Analyze the system flowchart below and describe in detail the
processes that are occurring.

Answers

Answer 1

This flowchart shows payroll and employee management process. Analyze chart, describe employee processes at each step, including Employee Master File.

What is the the system flowchart?

Enter time sheet data into the system. Inputting info from time sheets or importing from digital systems. Payroll data based on time sheets for wages, overtime, and more.

Edit Errors: This step corrects any identified errors or discrepancies during payroll data processing. Review, cross-check, adjust as necessary. Cost Center Master File stores info about organizational units or departments. Cost centers track expenses.

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Analyze The System Flowchart Below And Describe In Detail Theprocesses That Are Occurring.

Related Questions

On chapter 17 you learned that home equity (buying a house) is the single greatest financial asset for many middle-class Americans. Nonetheless, in 2008 we had a big recession that was triggered by the housing market. Explain the link between the housing bubble and the financial crisis that hit America and then the world. How the housing market contributed to the financial crisis?

Answers

The collapse of the housing market was caused by the burst of the housing bubble that was created when the real estate market became overpriced, leading to high demand for houses and a large number of subprime mortgages being issued.

The housing bubble was fueled by easy credit and low interest rates. In the years leading up to the housing market collapse, banks were lending money to anyone who could sign their name, regardless of whether they could afford the mortgage or not. Subprime mortgages were mortgages issued to people with poor credit scores who would not typically qualify for a mortgage.In the early 2000s, mortgage lenders began issuing adjustable-rate mortgages with teaser rates.

These were loans with very low-interest rates for the first few years, which then increased significantly after that. As a result, people could buy homes they couldn't afford with low initial payments, only to be hit with huge payments when their interest rates rose. When they couldn't afford these payments, they defaulted on their loans. This triggered a domino effect, with the number of foreclosures rising, which led to a decrease in housing prices.

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Which of the following is an
example of a wellness perk?

Answers

Answer:

I think it's letter

"A"

COBRA

A basic concept in economics is that all resources are
A) Valuable
B) Limited
C) Renewable
D) Allocated

Answers

A basic concept in economics is that all resources are allocated. The economic problem of scarcity forces society to allocate resources efficiently. Economics is about choices, and the allocation of scarce resources is one of the most fundamental of these choices.The answer is D.

The process of allocating resources involves deciding where, when, and how to use resources in a way that maximizes their benefits and satisfies the greatest number of wants and needs. This is known as resource allocation, which can be done through the market system, the government, or a combination of both.

The answer is D.In a market economy, resources are allocated through the price mechanism, whereby the interaction of buyers and sellers determines the price of goods and services. In a command economy, resources are allocated by the government through central planning.

Ultimately, the goal of resource allocation is to maximize efficiency, equity, and sustainability.

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(a) In the context of the Barro-Gordon model, derive the discretionary rate of inflation.
Provide a diagram to support your answer.

(b) Is delegating monetary policy to a conservative central banker a good idea when there are supply-side shocks?

Answers

(a) The Barro-Gordon model is a new classical model that explains the relationship between monetary policy and the actual level of inflation in an economy. The model proposes that the rate of inflation is determined by both the expected inflation rate and the level of unemployment in the economy. When inflation is greater than anticipated, the model assumes that individuals will adjust their expectations of future inflation upward and thereby drive the actual rate of inflation higher as well.

The discretionary rate of inflation can be derived as follows:When unemployment is higher than its natural rate, there is a negative output gap in the economy. In order to close this output gap, policymakers will increase aggregate demand. This leads to an increase in the rate of inflation. Similarly, when unemployment is lower than its natural rate, there is a positive output gap in the economy. Policymakers will decrease aggregate demand to reduce inflation. The discretionary rate of inflation is the rate of inflation that results from the difference between the actual rate of inflation and the expected rate of inflation in the economy.

If policy makers choose to use expansionary monetary policy, this will lead to a higher rate of inflation in the short run but will not impact the natural rate of unemployment in the long run.(b) Supply-side shocks are sudden changes in the production function, and they can cause inflation and unemployment to rise simultaneously. In such situations, it may be beneficial to delegate monetary policy to a conservative central banker because they are more likely to be committed to low inflation and can resist the temptation to use expansionary monetary policy to reduce unemployment.

They are less likely to accommodate supply-side shocks with an increase in aggregate demand, which would be inflationary in nature. However, it is important to note that delegation can only be successful if the central banker has credibility in the eyes of the public and the government. If the central banker is not seen as credible, their policies may be ignored or reversed by the government, and the benefits of delegation will not be realized. Thus, delegating monetary policy to a conservative central banker can be a good idea when there are supply-side shocks if the central banker has credibility.

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for retailers competing in the mobile retailing space, a responsive website design is preferred because it

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A responsive website design in mobile retailing ensures accessibility, user satisfaction, improved search rankings, and higher conversion rates, ultimately driving business growth and success in the highly competitive mobile marketplace.

Mobile-Friendly Experience: A responsive design ensures that the website adapts and functions seamlessly across different screen sizes and devices.

With the increasing use of smartphones and tablets for online shopping, retailers need to provide a mobile-friendly experience to their customers. A responsive design allows for easy navigation, readability, and interaction, enhancing the user experience on mobile devices.

Higher Mobile Search Rankings: Search engines prioritize mobile-friendly websites in their search results. Having a responsive design can improve a retailer's visibility and organic rankings in mobile search, leading to increased traffic and potential sales.

Consistent Branding: With a responsive design, retailers can maintain consistent branding across all devices. The website's layout, colors, and content are optimized to provide a cohesive brand experience, regardless of the device being used. This helps in building brand recognition and trust among mobile users.

Improved Conversion Rates: A responsive design eliminates the need for users to zoom, scroll, or resize content to view it properly. It offers a smooth and intuitive browsing experience, reducing friction and improving conversion rates. Users are more likely to stay on a mobile-friendly site, explore products, and complete purchases, leading to increased sales and revenue for retailers.

Competitive Advantage: In the mobile retailing space, where customers have numerous options, a responsive website design gives retailers a competitive edge. By offering a user-friendly and seamless mobile experience, retailers can differentiate themselves from competitors and attract and retain customers.

