public domainElaborate the meaning of business opportunity and entrepreneurs identified business opportunities to sell product or service to reduce the spread of the Broncho-pneumonia in winter of 2022
A business opportunity is what makes some businesses succeed while others fail. Leaders are successful because they see opportunities before other people spot them, make plans then build business models to capitalize on that opportunities.
A good example of a business opportunity in the market today is e-books. Amazon was one of the first companies in the online bookselling business that initiated an e-book reader that made it possible to read books by means of a digital device that looks more or less like a tablet pc.
Importance of A Business Opportunity:
In business, an opportunity is a key to success. Without it, a business cannot begin, expand, or succeed.The main purpose of an opportunity is to serve as the basis for any action that results in profit and business growth.Opportunities allow businesses to create and implement ideas and innovations and improve their performance.Only those who spot opportunities early can take the best advantage of them and capitalize on them.Here are some reasons why a business opportunity is important:
The chance to build a business: A business opportunity can be an existing unsolved problem in the market or a new problem arising from current trends, which is the chance to build a business.The chance to avoid failure: A business is likely to fail without opportunities. This is because they are essential for implementing ideas and innovations that can make a business successful. They allow businesses to take the right decision at the right time.The chance to grow: Opportunities allow businesses to create and implement ideas and innovations. It is also a chance to improve performance by solving existing problems better, providing a more refined value proposition to the target market, and building a more efficient business model.The chance to maximize profits: A business opportunity involves favorable conditions that can be used to increase profits. These conditions include but are not limited to the availability of resources, the existence of market demand, and the presence of favorable competition. The goal is to find solutions that can potentially maximize profits while solving problems.To learn more about business opportunities visit:https://brainly.com/question/21615811
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Which group within the structure of the Federal Reserve System is charged with facilitating check collection and electronic funds transfers?
A. U.S. Treasury agents
B. Board of Governors
C. Federal Reserve Banks
D. Federal Open Market Committee
The group within the structure of the Federal Reserve System is charged with facilitating check collection and electronic funds transfers is Federal Reserve Banks.
What is the Federal Reserve Banks?
Facilitating check collection and electronic funds transfers is one of the important functions of the Federal Reserve Banks, which are part of the Federal Reserve System. These banks act as intermediaries between financial institutions and help to clear checks and process electronic funds transfers.
This function is essential to the smooth functioning of the financial system and the economy as a whole. The other options listed - U.S. Treasury agents, Board of Governors, and Federal Open Market Committee - have different roles and responsibilities within the Federal Reserve System.
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b. Write five importance of budget.?
Answer:
Hello!!
Explanation:
1. Budgeting Helps You Control Your Spending
2. Budgeting Keeps You On Track For Your Financial Goals
3. Budgeting Can Help Your Marriage
4. Budgeting Helps You Find Financial Contentment
5. Budgeting Keeps You From Feeling Financially Overwhelmed
Do you spill the tea or can you keep a secret ?
Answer:
The phrase "spill the tea," used as an encouragement to gossip, has been used in everything from Harlequin romance novels to "RuPaul's Drag Race"; "no tea, no shade" has been featured in explainers on black gay slang; comedian Larry Wilmore used "weak tea" regularly on his 2015-16 Comedy Central show in response to
The expression "Do you spill the tea or can you keep a secret ?" simply means do you gossip or keep secrets
However, the expression " do you spill the tea describe a condition or situation where one gossip about other people's personal matter.
This goes to say that an individual belongs to any of these two categories:
One who shares people's personal issue with others by gossipingOne who has a closes his/her bucal cavity and does not talk any how. That is; someone who keeps secrets wellWhat is gossiping?This simply means the act of sharing, talking and repeating rumors and personal stories of people to other people
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Occupancy Index: Hotel Average Occupancy % / Market Average Occupancy % Page 4: (Market Average Occupancy % / Hotel Average Occupancy % Page 5: Total number of guestrooms in the market / Subject hotel number of rooms Subject Hotel number of guest rooms / total number of guest rooms in the market
The occupancy index is a calculation used in the hotel industry to compare a specific hotel's occupancy rate to the overall market. It is determined by dividing the hotel's average occupancy percentage by the market's average occupancy percentage.
