Decision-making problems that could occur when using absorption costing include inappropriate __pricing____ decisions, and decisions made to ___drop___ products that are, in fact, profitable.
What is absorption costing?Absorption costing is the costing method that includes both direct and indirect costs in the costs of a product.
It is the opposite of variable or marginal costing, which takes into account only the direct costs in determining the product cost.
Thus, the decision-making problems with absorption costing include pricing decisions and decisions involving whether to drop profitable products.
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Tomas and Saturn are partners who share income in the ratio of 3:1. Their capital balances are $40,000 and $60,000 respectively. Income summary has a credit balance of $20,000. What is Saturn's capital balance after closing income summary to capital?
Tomas and Saturn are partners who share income in a ratio of 3:1. The income summary has a credit balance of $20,000, which represents the total income that needs to be distributed to both partners based on their income sharing ratio.
Hi! I'd be happy to help with your question. First, we'll calculate the income shares for Tomas and Saturn. The sum of the ratio is 3+1=4. Tomas receives 3/4 of the income, while Saturn receives 1/4. Now, let's distribute the $20,000 income:Tomas' share: (3/4) * $20,000 = $15,000
Saturn's share: (1/4) * $20,000 = $5,000
To find Saturn's capital balance after closing the income summary to capital, add Saturn's share of the income to his initial capital balance:Initial capital balance: $60,000
Saturn's income share: $5,000
Saturn's capital balance after closing income summary to capital = $60,000 + $5,000 = $65,000
So, Saturn's capital balance after closing the income summary to capital is $65,000.
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Can you think of other ways that companies might use collaborative analytics to fine-tune the other marketing mix variables?
Collaborative analytics refers to the process of analyzing data and insights from multiple sources and stakeholders within the company to make informed decisions.
There are several ways that companies can use collaborative analytics to fine-tune the other marketing mix variables. Here are some examples:
1. Collaborative Pricing: Companies can use collaborative analytics to gather data from different departments, such as sales, finance, and marketing, to determine the optimal pricing strategy. By analyzing sales data, customer feedback, and competitor pricing, companies can adjust their pricing to maximize profitability and customer satisfaction.
2. Collaborative Promotion: Collaborative analytics can help companies optimize their promotional efforts. By analyzing data from marketing campaigns, social media, and customer feedback, companies can identify the most effective promotional channels, messaging, and timing. This can lead to increased brand awareness, customer engagement, and sales.
3. Collaborative Product Development: Companies can leverage collaborative analytics to fine-tune their product development process. By analyzing customer insights, market trends, and feedback from various stakeholders, companies can identify opportunities to improve existing products or develop new ones. This collaborative approach ensures that the final product meets customer needs and aligns with market demands.
4. Collaborative Distribution: Collaborative analytics can also be used to optimize distribution channels and logistics. By analyzing data from sales, inventory, and supply chain, companies can identify inefficiencies, bottlenecks, and opportunities for improvement. This can result in cost savings, faster delivery times, and improved customer satisfaction.
Companies can use collaborative analytics to fine-tune various marketing mix variables such as pricing, promotion, product development, and distribution. By leveraging data and insights from multiple sources, companies can make more informed decisions and achieve better results in their marketing efforts.
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If you know the answer plz help me out
Answer:
o Location
Explanation:
o Location
The following are summary cash transactions that occurred during the year for Hilliard Healthcare Co. (HHC): Cash received from: Customers $ 740,000 Interest on note receivable 20,000 Collection of note receivable 180,000 Sale of land 48,000 Issuance of common stock 280,000 Cash paid for: Interest on note payable 26,000 Purchase of equipment 160,000 Operating expenses 480,000 Dividends to shareholders 38,000 Prepare a statement of cash flows according to International Financial Reporting Standards?
The creation of the cash flow statement is described below: Brown-Nosed Bakers. Flow of Funds Statement
Relating to 2021. Flow of money from operations, $490,000 was collected from customers. Interest on receivable notes is $11,500. Less: 7.500 in interest on notes due. Less: 235,000 for the purchase of inventory. Less: 95,000 in employee salaries. $164,000 in net cash flow from operational operations, flow of money from investments. Collection of 54,000 unpaid notes. Investments sold for $34,000. Less: $90,000 in equipment purchases; $2,000 in net cash flow from investing activities.. From-financial activity cash flow. issuing 175,000 in notes payable. Less: 40,000 in notes payable payment. Less: 35,000 in dividends paid to shareholders. $100,000 in net cash flow from financing activities. Cash balance change of $262,000 net. Include: A $26,000 opening cash balance. Cash balance at the end.
