Deposits outstanding refer to cash receipts that have been documented in the accounting records of the business but have not yet been recorded by the bank.
What is an Outstanding Deposit?A monetary sum that has been recorded by the receiving business but hasn't been recorded by its bank is known as an outstanding deposit. On the recurring bank reconciliation created by the receiving company, all unpaid deposits are reported as reconciling items. The receiving entity's book balance is reduced from these deposits to determine the bank balance.
When a bank reconciliation is conducted, there are often few of these deposits indicated as reconciling items because they are typically just outstanding for one business day.
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According to equity theory, if employees perceive that an inequity exists, they may: Group of answer choices change their work habits do any of the above quit the job look at the situation from a different perspective distort their perceptions of themselves
The employee may do any of the above.
Adam's equity theory, often known as equity theory, seeks to achieve a balance between an employee's contribution and output in the workplace. If the employee can strike the correct balance, it will result in a more productive relationship with management.
Equity theory is a term used in human resource management. One may not notice it, but this theory is used in every workplace. An individual's job satisfaction is directly related to the amount of energy they puts in and what they receives in return.
Therefore, the employee can do any of the mentioned to maintain the equity.
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Road Kill Restaurant had the following account balances. The change in these accounts represents a net ____ of cash for the year in the amount of _____. Beginning Balance Ending Balance Accounts receivable$28,775 $26,480 Accounts payable 41,465 42,770 Inventory 20,885 24,690
The change in these accounts represents a net USE of cash for the year in the amount of $200
SOLUTION :-
A decrease in current assets such as accounts receivable, inventory is a source of cash and vice-versa. On the other hand a decrease in current liabilities such as accounts payable, creditors is a use of cash and vice-versa.
Decrease in Accounts Receivable (28400-26120) = $2280
Increase in Accounts Payable (42380-41060) = $1320
Increase in Inventory (24360-20540) = ($3820)
Net Use of Cash = $200.
Accounts payable (AP) are amounts due to vendors or suppliers for goods or services received that have not yet been paid for.
Accounts receivable are the funds that customers owe your company for products or services that have been invoiced
Therefore, The change in these accounts represents a net use of cash for the year in the amount of $200.
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Matilda developed a toothpaste using only natural ingredients, and she has been quite successful selling the product in health food stores and some grocery stores. She has recently developed a toothbrush using bamboo and natural components. Matilda is considering a ________, giving the toothbrush the same brand name as the toothpaste in order to create greater brand awareness.
Matilda is considering a brand extension giving the toothbrush the same brand name as the toothpaste in order to create greater brand awareness.
Brand Extension: What is it?Using the tactic of brand extension, a business develops a new product category under its well-known brand name. It facilitates the easy launch of new items, increases profits, lowers startup costs for new businesses, and satisfies client demands.
What benefits can brand expansion offer?
It doesn't necessarily have to be related to your business if you wish to grow your enterprise and develop a new good or service. Brands frequently use brand extension because it can: facilitate the launch of products in new categories; allow brands to satisfy the needs and wants of their customers; increase revenue for businesses; lower costs associated with starting and developing a new business; encourage customers to try new products from reputable brands; lessen risks for consumers because they can buy a variety of products from reputable brands, and facilitate the efficient use of promotion budgets.
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When Chloe Armstrong pays off the 30-year conventional loan on her Oceanside home in less than 20 years, she is thrilled. However, she is not nearly as happy when she reads the fine print on the contract, which permits her lender to charge her EXTRA interest just for paying off the loan early. This is known as:
She is not nearly as happy when she reads the fine print on the contract, which permits her lender to charge her EXTRA interest just for paying off the loan early. This is known as: A prepayment penalty.
What Is a Prepayment Penalty?
A prepayment penalty is usually specified in a clause in a mortgage contract stating that a penalty will be assessed if the borrower significantly pays down or pays off the mortgage before term, usually within the first three years of committing to the loan.