The hotel occupancy index is an effective tool for assessing the health of the hotel industry and individual businesses. It's a measure of the percentage of rooms occupied at a given hotel. The market average occupancy percentage is the average percentage of rooms occupied in all hotels within a specific market. The occupancy index is then calculated by dividing the hotel's average occupancy percentage by the market's average occupancy percentage. If a hotel's occupancy index is more than 1.0, it means that it has a higher occupancy rate than the market average. Conversely, an index of less than 1.0 means that the hotel's occupancy rate is lower than the market average.
The total number of guest rooms in the market is divided by the subject hotel's number of rooms to determine the proportion of the market's guest rooms represented by the subject hotel. The calculation determines what percentage of the overall market the subject hotel holds. The subject hotel's number of guest rooms is divided by the total number of guest rooms in the market to determine the hotel's market share.
In summary, the occupancy index is a ratio that compares a specific hotel's occupancy rate to the average occupancy rate of all hotels within the market. The higher the occupancy index, the more successful the hotel is in comparison to other hotels within the market. On the other hand, the market share measures the proportion of the market represented by a particular hotel.
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On January 1, Cass City approved the following general fund resources for the new fiscal period:
Property Taxes: $4,000,000
Licenses and permits: 300,000
Intergovernmental revenues: 250,000
Transfers in from other funds: 150,000
What amount should Cass record as estimated revenues for the new fiscal year?
Cass City should record an estimated revenue of $4,700,000 for the new fiscal year. This amount is obtained by adding up all the approved general fund resources for the new fiscal period, which are property taxes, licenses and permits, intergovernmental revenues, and transfers from other funds. The total of these resources is $4,700,000.
It is important for Cass City to accurately record its estimated revenues for the new fiscal year, as it will help in creating an effective budget plan and managing its financial resources efficiently. Additionally, having accurate financial records and estimates is also necessary for complying with accounting and reporting requirements as well as making important financial decisions.
To calculate the estimated revenues for the new fiscal year, you need to add up the amounts of each revenue source. Here's a step-by-step explanation:
1. Property Taxes: $4,000,000
2. Licenses and permits: $300,000
3. Intergovernmental revenues: $250,000
4. Transfers in from other funds: $150,000
Now, add up these amounts:
$4,000,000 (Property Taxes) + $300,000 (Licenses and permits) + $250,000 (Intergovernmental revenues) + $150,000 (Transfers in from other funds) = $4,700,000
Cass City should record an estimated revenue of $4,700,000 for the new fiscal year.
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one company is facing several decisions regarding investing and financing activities. address each decision independently. on june 30, 2024, the stone company purchased equipment from paper corporation. stone agreed to pay $15,000 on the purchase date and the balance in six annual installments of $7,000 on each june 30 beginning june 30, 2025. assuming that an interest rate of 12% properly reflects the time value of money in this situation, at what amount should stone value the equipment? stone needs to accumulate sufficient funds to pay a $450,000 debt that comes due on december 31, 2029. the company will accumulate the funds by making five equal annual deposits to an account paying 5% interest compounded annually. determine the required annual deposit if the first deposit is made on december 31, 2024. on january 1, 2024, stone leased an office building. terms of the lease require stone to make 20 annual lease payments of $125,000 beginning on january 1, 2024. a 12% interest rate is implicit in the lease agreement. at what amount should stone record the lease liability on january 1, 2024, before any lease payments are made?
$1,109,479.93 amount should stone record the lease liability on january 1, 2024, before any lease payments are made which means Present Value of Lease Liability is $1,109,479.93
Requirement 1
Equipment should be recorded at its Cash Price Equivalent. But in the absence of such, it is recorded at the present value of payments or fair value at the time of acquisition, whichever is lower.
Since Cash Price Equivalent and fair value is not available, we will use the discounted value of payments.
Annual Payments = $6,000
PV of 11% ordinary annuity for 6 periods = 4.23054
Present Value of Annual Payments = $6,000 x 4.23054 = $25,383.24
Add: Down Payment - $29,000
Present Value of Equipment = $54,383.24
Requirement 2
Future Value of Debt = $590,000
Future Value factor of 6% for 5 periods = 5.63709
Required Annual Deposits = $590,000 / 5.63709 = $104,663.93
To raise a total of $590,000, Johnstone should invest $104,663.93 annually to pay off its debt due in December 31, 2021.