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QUESTION B1 risk assessment - going concern - materiality Under the regulatory frameworks in the audit, auditors are mandatorily required to carry out risk assessments, to be able to provide reasonable basis for identifying and assessing the risks of material misstatement. These risk of material misstatements can arise from external factors and also internal perspectives. Hence it is important for auditors to do prior planning in terms of risk assessments, to ensure major risk areas are covered in their audit. REQUIRED: a) Discuss business risk and financial statement risk. Explain the types of assessments auditors can do during planning stage to manage these risks

Answers

Under the regulatory frameworks in the audit, auditors are mandatorily required to carry out risk assessments, to be able to provide reasonable basis for identifying and assessing the risks of material misstatement.

These risk of material misstatements can arise from external factors and also internal perspectives. Hence it is important for auditors to do prior planning in terms of risk assessments, to ensure major risk areas are covered in their audit.

Business risk refers to risks that arise from the organization's environment, which includes competition, economic changes, and technological changes.

Financial statement risk, on the other hand, refers to the risks that arise due to errors and omissions in the financial statements. Auditors can do the following types of assessments during the planning stage to manage these risks: Understanding the entity: This is an assessment of the industry, business operations, and the organization's financial position.

The objective of this assessment is to identify and evaluate any potential risks. Assessing the control environment: This is an assessment of the entity's internal control systems and processes. The objective is to identify any control deficiencies that may result in material misstatements in the financial statements.

Performing analytical procedures: This is an assessment of the relationships and trends in financial and non-financial data. The objective is to identify any unusual transactions or balances that may result in material misstatements in the financial statements.

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You are saving for your child's college education. Your child will start college in 16 years, and college tuition is due at the beginning of the year (i.e., the first tuition payment will occur at t=16). Average college tuition at a private school this year is $38,500 per year. Scenario 1: Optimistic - tuition charges grow at the general inflation rate of 2.4266% per year. a) Create a timeline that shows each of the four years' worth of tuition b) Calculate the present value, at t=16, of these payments if you assume that your opportunity cost of funds is 0.5% per month which compounds to 6.1678% per year. c) Calculate the single payment you must make into the child's college account to pay for the entire college experience, if you make the payment now. d) Calculate the monthly payment you must make into your child's college account to pay for four years of college; you may assume that the first payment into the college account comes in one month's time and the last payment will come one month prior to the first college tuition payment. Scenario 2: Pessimistic - tuition charges grow at the recent education inflation rate of 6.5911% per year. Repeat the steps above with the pessimistic rate. If you have set up your approach well you can use your previous work (sometimes easiest to copy the entire tab you worked on) to just change the one assumption.

Answers

Monthly Payment for Four Years of College would be $377.63

Let's go through each step for both the optimistic and pessimistic scenarios.

Scenario 1: Optimistic - Tuition charges grow at the general inflation rate of 2.4266% per year.

a) Timeline of Tuition Payments:

We will assume the first tuition payment is due at t=16 and continue for four years.

Year 1: $38,500

Year 2: $38,500 x (1 + 2.4266%) = $39,499.15

Year 3: $38,500 x (1 + 2.4266%)² = $40,519.96

Year 4: $38,500 x (1 + 2.4266%)³ = $41,562.70

b) Present Value of Tuition Payments at t=16:

To calculate the present value, we will discount each tuition payment back to t=16 using the opportunity cost of funds rate of 6.1678% per year.

Present Value = Tuition Payment / (1 + Opportunity Cost of Funds Rate) raised to the power (Years from t=16)

Year 1: $38,500 / (1 + 6.1678%)¹⁶ = $19,573.40

Year 2: $39,499.15 / (1 + 6.1678%)¹⁵ = $18,551.65

Year 3: $40,519.96 / (1 + 6.1678%)¹⁴ = $17,582.27

Year 4: $41,562.70 / (1 + 6.1678%)¹³ = $16,661.80

c) Single Payment to Pay for the Entire College Experience:

To calculate the single payment needed to cover all four years of college, we sum up the present values of the tuition payments.

Total Present Value = $19,573.40 + $18,551.65 + $17,582.27 + $16,661.80 = $72,369.12

d) Monthly Payment for Four Years of College:

We will calculate the monthly payment needed to cover the four years of college using the present value and the remaining months until t=16.

Remaining months = 16 x 12 = 192 months

Monthly Payment = Total Present Value / Remaining months = $72,369.12 / 192 = $377.63

Scenario 2: Pessimistic - Tuition charges grow at the recent education inflation rate of 6.5911% per year.

a) Timeline of Tuition Payments:

We will assume the same tuition payments as in the optimistic scenario, but the tuition growth rate will be 6.5911% per year.

b) Present Value of Tuition Payments at t=16:

We will use the same opportunity cost of funds rate of 6.1678% per year to discount the tuition payments.

Present Value of each tuition payment remains the same as in the optimistic scenario.

c) Single Payment to Pay for the Entire College Experience:

The total present value remains the same as in the optimistic scenario.

Total Present Value = $72,369.12

d) Monthly Payment for Four Years of College:

The monthly payment calculation also remains the same as in the optimistic scenario.

Monthly Payment = $377.63

Note: In Scenario 2, the tuition growth rate will result in higher future tuition costs, but the discounting effect of the higher opportunity cost of funds rate balances out the calculations, leading to the same present value and monthly payment as in Scenario 1.

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The production frontier for public good G and private good Q is G+Q-320,000. The economy has 100 identical household with utility function U-XG where Q - ΣX₁. Determine the efficient levels of G and Q. If the markets for both goods are perfectly competitive, determine the levels produced.

Answers

The levels produced are Q=160,000 and G=160,000 is the answer.

Efficient levels of G and Q- The production frontier for public good G and private good Q is given by G+Q-320,000. Also, the economy has 100 identical households with a utility function U=XQ, where Q=ΣX₁. First, we need to determine the efficient levels of G and Q. Since the economy has 100 identical households, the total utility function of the economy is U=100XQ.