The penalty is sometimes based on a percentage of the remaining mortgage balance, or it can be a certain number of months’ worth of interest. Prepayment penalties protect the lender against the financial loss of interest income that would otherwise have been paid over time.
A prepayment penalty that applies to both the sale of a home and a refinancing transaction is called a “hard” prepayment penalty. A prepayment penalty that applies to refinancing only is referred to as a “soft” one.
Therefore, we can conclude that the correct option is B.
Your question is incomplete, but most probably your full question was:
When Chloe Armstrong pays off the 30-year conventional loan on her Oceanside home in less than 20 years, she is thrilled. However, she is not nearly as happy when she reads the fine print on the contract, which permits her lender to charge her EXTRA interest just for paying off the loan early. This is known as:
A. Subrogation.
B. A prepayment penalty.
C. A subordination clause.
D. An acceleration clause.
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If expected inflation increases, the same level of unemployment will be associated with: a higher rate of inflation. a lower rate of inflation. the same rate of inflation. no inflation. g
Answer:
good government and economy
Explanation:
because when the inflation rises the item becomes high in termas of buying and when it's low inflation is helps the economy plus
Qingyi develops a statistical model to predict the labor demands for a six-county area. In doing so, Qingyi is using ______.
Answer: Qingyi is using Trend Analysis
Explanation: Trend analysis is the technical analysis that attempts to predict future performance based on past trend data. This analysis generally uses historical data, for example, analyzing market movements in past trends, to make long-term decisions regarding investments in the future.
Qingyi develops a statistical model to predict the labor demands for a six-county area. In doing so, Qingyi is using trend analysis.
What is trend analysis?The common process of gathering data and looking for patterns in order to identify trends is known as trend analysis. The phrase has more clearly defined meanings in several academic disciplines.Although trend analysis is frequently used to forecast future events, it can also be used to estimate ambiguous historical events, such as the approximate number of ancient kings who likely reigned between two dates, using information such as the average number of years other known kings were in power.Who are laborers?A worker is a person who performs manual labor, often in the manufacturing and construction workforces. Workers belong to a class of wage earners whose only substantial material asset is their work.Therefore, Qingyi develops a statistical model to predict the labor demands for a six-county area. In doing so, Qingyi is using trend analysis.
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You own a car that gets great gas mileage, so you drive it a lot. However, you've noticed
that your tires are getting pretty bald and you'll need to replace them. this is an example
of:
The given scenario is a good example of overuse of a car.
What is Overusing?This refers to the situation where a person makes use of a thing or product, beyond its normal use and causes it to breakdown or wear and tear.
Hence, we can see that in the given scenario, a car has a great mileage which means it has been driven a lot and as a result of this, the tires wear out and needs replacement and this is an example of overuse.
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Answer:
This is an example of supply. The scenario describes the need to replace bald tires, which is related to the supply of tires rather than substitute goods, elasticity, or complementary goods.
Explanation:
King, Incorporated, has debt outstanding with a face value of $5.9 million. The value of the firm if it were entirely financed by equity would be $27.9 million. The company also has 410,000 shares of stock outstanding that sell at a price of $55 per share. The corporate tax rate is 24 percent. What is the decrease in the value of the company due to expected bankruptcy costs
The value of the company due to expected bankruptcy costs is, $866,000.
What is tax explain?Taxes are compulsory payments made by a government organization, whether local, regional, or federal, to people or businesses. Tax revenues are used to fund a variety of government initiatives, such as Social Security and Medicare as well as public infrastructure and services like roads and schools.What is a tax example?Sales taxes, value-added taxes (VAT), taxes on any component of production or manufacturing, taxes on legal activities, and customs or import charges are a few examples. A sizable percentage of consumer expenditures are subject to general sales taxes.What is the purpose of tax?Taxes on every aspect of production or manufacture, taxes on legal activities, general and selective sales taxes, value-added taxes (VAT), and customs or import charges are a few examples. A sizable amount of consumer spending is subject to general sales taxes, which are levies.According to M & M proportion I with taxes, the value of the levered firm is:
V (Firm) = V (Equity) + V (Debt).