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to decide how much an insurance policy should cost a customer, underwriters use ________, such as historical industry trends and loan characteristics, to predict risk levels.
To decide how much an insurance policy should cost a customer, underwriters use: Data analytics.
Data analytics can be defined as the systematic computational collection, modelling and analysis of raw data, in order to discover trends, patterns, and draw conclusions about the information that are contained in the data.
An insurance policy can be defined as a contractual agreement between an insurer and an insured (policyholder), in which the claims, terms and conditions binding on both parties are listed in details.
Thus, it is a contract in which an insurer indemnifies an insured (policyholder) against losses in the event of certain dangers or problems.
Underwriting refers to a process through which an insurer determines the risks of insuring a customer and establishing the required cost (price).
Basically, underwriters use data analytics to predict risk levels and determine how much an insurance policy should cost a particular customer. Some examples of the data used by underwriters are:
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When will the utilization of a bottleneck resource be less than 100%? When the process is capacity constrained When the process is demand constrained When demand is higher than process capacity When demand is equal to process capacity
The utilization of a bottleneck resource will be less than 100% when demand is lower than process capacity.
A bottleneck resource refers to a step or resource in a process that limits the overall capacity of the process. It is the slowest or most constrained part of the process that determines the maximum output that can be achieved. The utilization of a bottleneck resource is calculated by dividing the actual output or workload processed by the maximum capacity of the resource.
When demand is lower than the process capacity, there is not enough demand to fully utilize the bottleneck resource. As a result, the utilization of the bottleneck resource will be less than 100%. In this situation, the process has the potential to produce more, but the demand is not sufficient to fully utilize the available capacity.In contrast, when demand exceeds the process capacity, the utilization of the bottleneck resource will typically be close to or at 100% because the demand is pushing the process to its maximum capacity.
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Imagine yourself to be the Event Manager and you are conducting a pre - event briefing for all the team members . So as a part of the briefing you will be talking to them about following things • the time, place and day of the event. • give them details of the event like no of people etc • give them brief of the duties they need to perform and all special arrangments you need to make.
Good morning/afternoon, everyone! Thank you for gathering here today for this pre-event briefing. As the Event Manager, I would like to provide you with important details and instructions to ensure the smooth execution of our upcoming event. Let's dive right in:
Time, Place, and Day of the Event: The event will take place on [date] at [venue/location]. Please note that the event start time is [time]. Make sure to arrive well in advance to set up and prepare for the event. Event Details: We are expecting approximately [number of people] attendees for this event. It's crucial that we are well-prepared to accommodate and provide excellent service to each guest. Duties and Responsibilities: I will now provide a brief overview of the duties each team member will be responsible for during the event: Registration and Check-In: [Assign specific team members] will handle the registration and check-in process. They will be responsible for managing guest lists, distributing badges, and ensuring a smooth and efficient check-in experience. Ushers and Crowd Management: [Assign specific team members] will be in charge of guiding attendees to their seats, managing the flow of people, and ensuring a comfortable and organized environment. [Assign specific team members] will handle the setup and decorations according to the event theme. They will ensure that the venue looks aesthetically pleasing and is set up appropriately.
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My boss just fired me for putting something on the wrong shelf. But the thing is i don't work in the restock department. Is this something i should tell him or find a different job?
Which part of the ethical code for social work is described?
Suppose you are working with a community group and a concern is raised about the single mothers in the community. After listening to the group, you realize the concern is that people do not want to rent to single mothers; therefore, these individuals are usually living on the top floor of old buildings that are not always the best environment for children.
social justice
competence
service
relationships
Social justice is the correct answer.
Answer:
tis actually competence
Explanation:
how does open book management benefit employees?
Answer: It helps your employees do their job better.
Explanation: Not only that but it will help all people who work there, know what the job is about and know the full meaning and whole of what it is. I hope this helps!