Requirement 3
Lease liability are recorded at the present value of the total minimum lease payments.
Annual Payment = $139,000
Present Value factor of 11% annuity due for 15 periods = 7.98187
We use annuity due because the payments are made in advance.
Present Value of Lease Liability = $139,000 x 7.98187 = $1,109,479.93
Lease liability is recorded at its present value. An interest expense is also recognized annually for the whole life of lease.
Investments are monetary resources purchased in order to earn returns in the future or to be sold in the future for profit. The higher the investment, the higher the return is. But it also means higher risk.
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Present at least two paragraphs describing your thoughts about the course.
1. Your thoughts about the format of the course.
2. Your thoughts about the content.
3. Your thoughts about the assessments.
4. Anything else you would like to add?
This course is about Career Exploration!
1. The format of the course can play a significant role in a student's engagement levels. Since Career Exploration deals with personal experiences and self-discovery, having a flexible structure that allows for self-paced learning can be beneficial. Interactive activities such as videos, quizzes, and reflective questions can make the course engaging and interactive. Visual aids, infographics, and interactive maps can enhance the learning experience.
Additionally, having access to an experienced career counselor or mentor can be valuable. Such experts can provide guidance and feedback, answer questions, and offer career advice. Offering students opportunities for job shadowing, internships, and informational interviews can also give students practical experiences and insights into various career fields.
2. The content covered in a Career Exploration course should be diverse, comprehensive, and relevant to the current job market. Topics such as self-assessments, career research, networking, resume building, interview preparation, and job search strategies can be included. The course can also focus on soft skills such as communication, problem-solving, and leadership, which are essential in any career field.
Moreover, incorporating case studies, real-life examples, and current labor market trends can make the content relatable and interactive. The course content can also emphasize the importance of continuous learning and the need to adapt to the changing job market.
3. Assessments can serve as a way of measuring how much a student has learned, provide feedback on their performance, and encourage self-reflection. Providing a variety of assessment types, such as quizzes, essays, and project-based assessments, can provide students with multiple opportunities to demonstrate their understanding of the course material.
Additionally, frequent and timely feedback can be beneficial in helping students understand where they can improve and build their confidence. A final exam or capstone project can be useful in evaluating how much a student has learned and presenting their findings on their career research.
4.Overall, a Career Exploration course can be a valuable investment for students who want to make informed career decisions. It can provide students with guidance, resources, and practical experiences, making them more marketable and prepared for their careers.
yang company sold merchandise for $2,000 cash. the event is subject to a state sales tax of 9%. recognizing the sale will require yang to
Recognising the sale will require Yang to recognize sales tax liability of $180.
A tax is a form of transfer of wealth from households and businesses to the government.
Types of Taxes
Sales tax: it is a type of consumption tax. It is the tax levied on the sales of products. An example is the value added tax. Excise tax: it is a tax levied on certain goods and services at the point of sale. This tax is usually levied on goods that the government wants to discourage its consumption. e.g. tobaccoIn order to determine the tax liability of Yang, this formula would be used:
sales tax x cost of goods sold
9% x $2000
0.09 x $2000
= $180.
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The aging of accounts receivable recognizes that an account is more likely to
become uncollectable as it gets.
A. delinquent
B. smaller
о
C. larger
O D. older
—
SUBMIT
Answer:
D. Older
Explanation:
The longer it takes, the less likely it will be paid. People who care about their credit pay it off as soon as possible. If they do not care, they know the unpaid debt will likely fall off of their credit report after 7 years depending on the situation
The aging of accounts receivable recognizes that an account is more likely to become uncollectable as it gets older.
Hence, the answer is D. older.
The aging of accounts receivable is a process of classifying accounts receivable according to the length of time they have been outstanding. Accounts that are older are more likely to become uncollectible because the customer has had more time to default on the payment.
Option A, delinquent, is incorrect because it is not the only factor that determines whether an account is likely to become uncollectible. The age of the account is also a significant factor.