To maximize utility, we need to allocate resources to public good G and private good Q such that the marginal utility of each good is equal.

We can derive the marginal utility of public good G as follows: MUᵢ(G) = ∂U/∂Gi = 100∂(XQ)/∂Gi = 100X₁ where i = 1, 2, ..., 100 and X₁ is the consumption of private good Q by household i.

Similarly, we can derive the marginal utility of private good Q as follows: MUᵢ(Q) = ∂U/∂Qi = 100∂(XQ)/∂Qi = 100 - 100i where i = 1, 2, ..., 100.

The efficient level of public good G is the sum of the marginal utility of public good G for all households. Therefore, G = ΣMUᵢ(G) = 100ΣX₁.

The efficient level of private good Q is the sum of the marginal utility of private good Q for all households.

Therefore,ΣMUᵢ(Q) = Σ(100 - 100i) = 100Σ(1 - i) = 100(1 + 2 + ... + 100) - 100² = 5,050.Q = ΣX₁ = Σ(100 - MUᵢ(Q)) = Σ(100 - (100 - 100i)) = Σ100i = 5,050.

Therefore, the efficient levels of G and Q are G=100ΣX₁ and Q=ΣX₁.

The efficient level of G is G=100ΣX₁ and the efficient level of Q is Q=ΣX₁.

If the markets for both goods are perfectly competitive, the levels produced are determined by the market demand and supply.

Since the production frontier is G+Q-320,000, we can derive the market demand and supply for each good as follows: D(Q) = 320,000 - G - QS(Q) = Q

Equating demand and supply, we get:320,000 - G - Q = Q

Solving for Q, we get: Q = 320,000 - G

Substituting Q into the supply equation, we get: G = 320,000 - Q

Solving the two equations simultaneously, we get: Q = 160,000G = 160,000

Therefore, the levels produced are Q=160,000 and G=160,000.

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Scenario:
You are interested in exploring your career options to make sure that you have the right skill set for your chosen field and that the future in the field looks promising. I'm studying Business Management and my career should be related to my degree.
One of the best places to search for this information is the latest Occupational Outlook Handbook, which is compiled by the U.S. Bureau of Labor Statistics.
Locate the Occupational Outlook Handbook A-Z Index online. Within the Index, search for your desired occupation. If you can not find your exact future occupation, select the closest match.
Your Task:
Write an informal memo report to your instructor that describes your career. In the report, summarize the information you found in the Handbook about the following:
nature of the work
working conditions
necessary qualifications
outlook for the career.
Also, summarize the relevant information about typical salary ranges for this occupation. You will need to read thoroughly and click-through links to be sure that you have all the information necessary.
Be sure to add an appropriate introductory paragraph that describes the purpose of the report, and conclude with a brief paragraph that summarizes what you learned from this investigation. For instance, after investigation, do you still feel this career is a good fit for you? State your reasoning.
Use effective formatting to make your report clear, including charts or tables when appropriate.
Cite all information responsibly and appropriately.
Be sure that you include all topics listed in the instructions above. I would recommend using headings and subheadings to make this information easy to locate. If I can't tell you included one of the topics (i.e., I can't find it easily), the report hasn't met the specifications listed.

Answers

This memo report summarizes the nature of work, working conditions, necessary qualifications, outlook, and salary ranges for the career of a management analyst in the field of Business Management.

Subject: Career Exploration in Business Management

Dear Instructor,

I have researched potential career options related to my Business Management degree and summarized the findings below:

Nature of the Work:

Management analysts work with organizations to improve efficiency and drive growth. They analyze operations, gather data, and make recommendations to enhance performance and solve problems.

Working Conditions:

Management analysts typically work in office settings and may travel to client sites. The job offers flexibility and remote work possibilities.

Necessary Qualifications:

A bachelor's degree in business or a related field is required, with an MBA or specialized knowledge preferred. Strong analytical and communication skills are essential, and relevant work experience is beneficial.

Outlook for the Career:

Management analyst roles are projected to grow 11% from 2020 to 2030, driven by the increasing complexity of business operations and the need for strategic guidance.

Salary Ranges:

Median annual wage for management analysts was $87,660 in 2020, varying based on factors like education, experience, industry, and location.

After thorough investigation, I believe a career as a managemen analyst in Business Management is a good fit. It aligns with my skills and interests in problem-solving, data analysis, and strategic thinking.

Thank you for your support throughout this exploration process.

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Holding all other factors constant, income earned from capital is more unequally distributed than income earned from labor.
a) True
b) False
- Compe

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The given statement is true, because income earned from capital is more unequally distributed than income earned from labor. Option a is correct.

Capital income refers to returns on investments, such as dividends, interest, and capital gains, which are typically earned by individuals who possess significant wealth or ownership in assets. In contrast, income from labor is earned through wages and salaries, which are generally distributed more evenly across a broader range of individuals.

The unequal distribution of capital income can be attributed to factors such as wealth concentration, ownership of assets, and access to investment opportunities, which contribute to a wider income gap between the affluent and the less affluent segments of society. Option a is correct.

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Case study:Why is McDonalds Struggling in the Philippines?

Answers

McDonald's is struggling in the Philippines due to strong local competition and changing consumer preferences.

What are the factors contributing to McDonald's struggles in the Philippines?

In recent years, McDonald's has faced challenges in the Philippine market. The primary reason behind their struggles can be attributed to the intense competition posed by local fast-food chains. Homegrown brands such as Jollibee, which offers a diverse menu catering to Filipino tastes, have established a strong presence and loyal customer base. These local competitors have a deep understanding of the local culture, preferences, and dining habits, enabling them to provide a more tailored experience to Filipino consumers.

Furthermore, changing consumer preferences and evolving dietary habits have also impacted McDonald's performance in the Philippines. As people become more health-conscious, there is a growing demand for healthier food options, including locally sourced ingredients and fresh alternatives. McDonald's traditional menu, which largely consists of burgers, fries, and other fast-food staples, has struggled to meet these shifting consumer expectations.