The difference between stocks and bonds in terms of the future payments that they are expected to make is multiple choice 1 stocks pay fixed dividends, wheras bonds pay a variable amount of interest at regular intervals. Bonds pay dividends out of profits, whereas stocks pay a predetermined amount of interest at regular intervals. Bonds pay fixed dividends out of revenues, whereas stocks pay a variable amount of interest at regular intervals. Stocks pay dividends out of profits, whereas bonds pay a predetermined amount of interest at regular intervals
The difference is that stocks pay dividends out of profits while bonds pay a predetermined amount of interest at regular intervals.
What is a stock and bonds?Stock means the shares owned in a business and bonds means an isused debt that promises to repay at some point in the future.
Hence, the difference is that stocks pay dividends out of profits while bonds pay a predetermined amount of interest at regular intervals.
Thereforem the Option B is correct
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The importance of branding and packaging as a means of sales promotion in a research
Branding and packaging are both important tools for sales promotion. The packaging of a product is the first thing that a customer sees.
A good packaging design can make a product stand out on a shelf and draw a customer's attention to it. Branding is the way that a company distinguishes itself from other companies. It can be the name, logo, slogan, or other symbol that represents the company and its products.Packaging has a direct impact on sales because it is the first thing that a customer sees. The design of the packaging can communicate important information about the product, such as the quality, price, and benefits. Good packaging can also increase customer satisfaction because it protects the product during transport and helps to keep it fresh. This can lead to repeat sales and positive word-of-mouth advertising.Branding is also important because it helps to build customer loyalty. When customers have a positive experience with a brand, they are more likely to purchase products from that brand in the future. Branding also helps to differentiate a product from its competitors. This can be especially important in a crowded market where many products are similar.In conclusion, packaging and branding are important tools for sales promotion. Packaging can help to draw a customer's attention to a product and communicate important information about it. Branding helps to build customer loyalty and differentiate a product from its competitors.
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Any work created by company employees on the job is considered _________.
Answer:es de la misma empresa que hizo las 2
Explanation
$10,000 Revenue, $5,000 Expenses. What is the Net Profit $?
Answer:
$5,000
Explanation:
5 RACKIES
if a country's largest city has 1,000,000 inhabitants and the second largest city has 200,000 inhabitants, the country follows what distribution?
If a country's largest city has 1,000,000 inhabitants and the second largest city has 200,000 inhabitants, the country follows a highly skewed distribution.
Skewness refers to the extent to which a dataset is asymmetrical. In this case, the distribution is highly skewed because the difference between the largest city and the second-largest city is enormous.
A distribution is said to be skewed if one tail is longer than the other. When the tail is longer on the positive side, the distribution is said to be positively skewed. Conversely, when the tail is longer on the negative side, the distribution is said to be negatively skewed. In this case, the distribution is positively skewed because the tail is longer on the right-hand side.
Skewed distributions are common in real-world datasets, and they are especially common when the dataset contains extreme values or outliers. In this case, the largest city is an extreme value that is significantly larger than the other values in the dataset. The second largest city is still large, but it is relatively small compared to the largest city.
In conclusion, if a country's largest city has 1,000,000 inhabitants and the second largest city has 200,000 inhabitants, the country follows a highly skewed distribution, which is positively skewed.
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The country follows a highly skewed distribution known as a "Pareto distribution," where a small number of cities hold the majority of the population.
Pareto distributions are characterized by a heavy tail, which means that a few observations have very high values compared to the rest. In this case, the largest city has five times the population of the second-largest city, which is a significant difference. Pareto distributions are commonly observed in many social and economic phenomena, such as income and wealth distribution, city populations, and even the popularity of websites.
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A bond has an annual coupon rate of 3.4%, a face value of $1,000, a price of $1,125.76, and matures in 10 years. Attempt 1/6 for 5 pts. Part 1 What is the bond's YTM? 4+ decimals
A bond has an annual coupon rate of 3.4%, a face value of $1,000, a price of $1,125.76, and matures in 10 years.A bond's yield to maturity (YTM) is the yield an investor receives if the bond is held until maturity and all interest and principal payments are made on schedule.