Option B, smaller, is incorrect because there is no correlation between the size of an account and its likelihood of becoming uncollectible.
Option C, larger, is incorrect for the same reason as option B.
Therefore, the answer is D. older.
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A decrease in ________ can put your job at risk if aggregate expenditures fall. group of answer choices the inflation rate the natural rate of unemployment consumer confidence the length of a business cycle g
A decrease in consumer confidence can put your job at risk if aggregate expenditures fall.
What is consumer?Any person or group of persons who buy or utilize products or services only for their own consumption and not for production or resale are considered consumers. In the sales distribution chain, they are the final consumers.
Consumer are the important for the growth of the business. A company should maintain its existing customers and increase the new customers for the increment in the sales of its product.
Therefore, the decline in the consumer confidence can lead to the loss of the customer from the organization. It will result in the fall of the aggregate expenditure.
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On January 1, 2017, Spring Fashions Inc. enters into a contract with a southeast retail company to provide 500 dresses for $62,500 ($125 per dress) over the next 10 months. On October 1, 2017, after 450 of the dresses had been delivered (50 dresses per month), the contract is modified.
Required: 1. Fifty dresses were delivered each month for the first 9 months of 2017. Prepare Spring Fashions’s monthly journal entry to record revenue. 2. Assume that the contract is modified to sell, once the original 500 dresses are delivered, an additional 100 dresses at $110 per dress, which is the stand-alone selling price on October 1, 2017. Assume the dresses are delivered evenly in November and December 2017. Prepare the journal entries to record the contract modification.
Prepare journal entries to record a monthly cash sale on January 31 under the original contract and a monthly cash sale on November 30 under the modified contract.
The appropriate journal entries to record the monthly cash sale on January 31 under the original contract and the monthly cash sale on November 30 under the modified contract are:
Spring Fashions Inc. Journal entries
31-Jan-17
Debit Cash $6,250
Credit Sales $6,250
(50 Dress sold ×$125 per dress)
28-Feb-17
Debit Cash $6,250
Credit Sales $6,250
(50 Dress sold ×$125 per dress)
31-Mar-17
Debit Cash $6,250
Credit Sales $6,250
(50 Dress sold ×$125 per dress)
30-Apr-17
Debit Cash $6,250
Credit Sales $6,250
(50 Dress sold ×$125 per dress)
31-May-17
Debit Cash $6,250
Credit Sales $6,250
(50 Dress sold ×$125 per dress)
30-June-17
Debit Cash $6,250
Credit Sales $6,250
(50 Dress sold ×$125 per dress)
31-July-17
Debit Cash $6,250
Credit Sales $6,250
(50 Dress sold ×$125 per dress)
31-Aug-17
Debit Cash $6,250
Credit Sales $6,250
(50 Dress sold ×$125 per dress)
30-Sept-17
Debit Cash $6,250
Credit Sales $6,250
(50 Dress sold ×$125 per dress)
31-Oct-17
Debit Cash $6,250
Credit Sales $6,250
(50 Dress sold ×$125 per dress)
30-Nov-17
Debit Cash $5,500
Credit Sales $5,500
(50 Dress sold ×$110 per dress)
31-Dec-17
Debit Cash $5,500
Credit Sales $5,500
(50 Dress sold ×$110 per dress)
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which of the following statements is correct? a. one advantage of the npv over the mirr method is that npv takes account of cash flows over a project's full life whereas mirr does not. b. one advantage of the npv over the mirr method is that npv discounts cash flows whereas the mirr is based on undiscounted cash flows. c. one advantage of the npv over the irr is that npv takes account of cash flows over a project's full life whereas irr does not. d. since cash flows under the irr and mirr are both discounted at the same rate (the cost of capital), these two methods always rank mutually exclusive projects in the same order. e. one advantage of the npv over the irr is that npv assumes that cash flows will be reinvested at the cost of capital, whereas irr assumes that cash flows are reinvested at the irr. the npv assumption is generally more appropriate.
One advantage of NPV over MIRR is that it considers cash flows throughout the course of a project's whole life, whereas MIRR does not.