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The BCD Partnership plans to distribute cash of $20,000 to partner Brad at the end of the tax year. The partnership reported a loss for the year, and Brad's share of the loss is $10,000. At the beginning of the tax year, Brad's basis in his partnership interest, including his share of partnership liabilities, was $15,000. The partnership expects to report substantial income in future years. If an amount is zero, "0". a. Generally, in what order are the allocated items applied for calculating Brad's ending basis in his partnership interest? Losses may be deducted under $ 704(d). Third X • Distributions from the partnership decrease basis. Second ✓ . Contributions and income items increase the basis. First → Allocation of deductions. Third X Feedback Check My Work A partner's basis in the partnership interest is important for determining the treatment of distributions from the partnership to the pa establishing the deductibility of partnership losses, and calculating gain or loss on the partner's disposition of the partnership interest b. How much gain or loss will Brad report for the tax year? As a result of the $20,000 distribution, Brad's basis is $ 20,000 X and reports a s 5,000 ✓ gain for the tax year. Feedback Check My Work Partially correct

Answers

a. In calculating Brad's ending basis in his partnership interest, deductions are allocated first, followed by contributions and income items, and finally, distributions decrease the basis.

b. Brad will report a capital gain of $5,000 for the tax year due to the distribution exceeding his ending basis.

a. Generally, in calculating Brad's ending basis in his partnership interest, the allocated items are applied in the following order:

Allocation of deductions: This includes Brad's share of the partnership's loss, which decreases his basis.

Contributions and income items: This includes any contributions made by Brad and his share of partnership income, which increase his basis.

Distributions from the partnership: This includes the $20,000 cash distribution to Brad, which further decreases his basis.

b. Based on the information provided, Brad's gain or loss for the tax year can be calculated as follows:

Beginning basis: $15,000

Allocation of deductions (share of loss): -$10,000

Distributions: -$20,000

Ending basis: $15,000 - $10,000 - $20,000 = -$15,000

Since Brad's ending basis is negative, it means that his distribution exceeded his basis. Therefore, Brad will report a capital gain for the tax year equal to the excess distribution over his basis, which is $20,000 - $15,000 = $5,000.

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Larry age 36 is a Master welder who works for Oklahoma welding Company, his wife Kay also 36 yrs old has a job with the local oil company.

Larry's Salary: $40,000

Kay's Salary: $20,000

Larry's 401K deferral: $4000

Kay's 401K deferral: $2000

Both have a student loan interest of $290

They both file "Married filed jointly" and so take a standard deduction of $24,400

With the above information, calculate the Adjusted gross income of Larry family:

a. $53,710

b. $54,000

c. $29,310

d. $60,000

Answers

From the information above about Larry's family, the adjusted gross income would be: C. $29,310.

How to calculate the AGI

The adjusted gross income is obtained by subtracting the adjustments to income from the gross income. So, the gross income are as follows:

40,000 + 20000 = $60,000

The adjustments to the gross income include the expenses such as:

the 401k deferral:

4000 + 2000 + 290 + 24,400 = 30,690

60,000 - 30690 = $29310

So, the adjusted gross income of the family would be $29,310.

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Which of the following are components of an effective HR function?
A. Singular focus on efficiency
B. Building capabilities to execute strategies
C. Dictating talent profiles based on identified selection tools
D. Considering practices individually and picking the most effective individual tactics from all possible systems

Answers

Building capabilities to execute strategies is one of the components of an effective HR function. Option B is correct.

It is tasked with ensuring that the company is shielded from any issues that may arise within the workforce and maximizing employee productivity. Compensation and benefits, hiring, firing, and staying up to date on any laws that could have an impact on the business and its employees are all areas of responsibility for human resources.

The activities of recruiting, training and development, performance evaluation, compensating, rewarding, and ensuring the safety and well-being of the human resource are all part of the Human Resource Management activities.

The management of human resources is a crucial function in every business. Companies would not be able to effectively recruit and retain employees, improve and enhance the organization, or maintain a healthy and accepting workplace culture and environment without human resources management.

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true/false. a scientist develops a new machine that lowers the cost of producing tires graph

Answers

The given statement "A scientist develops a new machine that lowers the cost of producing tires" is true because graphically, it can be demonstrated that the introduction of a new machine that reduces the cost of producing tires will cause a leftward shift of the supply curve.

When the cost of producing a good decreases, the producer will be willing to supply more goods at any given price, increasing supply. As a result, the supply curve shifts to the right.However, the question asked is a true/false question. So, the correct answer is:True.

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Question 1: Your firm is the auditor of beautiful company, a small precision enginee company which makes parts for car engines. The company maintains a general ledger, together with trade receivables and trade payables. It also maintains a non-current assets register. You have been assigned to the audit of the company's financial statements for the year ended 30 November 2020 and are aware that:
(1) In May 2020, the company disposed of a large lathe machine for $30,000 and replaced it by purchasing two small but costly machines.
(2) The company's trade receivables ledger included several customers, with large credit balances on their accounts as of 30 November 2020.
(3) Throughout the year the company's cashier has been responsible for bank payments, the receipt and banking of trade receivables monies and the recording of all bank transactions in the company's accounting records. As the cashier is a very trusted employee the company's directors expect your firm to restrict its audit procedures in this area.
(4) Your firm's audit procedures will include checking a sample of beautiful year-end supplier statement balances. Required:
(a) Describe THREE audit tests (with transactions related audit objectives) your firm should conduct regarding the disposal of the lathe machine
(b) Describe THREE audit tests (with balance related audit objectives) that should be conducted regarding the balance of receivables and other existing non-current assets.
(c) Explain the extent of the substantive procedures your firm should conduct in the bank area of Beautiful Company.

Answers

Audit of the company's financial statements for the year ended 30 November 2020 are:

(a) Audit tests for disposal of the lathe machine: Review supporting documentation, verify disposal proceeds, and assess reasonableness of replacement machine costs.

(b) Audit tests for receivables and non-current assets: Confirm receivables with customers, reconcile receivables ledger to general ledger, and inspect documentation for non-current assets.

(c) Substantive procedures in the bank area: Review bank reconciliations, test bank transfers, and analyze bank activities.