YTM is calculated using a bond's current market price, face value, coupon rate, and time to maturity. The bond's YTM is the interest rate that will make the present value of the bond's cash flows equal to its current market price. The bond's YTM is found using a trial-and-error process.YTM is used to calculate the bond's value, which is the present value of the bond's cash flows. In order to determine the bond's YTM, the following formula is used:PV of coupon payments + PV of face value = Current market priceThe bond's YTM is 2.66%.
The bond's current price is $1,125.76, the face value is $1,000, the annual coupon rate is 3.4%, and the bond matures in ten years.
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what did not contribute to the collapse of the stock market in 1929?
Answer: stock prices reflected the real value of companies
Explanation:
please help, this is culinary class
Answer: 1. cutlet knife 2.carving 4.steak knife 5. salmon knife 6. Paring
7. Boning 8. Chef's knife 9. peeling knife 10. bread knife
Explanation:
Answer:
1. cutlet knife 2.carving 4.steak knife 5. salmon knife 6. Paring
7. Boning 8. Chef's knife 9. peeling knife 10. bread knife
Explanation:
the last guy
also
thank u for this
i needed this question
Sebastián compró 3 latas de pintura a 15.75 cada una marcada con un descuento del 20% cuánto pagó en total Sebastián en caja incluyendo el I.T.B.M.S
Answer:
37,8
Explanation:
Podemos hacer esto de dos formas.
Si compró 3 latas a 15,75, podemos encontrar el porcentaje de cada lata y luego multiplicar por 3. Como
20% * 15,75 =
20/100 * 15,75 = 3,15
15,75 - 3,15 = 12,6
Luego multiplicamos el 12,6 por 3.
12,6 * 3 = 37,8
De otra forma, podemos hacer la multiplicación primero. Como,
15,75 * 3 latas = 47,25
20% de 47,25 =
20/100 * 47,25 = 9,45
47,25 - 9,45 = 37,8
Entonces, en total, pagó 37,8
The statistical thinking underlying Six Sigma is based on the following three principles: Cay by GoBus Sotwas, h Cong dst-being of adpany was posting se probeed and comes copyrige violation O All work
The statistical thinking underlying Six Sigma is based on the following three principles:
1. Variation: Six Sigma recognizes that variation is inherent in any process and that reducing variation is crucial for improving quality. It emphasizes the importance of understanding and managing sources of variation to achieve consistent and predictable results.
2. Data-Driven Decision Making: Six Sigma promotes the use of data and statistical analysis to drive decision making. It emphasizes the collection, analysis, and interpretation of data to gain insights, identify root causes of problems, and make informed decisions for process improvement.
3. Continuous Improvement: Six Sigma embraces the concept of continuous improvement, striving for incremental and sustained improvements over time. It emphasizes the need for ongoing monitoring, measurement, and feedback to ensure that improvements are implemented effectively and that processes remain in control.
These principles form the foundation of Six Sigma methodologies and guide practitioners in their efforts to identify and eliminate defects, reduce process variation, and ultimately improve the quality and efficiency of organizational processes. By applying statistical thinking and data-driven decision making, organizations can achieve higher levels of performance, customer satisfaction, and operational excellence.
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what is the meaning of form of business organization? don't spam
Answer and Explanation:
A business organization is an entity that focused on carrying out the enterprise on commercial activity by giving the products or services in order to meet out the needs and wants of the customers.
Here are different types of business organization that includes sole proprietorship, general partnership, limited liability, corporation, etc and based on each form there are different tax liability, duties, responsibilities
All of the following allow for a monopoly to exist EXCEPT ______________.
a. geography
b. competition
c. a patent
d. government mandate
Economics
Answer:
d. government mandate economics
Explanation:
during the industrial era the government stepped in to stop wealthy monopoly companies from corruption of the government
The correct option is (d) Government mandate economics.
What does government mandate economics mean?The group of people responsible for governing the country is called the government. If some government has a mandate for carrying out any policy or task, then they somewhat get the authority to win the election or vote. Hence (d) is correct out of all options.
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a) what is the average inventory turnover (quarterly and yearly) for the firm?(b) if you were given the assignment to increase inventory turnover, what would you focus on? why?
a) Without the specific information about the firm's inventory and cost of goods sold, it is not possible to determine the average inventory turnover for the firm on a quarterly or yearly basis.
b) To increase inventory turnover, I would focus on improving inventory management practices such as reducing lead times, optimizing order quantities, and implementing just-in-time inventory systems.