One benefit of NPV over IRR is that NPV considers cash flows throughout the course of a project's whole life, whereas IRR does not. The fact that the NPV assumes cash flows will be reinvested at the WACC rather than the IRR, which assumes that cash flows are reinvested at the IRR, is one advantage of NPV over IRR.
In general, the NPV assumption is more appropriate. These two approaches always rank projects that are mutually incompatible in the same order since the cash flows under the IRR and MIRR are both discounted at the same rate (the WACC). The fact that the NPV technique discounts cash flows while the MIRR method is based on undiscounted cash flows is one benefit over the MIRR method.
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a price elasticity of supply greater than 1 is called __________ and a price elasticity of demand less than 1 is called ___________. A.inelastic; elastic B.elastic; unitary C.elastic inelastic; D.unitary elastic E.elastic; inelastic
A price elasticity of supply greater than 1 is called elastic, and a price elasticity of demand less than 1 is called inelastic. Option C.
Price elasticity of supply and price elasticity of demand are measures used in economics to assess the responsiveness of quantity supplied and quantity demanded, respectively, to changes in price.
When the price elasticity of supply is greater than 1, it indicates that the quantity supplied is highly responsive to changes in price. This means that a small percentage change in price will result in a relatively larger percentage change in the quantity supplied.
This is known as elastic supply. Elastic supply implies that suppliers can easily adjust their production levels in response to price changes.
On the other hand, when the price elasticity of demand is less than 1, it indicates that the quantity demanded is less responsive to changes in price. In this case, a percentage change in price will result in a smaller percentage change in the quantity demanded.
This is known as inelastic demand. Inelastic demand implies that consumers are less sensitive to price changes and are willing to pay a higher price for the product or service.
To summarize, a price elasticity of supply greater than 1 is called elastic because the supply is highly responsive to price changes, and a price elasticity of demand less than 1 is called inelastic because the demand is less responsive to price changes. SO Option C is correct.
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Michael works as a financial advisor in a doctors office. The two organizations that Michael most likely belongs to are the..
A. AFP and AMA
B. AFP and ACS
C. AMA and AIA
D. AIA and ACS
Michael works as a financial advisor in a health practitioner's office. the 2 agencies that Michael maximum possibly belongs to are the: A. AFP and AMA
A monetary adviser or financial advisor is a professional who offers economic services to clients based totally on their monetary state of affairs. In many nations, financial advisors should whole precise education and are registered with a regulatory body in an effort to provide advice.
A financial advisor is a professional who's paid to offer financial recommendations to customers. simply as you would hire an architect to create a plan for your house, you hire a financial marketing consultant to create a plan for your budget. it is all about paying a person for the know-how you need to reach unique goals.
A monetary guide will now not simplest set you up financially. they could help make choices on the most important existence adjustments like how tons maternity go away can you have the funds to take while having a child. They also can help maintain you on target financially while lifestyles throw you curve balls which include redundancy.
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Doris is a member of a team that works to seamlessly execute a large company’s annual shareholder meeting and quarterly board meetings on an ongoing basis. Doris is an employee in the investor relations department of the company. The team also includes Don from IT, Sally from Communications, Editha from event management, Saul from security, Tony from catering, Rob from transportation services and Lola from Marketing. This team is an example of what kind of team?
Answer: Cross functional team
Explanation:
Cross functional team could be defined as a team of people from their parent department in an organization, coming together to work for another purpose. This is a scenario were people in addition to their existing department's in organization work for another function. This works for short term committee, to meet up a project or task.
Select the correct answer from each drop-down menu. Kevin is a store manager and has employees from diverse cultures reporting to him. He has often seen Marcos having arguments with his colleagues, Kwa Lee and Gaurav. What can Kevin do to ensure that there is team spirit and effective communication amongst all? Kevin can first be aware of his own attitude to diversity . He can also assess Marcos and him to change his behavior toward his other colleagues. He can also think of putting them together into similar departments to encourage .
Kevin leads in an autocratic manner since he just cares about his work. He seldom ever notices his subordinates. He doesn't even compensate the workers for their efforts.
Autocratic or authoritarian behavior as a leadership style.
An authoritarian leader consolidates his own personal control over both decision-making and authority. Without speaking to the workforce, he gives directions and assigns endeavors and liabilities. The pioneer assumes all authority and responsibility.