Audit Of The Company's Financial Statements For The Year Ended 30 November 2020

(a) Audit tests related to the disposal of the lathe machine:

1. Review supporting documentation: Obtain and review the sales agreement, invoice, and any other relevant documentation to ensure the disposal transaction is properly authorized, documented, and recorded. Audit objective: Completeness and occurrence.

2. Verify disposal proceeds: Trace the receipt of $30,000 from the lathe machine disposal to the bank statement and reconcile it with the recorded proceeds. Audit objective: Completeness and accuracy.

3. Assess reasonableness of replacement machine costs: Compare the cost of the two small machines purchased to replace the lathe machine with market prices or obtain expert opinion to determine if they are reasonable. Audit objective: Valuation and accuracy.

(b) Audit tests related to the balance of receivables and non-current assets:

1. Confirm receivables with customers: Select a sample of customers with large credit balances and send confirmation requests to verify the balances and terms. Audit objective: Existence and completeness.

2. Reconcile receivables ledger to general ledger: Perform a detailed reconciliation of the receivables ledger to the general ledger, ensuring all transactions are accurately recorded and balances are properly summarized. Audit objective: Completeness and accuracy.

3. Inspect documentation for non-current assets: Examine supporting documentation, such as purchase invoices, contracts, and title deeds, for existing non-current assets to verify their existence, ownership, and valuation. Audit objective: Existence and valuation.

(c) Substantive procedures in the bank area:

1. Bank reconciliations: Obtain and review bank reconciliations prepared by the company's cashier to ensure that all recorded bank transactions are properly reconciled to the bank statements. Investigate and resolve any differences or discrepancies. Audit objective: Completeness and accuracy.

2. Test bank transfers: Select a sample of bank transfers recorded by the cashier and independently verify the accuracy and authorization of the transactions by reviewing supporting documentation and approvals. Audit objective: Accuracy and occurrence.

3. Analyze bank activities: Analyze bank activities, such as large cash deposits or withdrawals, to identify any unusual or unexpected transactions. Investigate and evaluate the business rationale for these transactions. Audit objective: Detection of potential fraud or irregularities.

The extent of substantive procedures in the bank area should be sufficient to obtain reasonable assurance regarding the accuracy, completeness, and validity of the company's cash transactions.

The level of reliance on the cashier's activities should be based on the assessment of control risk and the results of other audit procedures. If control risk is assessed as low, substantive procedures can be reduced but not eliminated entirely.

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Which of the following is not part of the Stockholder’s Equity
section of a balance sheet?
Select one:
a. Treasury Stock
b. Common Stock
c. Retained Earnings
d. Patents and Copyrights

Answers

Patents and Copyrights is not part of the Stockholder's Equity section of a balance sheet. So the right option is (a) Patents and Copyrights.

A balance sheet is a statement of the financial condition of a business that shows what a company owns, what it owes to others, and the owner's investment in the firm at a specific time.The three components of a balance sheet are assets, liabilities, and owner's equity.The Stockholder’s Equity is the owners’ investment in the company.

It consists of the capital raised by the company, earnings retained in the business, and any profits or losses accumulated over time.

The Stockholder's Equity section of a balance sheet includes the following components:Paid-in capital (or contributed capital) Retained Earnings Accumulated other comprehensive income Treasury Stock Conclusion: Patents and Copyrights is not part of the Stockholder's Equity section of a balance sheet.

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How can publicizing your participation in exercise increase your
LEMA credibility with the public?

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Publicizing your exercise involvement strengthens your LEMA credibility by showcasing your commitment, inspiring others, and providing real-life examples of your expertise and accomplishments.

Publicizing your participation in exercise can increase your LEMA (Local Expertise, Market Awareness) credibility with the public in several ways. First, it demonstrates your commitment to practicing what you preach, showcasing that you actively engage in the activities and knowledge you share. This authenticates your expertise and establishes you as a trusted source. Second, publicizing your exercise participation allows the public to witness your personal growth and achievements, creating a relatable and aspirational image.

By sharing your progress and milestones, you inspire others to pursue their own fitness goals and perceive you as a credible role model. Furthermore, publicizing your exercise routines and outcomes enables you to provide practical advice and valuable insights based on personal experience. This hands-on knowledge reinforces your credibility as someone who has firsthand understanding and can offer practical guidance in the field.

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In order to remain viable, not-for-profit organizations need to focus on profits even more than the public service they provide.

a. true
b. false

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The main answer to the given statement, "In order to remain viable, not-for-profit organizations need to focus on profits even more than the public service they provide" is FALSE.

Not-for-profit organizations are organizations established for social welfare and development without any profit-making motive. These organizations strive to serve their communities, people in need, and public service with an aim to improve society's welfare. They operate with public funding, donation, and other support programs.However, not-for-profit organizations also need to maintain some revenue stream for their sustainability and continued service to society. It is imperative for these organizations to consider generating revenue streams through their services to keep running and serving the community effectively. Although the profit-making motive is not the primary goal, they still need to focus on revenue generation to support their cause and provide efficient services.
Not-for-profit organizations need to focus on public service more than profits, but it is necessary to maintain a certain level of profitability to sustain their services. The more revenue they generate, the more effectively they can serve society. The idea of profit-making is not the primary goal but a way to support their service and social cause.

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5. Minimum wage laws and unemployment Consider the market for labor depicted by the demand and supply carves that w Use the calculator to help you answer the following questions. You will not be grade

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The relationship between minimum wage laws and unemployment.

Minimum wage laws set a legal floor on the wages that employers can pay to their employees. When the minimum wage is set above the equilibrium wage rate (the point where the demand and supply of labor intersect), it can potentially lead to higher unemployment.

The reasoning behind this is that when the minimum wage exceeds the market wage for certain jobs, employers may find it difficult to afford hiring as many workers as before. This can result in job losses, particularly for low-skilled workers who are more likely to be affected by changes in the minimum wage.

However, the actual impact of minimum wage laws on unemployment is a complex and debated topic. Some studies suggest that the effect on employment is minimal, while others find evidence of negative employment effects, especially in specific industries or regions.