By reducing the amount of time inventory sits on the shelves and minimizing excess inventory, the firm can increase its inventory turnover ratio. Another strategy could be to evaluate product demand and adjust production accordingly to prevent overstocking.
This would help to increase sales while reducing the amount of inventory held.
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Jillian is a high school student who typically earns $275 every two weeks 1 point at her part-time job. She is responsible for paying her own cell phone bill, gas when she drives her mom's car, and costs of going out with friends. She wants to set a low balance alert. What amount probably makes the most sense for Jillian?
A - $50
B - $ 5
C - $500
D- &5000
The amount that makes the most sense for a low balance alert is A. $50
Jillian earns around:
= 275 * 2
= $550 a month
Out of this $550, she will have to pay for:
her cellphone billgas when she drives her mother's car and cost of going outThose costs in a month will definitely put in dent in her account by a couple of hundreds so it would be best if her low balance alert is $50 because if she sticks to her budgeted expenses, she should be above this amount monthly.
In conclusion, having a low balance alert of $50 makes the most sense for Jillian.
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give 5 numbers smaller than -2 and 5 numbers bigger than -2
you purchase a car for 20,000 you made a down payment of 5,000 and took out a loan for the rest. what is the principle balance of the loan
Answer:
15,000
Explanation:
The principal amount in a loan is the amount borrowed. It is the amount from which interest is calculated. When repaying a loan, the full principal amount and the interest must be paid.
The car is valued at 20,000. A deposit of 5000 is paid. the principal amount in the loan is 15,000. (20,000 - 5000)
What is the danger of having a lot of debt?
(brainlyest)
Answer:
probably not paying it off in time or something
Explanation:
what are some strategies that you can use to prepare to file taxes each year? What would be he benefits of these strategies?
Strategies which can be used to prepare for filing taxes each year are by keeping a proper record of expenses and receipts by filling them out, sorting out each piece of documentation that will be required at the time of filing tax, and one can create folders and sub-folders also.
The benefits of these strategies are:
It will help in avoiding added penalties or interests.
It will keep track of future refunds.
A portion or the entire refund can be used to pay back any owed taxes, among other things.
What is tax filing?"Tax filing" or "tax return" means filing a document with a tax authority. In that document, reports about income, expenses, and information about other financial activities are filled in.
Filing a tax return is entirely dependent on income. There are certain guidelines within which one can file a tax.
Therefore, with the usage of strategies, one can prepare tax file each year.
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The manager of East India Ice Cream Shop keeps track of the number of customers served at different periods of the day in an attempt to plan a schedule for workers that matches the demand for the restaurant's products. By using this tracking system, the manager of East India is utilizing ________ control.
Answer: Output
Explanation: The output control system refers to one of the organizational control systems which is employed by business strategist and establishment in tracking the progress, growth, flaws and ways whereby an organization can improve, provide better services and ultimately make more revenue. The output control system is focused on that aspect of a business offering which can be quantified, such that executives could analyze the feedback and thus use it as a guide to provide and improve on future projects or services. In the scenario above, data was studied to identify peak periods in other to schedule worker's shift so that the organization would not fall short of workers at the time which they are mostly required.
Which of the following is a general two-year college level degree
• A masters degree
• a associates degree
• A bachelors degree
• A technicians degree
Answer:
An associates degree.
Explanation:
An associates degree is the typical 2 year degree. Bachelors is 4 years, masters is 6-8 years, and technicians is different altogether, with varied times.
A general two-year college-level degree is an associate's degree. Thus the correct option is B.
What is a College degree?A college-level degree indicates a degree or a certificate that is given to an individual when he succeeds in a higher level of education. THis degree determines the level of learning and knowledge of an Individual.
When an individual is looking for Job this degree acts as evidence of their education that they have acquired a particular level of knowledge from a particular institution.
A two-year community college program is often required to obtain an associate's degree. It concentrates on general education requirements that, after two more years of study, can be applied toward a bachelor's degree.
Therefore, option B is appropriate.
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