Negative leadership that relies on threats and punishment is autocratic.
Subordinates go about as he coordinates. He neither really focuses on their perspectives nor licenses them to impact the choice. He accepts that due to his position he alone can conclude what is best in a given circumstance.
Close oversight, unambiguous guidance, and directing requests from the majority are the foundations of autocratic leadership. It functions with quick decisions, brief activity, and heading unity. A lower level of appointment is required. Nevertheless, an excess of purpose of power could result in strikes and current debates. It makes sense to instill dissatisfaction and impede the growth of the employee limit.
Kevin leads in an autocratic manner since he just cares about his work. He seldom ever notices his subordinates. He doesn't even compensate the workers for their efforts. Individual control over all choices and little participation from the group are traits of his behavior. He frequently disregards advice and makes decisions based solely on his opinions and judgments.
These sorts of choice include the utilization of power gave on the singular taking the choice by the association's design. Hierarchical decisions are those decisions taken simply in light of a legitimate concern for the association. Directors are given the authority by the firm to settle on decisions in light of a legitimate concern for the association. Notwithstanding, this authority doesn't concede them the ability to pursue individual decisions. It should likewise be perceived that while hierarchical decisions can be assigned, individual decisions can't be appointed.
To explain further the concession among individual and hierarchical choice, let us think about the accompanying model. James Harrison was terminated by the supervisor since he didn't submit to the principles of the organization. This would be an authoritative choice. In any case, assuming James Harrison was terminated essentially on the grounds that the director loathed him for not a great explanation connected with the organization then that would be an individual choice. An authoritative choice is customized yet an individual choice is non-modified.
Functional:
Typically, judgments related to everyday activities are made functionally. These kinds of tailored choices are, by definition, meant to help the organization achieve short-term objectives. Chiefs at lower and middle levels typically make these decisions. Functional decisions must be made within the framework of the organization's established practices. As a result, those that must accept functional option are allowed to exercise their very own constrained utilization caution and drive.
Simple functional decisions, such regularly procuring writing materials and other natural resources, are designed to have an impact on a certain area or division of the company. As we can see, making such a decision will only affect the buying department.
Strategic Decisions:
It is implied that decisions involving important but one-time issues qualify as critical decisions. These decisions are made using a variety of administrative skills, wisdom, and experience. Not at all like functional choices, important decisions worry the firm's drawn-out points. When making a crucial decision, the person or group making it must carefully consider how the company association and its current situation are related. Important judgments are less secure in nature since the climate is constantly changing. Another reverence among important and practical choices is that crucial judgments are made by senior management.
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Answer: The Answer is diversity, Counsel, and Interactions.
Explanation:
This is correct, I just took the test. :)
1. Buyers, sellers, and producers all have someone else they are competing with for economic benefits. This is known as:
O competition
O monopoly
O collusid
O cartels
Answer:monopoly
Explanation:
On average, a person with a bachelor's degree earns
than a person
with an associate degree and
than a person with a master's
degree.
Answer:
More than a person with an associate degree and less than a person with a masters degree.
Explanation:
1. According to this supply curve, 400 movie videos will be supplied at what price?
a. $12
b. $16
c.$14
d.$10
According to this supply curve, 400 movie videos will be supplied at what price 12 dollars.
What is a supply curve?A supply curve is a graphical representation of the relationship between the quantity of a good or service that a producer is willing to sell and the price at which they are willing to sell it. The curve is upward sloping, which means that as the price of a good or service increases, the quantity supplied by producers will also increase.
The opposite is also true, as the price of a good or service decreases the quantity supplied by producers will decrease. It is assumed that all other factors (technology, input prices, taxes and subsidies etc.) that affect production remain constant.
The position of the supply curve can also change depending on these factors. The supply curve is a fundamental concept in microeconomics, it is used to analyze market behavior and the determination of prices in a market.
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True or false: HRM is just as important to a company as the company's finance, marketing, and accounting departments.
**True.** HRM (Human Resource Management) is just as important to a company as its finance, marketing, and accounting departments.
While each department plays a crucial role in the overall functioning of a company, HRM is equally significant in ensuring the success and effectiveness of the organization. HRM is responsible for managing the company's human capital, including recruitment, selection, training, performance management, employee engagement, and employee relations.