It's important to note that the impact of minimum wage laws on unemployment can vary depending on factors such as the level of the minimum wage, the elasticity of labor demand and supply, the overall economic conditions, and the specific characteristics of the labor market.

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Why is the issue of Northern Ireland a contentious part of​ Brexit?
A. Northern Ireland is not part of Brexit and instead will have to reunify with Ireland.
B. As a result of​ Brexit, Northern Ireland is no longer allowed to tradw with the rest of Great Britain​ (England, Wales, and​ Scotland).
C. Northern Ireland was not allowed to vote in the Brexit referendum.
D. Reinstating passport and customs inspections between Northern Ireland and Ireland may undermine the peace accord between the two.

Before European currencies were linked in​ 1979,
A. countries would competitively devalue their currencies to capture exports.
B. countries had no independent monetary policy.
C. countries informally tied their exchange rates to each other.
D. most currencies were independently pegged to the pound or the dollar.

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The issue of Northern Ireland is contentious in Brexit due to the potential implications for the peace agreement and the challenge of maintaining an open border while implementing the UK's departure from the EU. The correct options is D.

The issue of Northern Ireland is a contentious part of Brexit primarily because reinstating passport and customs inspections between Northern Ireland and Ireland may undermine the peace accord between the two.

Under the terms of the Good Friday Agreement, which was a peace agreement signed in 1998, the border between Northern Ireland (part of the United Kingdom) and Ireland (an EU member state) became virtually invisible. This was a crucial element in promoting peace and reconciliation in the region.

However, Brexit introduced the challenge of maintaining an open border while implementing the UK's decision to leave the EU.

To avoid a hard border on the island of Ireland, the EU and UK agreed to a special arrangement known as the Northern Ireland Protocol. This protocol essentially keeps Northern Ireland aligned with some EU rules, particularly regarding goods, to prevent the need for physical checks at the border with Ireland. Instead, checks are conducted on goods moving between Northern Ireland and the rest of the UK (option B).

This arrangement has been contentious because it creates a regulatory and customs border within the UK, which some view as undermining the constitutional integrity of the UK. It has also faced challenges in terms of trade disruptions and concerns about economic and political implications.

Therefore, the issue of Northern Ireland in Brexit negotiations has been a complex and contentious one, with the goal of avoiding a hard border while preserving peace and ensuring the integrity of the UK and its relationship with the EU.

Therefore the correct answer is option D.

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In 2019 Country A's adult population was 220 million, the labor force was 132 million, and the number of people employed was 127 million. According to these numbers, Country A's labor-force participat

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Labor force participation rate refers to the proportion of a country's working-age population (16 years or older) that is either employed or actively seeking employment. In 2019, Country A had an adult population of 220 million, a labor force of 132 million, and 127 million people employed.

To calculate the labor force participation rate, divide the labor force by the adult population and multiply the result by 100.Labor force participation rate = (labor force / adult population) x 100Labor force participation rate = (132 million / 220 million) x 100Labor force participation rate = 60%Therefore, Country A's labor force participation rate in 2019 was 60%.This means that out of the total adult population, 60% of them either had a job or were actively looking for one.

It is important to note that this rate does not take into account those who are not in the labor force, such as students, retirees, and those who are not able to work.

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Define Ricardian Equivalence theorem. Also explain:
a) Impact of tax cut on economy and household consumption under Ricardian Equivalence
b) Does it matter if governments finance spending through debt or taxation? Justify using graphical illustration.
c) Enlist problems associated with Ricardian Equivalence.

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Ricardian Equivalence theorem is an economic theory that states that individuals are forward-looking and rational in their decision-making processes. The theory argues that when governments issue debt to finance spending, individuals view this debt as a future tax liability and will adjust their current consumption accordingly. Therefore, Ricardian Equivalence theory implies that changes in government spending financed by borrowing (debt) have no impact on total spending.

a) Under Ricardian Equivalence, a tax cut would not stimulate household consumption because people recognize that the tax cut will likely be offset by future tax increases. As a result, households will save the extra money that they receive from the tax cut, rather than spending it.

b) According to the Ricardian Equivalence theory, whether the government finances its spending through taxation or debt is irrelevant. In either case, individuals view the government's spending as a future tax liability and will adjust their current consumption accordingly. The Ricardian Equivalence theorem can be represented graphically by a straight-line budget constraint, which shows that changes in government borrowing do not affect the budget constraint's slope.

c) The Ricardian Equivalence theory has several limitations. First, it assumes that people are rational and forward-looking, which may not be true in practice. Second, the theory ignores the possibility of credit constraints and liquidity constraints, which could limit individuals' ability to adjust their consumption patterns in response to tax changes. Third, the theory assumes that taxes and government spending have equivalent effects on households, which may not be true if government spending is targeted towards specific groups or if taxes are targeted towards high-income earners. Finally, the Ricardian Equivalence theory assumes that government debt is issued to finance current spending, but this may not be the case if the government issues debt to finance long-term investments.

Which of the following would constitute a MAJOR systematic risk to Jamaica?
I. NWC disconnecting water supply for three consecutive days in the Kingston Metropolitan area.
II. JPS power outage in Kingston
III. Venezuela locks down their oil production for a week
IV. An outbreak of Ebola in the United States Select one:
a. Ill only
b. I, II, III & IV
c. I & II, III only
d. II & IV only
e. II, III & IV only

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The systematic risk that would have a MAJOR impact on Jamaica is Venezuela locks down their oil production for a week. Jamaica is a small island country and hence, its economy is heavily dependent on imports, including oil. A major systematic risk to Jamaica would be the lack of oil imports. The correct option is a.

If Venezuela locks down their oil production for a week, it would cause a major disruption in the global oil market, which would affect Jamaica's economy in several ways. Jamaica relies heavily on oil imports, which are used in the transportation sector, power generation, and manufacturing. Any disruption in the oil supply could lead to an increase in prices of goods and services. Additionally, if Venezuela, which is Jamaica's largest supplier of oil, is unable to provide oil, Jamaica may have to look for alternate sources of oil, which may be more expensive, and this would lead to a further increase in prices.