Effective HRM practices contribute to various aspects of a company's success. For instance, HRM plays a vital role in attracting and retaining top talent, which is crucial for driving innovation, productivity, and competitiveness. HRM also ensures compliance with labor laws and regulations, promotes a positive work culture, fosters employee development, and manages conflicts or issues within the workforce.
Additionally, HRM plays a critical role in aligning the company's human resources with its strategic goals, facilitating organizational change, and promoting diversity and inclusion. Without effective HRM, companies may struggle to attract and retain talented employees, experience low employee morale, face legal and compliance risks, and hinder overall organizational performance.
Therefore, recognizing the importance of HRM as being on par with finance, marketing, and accounting departments is essential for organizations to thrive in a competitive business environment.
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in contrast to a forward contract, a futures contract: trades over-the-counter. is initiated at a zero value. is marked-to-market daily.
A futures contract is a standard contract between two parties to purchase or dispose of an underlying asset at a predetermined price and later date. A futures contract is traded on an exchange.
rather than over-the-counter, in contrast to a forward contract. This implies that the contract is defined in terms of size, quality, and delivery date, and the exchange operates as a centralized marketplace for buyers and sellers to trade futures contracts. One essential aspect of futures contracts is that they are begun at a zero value, indicating that no upfront B is necessary to engage into the contract. But, as the contract develops and market circumstances change, the value of the contract varies and is marked-to-market daily. This means that gains or losses are settled on a daily basis.
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in contrast to a forward contract, which of these option are correct ? a futures contract: trades over-the-counter. is initiated at a zero value. is marked-to-market daily.
contracts that cannot be performed within 1 year of acceptance must be in-writing...? t (true) f (false)
A contract does not need to be in writing to be enforceable if the contract makes performance within one year possible.
A bilateral, executory contract that cannot be carried out within a year of its creation is subject to the statute of frauds and requires written documentation. Most agreements must be in writing in order to be legally binding. A contract must be in writing if its conditions make it impossible to finish it within six months. Oral or written agreements can be made to sell land for less than $500.In a nutshell, the answer is yes—oral contracts are legitimate.As was previously said, a contract need not be in writing if it is indefinite, meaning that there is no set expiration date.
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15. Why is unemployment a closely watched figure by the government?
16. Briefly explain the connection between a person’s level of education and his or her potential for employability and earnings.
Economics
a $1,000 par value bond is currently selling for $1,030. this bond has a coupon rate of 7% and coupon is paid semiannually on jan 1st and july 1st each year. today is november 1st and you just bought this bond. how much will you billed for buying one bond?
When a bond is purchased between coupon payment dates, the buyer has to pay the seller the accrued interest for the period from the last coupon payment date to the settlement date.
In this case, the last coupon payment date was July 1st and the settlement date is November 1st, which means there are four months between the two dates.
To calculate the accrued interest, we can use the following formula:
Accrued Interest = (Coupon Rate * Face Value * Number of Days) / (Number of Days in Coupon Period * 100)
Number of Days = 122 (from July 1st to November 1st, inclusive)
Number of Days in Coupon Period = 182 (since the coupons are paid semiannually)
Coupon Rate = 7%
Face Value = $1,000
Accrued Interest = (0.07 * $1,000 * 122) / (182 * 100) = $23.62
Therefore, if you just bought one bond on November 1st, you would be billed $1,030 + $23.62 = $1,053.62.
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Fujitsu Siemens Computers is a legally independent company of which Fujitsu and Siemens each own 50 percent. This collaboration is an example of a(n) __________, which is effective at transferring __________.
A. joint venture; explicit knowledge
B. joint venture; tacit knowledge
C. equity strategic alliance; tacit knowledge
D. nonequity strategic alliance; explicit knowledge
Answer:
B. joint venture; tacit knowledge
Explanation:
A joint venture (JV) is a business arrangement where two or more persons are agreed to pool their resoruces in order to attain a particular task. It can be the new project or any kind of business activity
So as per the given situation since both owns 50% perceny that means they are engaged in the joint venture also in this, the tacit knowledge are considered to be effective
So the option b is correct