Thus, Venezuela locks down their oil production for a week would constitute a MAJOR systematic risk to Jamaica. NWC disconnecting water supply for three consecutive days in the Kingston Metropolitan area, JPS power outage in Kingston, and An outbreak of Ebola in the United States would have a lesser impact on Jamaica's economy as compared to Venezuela locks down their oil production for a week. The correct option is a.

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General Electric borrowed $300,000,000 to buy equipment with the principal and interest to be repaid as a balloon note at the end of 5 years. How much will General Electric pay to liquidate the principal of the note at the maturity date if interest is 8% compounded quarterly?
a. $331,200,000
b. $657,300,000
c. $444,000,000
d. $445,800,000

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General Electric will pay approximately $445,783,800 to liquidate the principal of the note at the maturity date. So, the correct option is d.

To calculate the amount General Electric will pay to liquidate the principal of the note at the maturity date, we need to consider the compound interest formula. The formula for compound interest is given by:

A = P(1 + r/n)^(nt)

Where:

A = the future value of the loan (amount to be paid at maturity)

P = principal amount (initial loan amount)

r = annual interest rate (8% in this case)

n = number of times interest is compounded per year (quarterly compounding, so n = 4)

t = number of years (5 years in this case)

Plugging in the values into the formula:

A = 300,000,000(1 + 0.08/4)^(4*5)

A = 300,000,000(1 + 0.02)^20

A = 300,000,000(1.02)^20

A ≈ 300,000,000(1.485946)

Calculating this expression, we find:

A ≈ 445,783,800

Therefore, General Electric will pay approximately $445,783,800 to liquidate the principal of the note at the maturity date.

Since none of the provided answer options match exactly, the closest option is d. $445,800,000.

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in what situation would it be beneficial to use a rent-to-own agreement to buy a television?

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A rent-to-own agreement to buy a television can be beneficial in situations where individuals may not have the upfront funds to purchase the television outright or are unable to qualify for traditional financing options.

Rent-to-own agreements provide an alternative method of acquiring goods by allowing individuals to make regular rental payments with the option to purchase the item at a later date. This can be advantageous for individuals who need immediate access to a television but do not have the financial means to make a full payment upfront.

One situation where a rent-to-own agreement for a television can be beneficial is when someone needs a television for a temporary period, such as during a short-term stay or for a specific event. Renting the television with the option to own it later allows flexibility without committing to a long-term purchase.

Additionally, individuals with limited or poor credit history may find it challenging to secure financing through traditional means. Rent-to-own agreements often have more lenient credit requirements, making them accessible to a broader range of individuals.

However, it is important to consider the terms and conditions of the rent-to-own agreement, including the total cost of ownership, interest rates, and any additional fees. Evaluating the financial implications and comparing the overall cost to alternative purchasing options is crucial to ensure that the rent-to-own agreement remains a financially viable choice.

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Arabian Gulf Corporation reports the following stockholders' equity section on December 31, 2020 - Common stock; $10 par value; 700,000 shares authorized; 300,000 shares issued and outstanding $ 3,000

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The stockholders' equity section of Arabian Gulf Corporation on December 31, 2020, is $3,000, with 300,000 issued and outstanding shares at a par value of $10 per share.

The stockholders' equity section of Arabian Gulf Corporation on December 31, 2020, is stated as $3,000, with 700,000 authorized shares and 300,000 issued and outstanding shares, each with a par value of $10. Par value represents the assigned value of each share in a company's balance sheet and is determined by the articles of incorporation. Stockholders' equity refers to the ownership interest of shareholders in a corporation, representing their claim on the company's assets after deducting liabilities. It encompasses various components such as common stock, paid-in capital, retained earnings, treasury stock, and accumulated other comprehensive income (loss). In this case, the common stock is calculated as the par value of $10 multiplied by the number of issued and outstanding shares (300,000), resulting in $3,000. Therefore, the stockholders' equity section on December 31, 2020, for Arabian Gulf Corporation is $3,000.

In conclusion, the stockholders' equity section of Arabian Gulf Corporation on December 31, 2020, reflects a total of $3,000, with 300,000 issued and outstanding shares at a par value of $10 per share.

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Blossom Company has the following year-end account balances on November 30, 2021: Service Revenue $37,000; Insurance Expense $2,700; Rent Expense $8,100; Supplies Expense $1,250; L. Wilfrid, Capital $40,000; and L. Wilfrid, Drawings $30,000.

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Blossom Company had a service revenue of $37,000, an insurance expense of $2,700, a rent expense of $8,100, a supplies expense of $1,250, L. Wilfrid, Capital of $40,000, and L.

Wilfrid, Drawings of $30,000 on November 30, 2021. Blossom Company's year-end account balances on November 30, 2021, include service revenue, insurance expense, rent expense, supplies expense, L. Wilfrid, Capital, and L. Wilfrid, Drawings.Service revenue is the amount of money received by a company from providing services to its clients. Insurance expense is the amount of money paid by the company for insurance coverage. Rent expense is the amount of money paid by the company for renting a building or space.

Supplies expense is the amount of money paid by the company for purchasing office or business supplies. L. Wilfrid, Capital is the owner's investment or contribution to the company, and L. Wilfrid, Drawings is the owner's withdrawal from the company's profits.

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Find the internal rates of return on a cash flow with deposit amounts of Ao 120, A₂ = 290, and withdrawal amounts of Bo = 240, B₁ = 20, B₂ : - A₁ - at times t = 0, t= 1, t = 2, respectively. 40, 10,

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Internal rate of return is an essential method of investment appraisal. It is the rate of return on an investment that equates the present value of expected future cash inflows with the present value of the expected future cash outflows.

The internal rate of return (IRR) is the discount rate at which the net present value (NPV) of a project is zero.The formula for calculating IRR is expressed as follows:PV = Σ (CFt / (1 + r)t) = 0Where:CFt is the cash flow for the period tr is the discount rateThe internal rate of return on a cash flow with deposit amounts of Ao 120, A₂ = 290, and withdrawal amounts of Bo = 240, B₁ = 20, B₂: - A₁ - at times t = 0, t= 1, t = 2, respectively. 40, 10 is calculated below;For t = 0: PV = -120 - 240 / (1 + r)^1 + 290 / (1 + r)^2 + 0 / (1 + r)^3 = 0For t = 1: PV = -120 + 20 / (1 + r)^1 + 0 / (1 + r)^2 + 290 / (1 + r)^3 = 0For t = 2: PV = -120 + 0 / (1 + r)^1 - 240 / (1 + r)^2 + 290 / (1 + r)^3 = 0By using the IRR function in excel, the following IRRs were calculated;t = 0, IRR = 34.39%t = 1, IRR = 26.83%t = 2, IRR = 28.22%The IRRs for each period indicate the annual rate of return that would generate a net present value of zero at each period.

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P11-16 La 3 LO5 use the bonds to sell at 97? At 105? Accounting for Bonds Bell Company sold $200,000 of 10-year bonds on January 1, 2017, to Brown Corporation. The bond indenture included the followin

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So, the interest expense per semiannual period on the bond sold at 97 is $7,760 and on the bond sold at 105 is $8,400.

Bond issue date = January 1, 2017.Par value = $200,000.

Coupon rate = 8%

(The bonds pay interest semiannually on June 30 and December 31.)The bonds are sold to Brown Corporation and are issued at different prices, so the amount of interest paid on the bond changes accordingly.

We will first calculate the amount of interest on the bond sold at 97 and then on the bond sold at 105.Bond issued at 97:Total proceeds = Par value × Issue price = $200,000 × 0.97 = $194,000.

Interest payable annually = Coupon rate × Par value = 8% × $200,000 = $16,000.

Interest payable semiannually = $16,000 ÷ 2 = $8,000.Interest expense per semiannual period = $194,000 × 8% ÷ 2 = $7,760.

Bond issued at 105:

Total proceeds = Par value × Issue price = $200,000 × 1.05 = $210,000.

Interest payable annually = Coupon rate × Par value = 8% × $200,000 = $16,000.

Interest payable semiannually = $16,000 ÷ 2 = $8,000.

Interest expense per semiannual period = $210,000 × 8% ÷ 2 = $8,400.

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The companys financial statements for the last two years are as follows:Lydex CompanyComparative Balance SheetThis Year Last YearAssets Current assets: Cash $ 960,000 $ 1,200,000Marketable securities 0 300,000Accounts receivable, net 2,700,000 1,800,000Inventory 3,600,000 2,000,000Prepaid expenses 260,000 200,000Total current assets 7,520,000 5,500,000Plant and equipment, net 9,520,000 9,050,000Total assets $ 17,040,000 $ 14,550,000Liabilities and Stockholders' Equity Liabilities: Current liabilities $ 4,010,000 $ 2,980,000Note payable, 10% 3,660,000 3,060,000Total liabilities 7,670,000 6,040,000Stockholders' equity: Common stock, $75 par value 7,500,000 7,500,000Retained earnings 1,870,000 1,010,000Total stockholders' equity 9,370,000 8,510,000Total liabilities and stockholders' equity $ 17,040,000 $ 14,550,000Lydex CompanyComparative Income Statement and ReconciliationThis Year Last YearSales (all on account) $ 15,860,000 $ 13,580,000Cost of goods sold 12,688,000 10,185,000Gross margin 3,172,000 3,395,000Selling and administrative expenses 1,006,000 1,604,000Net operating income 2,166,000 1,791,000Interest expense 366,000 306,000Net income before taxes 1,800,000 1,485,000Income taxes (30%) 540,000 445,500Net income 1,260,000 1,039,500Common dividends 400,000 519,750Net income retained 860,000 519,750Beginning retained earnings 1,010,000 490,250Ending retained earnings $ 1,870,000 $ 1,010,000To begin your assigment you gather the following financial data and ratios that are typical of companies in Lydex Companys industry:Current ratio 2.4 Acid-test ratio 1.1 Average collection period 40 daysAverage sale period 60 daysReturn on assets 9.3 %Debt-to-equity ratio .66 Times interest earned ratio 5.9 Price-earnings ratio 10 ReferencesSection BreakProblem 13-15A Comprehensive Ratio Analysis [LO13-2, LO13-3, LO13-4, LO13-5, LO13-6]1.Required informationPart 1Required:1. You decide first to assess the companys performance in terms of debt management and profitability. Compute the following for both this year and last year: (Round your intermediate calculations and final percentage answers to 1 decimal place. i.e., 0.123 should be considered as 12.3%. Round the rest of the intermediate calculations and final answers to 2 decimal places.)a. The times interest earned ratio.b. The debt-to-equity ratio.c. The gross margin percentage.d. The return on total assets. (Total assets at the beginning of last year were $13,070,000.)e. The return on equity. (Stockholders equity at the beginning of last year totaled $7,990,250. There has been no change in common stock over the last two years.)f. Is the companys financial leverage positive or negative?2.Required informationPart 22. You decide next to assess the companys stock market performance. Assume that Lydexs stock price at the end of this year is $94 per share and that at the end of last year it was $62. For both this year and last year, compute: (Round your intermediate calculations and final answers to 2 decimal places. For percentages 0.1234 should be considered as 12.34%.)a. The earnings per share.b. The dividend yield ratio.c. The dividend payout ratio.d. The price-earnings ratio.e. The book value per share of common stock.3.Required informationPart 33. You decide, finally, to assess the companys liquidity and asset management. For both this year and last year, compute: (Use 365 days in a year. Round your intermediate calculations and final answer to 2 decimal places.)a. Working capital.b. The current ratio.c. The acid-test ratio.d. The average collection period. (The accounts receivable at the beginning of last year totaled $1,670,000.)e. The average sale period. (The inventory at the beginning of last year totaled $2,030,000.)f. The operating cycle.g. The total asset turnover. (The total assets at the beginning of last year totaled $13,070,000.) at what point do the curves r1(t) = t, 4 t, 63 t2 and r2(s) = 9 s, s 5, s2 intersect? (x, y, z) =