= $27,900,000 + 0.24(5,900,000).
= $27,900,000 + $1,416,000.
= $29,316,000.
Total market value of the firm:= Market value of the debt + Market value of equity.
= $5,900,000 + stock outstanding × Selling price per share.
= $5,900,000 + 410,000 × $55 per share.
= $28,450,000.
With non-marketed claims, such as bankruptcy costs, we would expect the two values to be the same.
The differences are the non-marketed claims:
Expected bankruptcy costs = $29,316,000 - $28,450,000.
= $866,000.
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Antipoverty programs that are set up so that the amount of government benefits will decline substantially as poor people earn more income typically create _________________________. a poverty trap an income inequity a poverty line a safety net
Antipoverty programs that are set up so that the number of government benefits will decline substantially as poor people earn more income typically create a poverty trap.
What is the Poverty trap?
A "poverty trap" is a collection of self-reinforcing factors that causes nations to start out poor and stay that way. Because poverty breeds poverty, existing poverty directly contributes to future poverty.
In the United States, poverty traps are areas, counties, or localities with chronic institutional and economic issues that result in persistently high rates of poverty. Residents are frequently stuck in unfavorable situations where there is no chance for advancement or economic progress.
The majority of nations are enjoying some growth, and poor people don't seem to have significantly different income dynamics from those who earn more, which shows that poverty traps are not common at either the national or individual level.
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The first category of start-up businesses are those formed as high-growth, often high-tech, ventures and are referred to as ______.
The first category of start-up businesses are those formed as high-growth, often high-tech, ventures and are referred to as venture capital-backed firms.
What is venture capital?Venture capital can be defined as a business financing strategy meant for startups which require high capital but also have high risk in return.
It is to be noted that a venture capital firms use their control of the companies they invest in to protect those investments.
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A firm has $5,000 of debt, $16,000 of equity, a cost of debt of 8 percent, and a cost of equity of 12 percent. What is the firm's WACC if there are no taxes
11.05% is the firm's WACC if there are no taxes.
What is WACC?The weighted average cost of capital (WACC) is a method of calculating a firm's cost of capital that assigns a proportional weight to each category of capital.
A WACC computation takes into account all capital sources, including bonds, common stock, preferred stock, and any other long-term debt.
When calculating WACC, the cost of each capital source (debt and equity) is multiplied by the relevant weight by market value, and the results are then added up to reach the final result.
Based on the ratio of equity, debt, and preferred stock a company possesses, the WACC's goal is to calculate the cost of each component of the capital structure.
WACC = [(E/V) x Re] + [(D/V) x Rd x (1 - Tc)]
E = equity market valueRe = equity costD = debt market valueV = the sum of the equity and debt market valuesRd = debt costTc = the current tax rate for corporationsWACC = [tex]\frac{16000}{21000}[/tex] ₓ [tex]12%[/tex] ₊ [tex]\frac{5000}{21000}[/tex] ₓ [tex]8[/tex]
WACC = 11.05%
Hence, 11.05% is the firm's WACC if there are no taxes.
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If your calculated intrinsic value differed substantially from the current market price, and if your views are consistent with those of most investors (the marginal investor), what would happen in the marketplace
The deviation of stock prices from their intrinsic values makes the investors to take a quick advantage of this mispricing. The mispricing occurs either by buying the undervalued stocks or selling the overvalued stocks.
Thus the investor's takes decisions that drive to their new constancy level, according to the information of change in prices.
In case if some of the investors have irrational views, they hold the losers too long and sell the winners too quickly. Thus, a practical market will have irrational investors also.
If the market itself is not consistent the mispricing continues for a relatively longer period. Then the investors who are consistent will be losing higher amounts.
So, while investing in the market it is better to assume the intrinsic value is approximately equal to the market price of the stock. But periodically major changes may occur, which drives the stock price move up or down.
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g When choosing a forecasting technique, a critical trade-off that must be considered is that between: time series and associative. seasonality and cyclicality. cost and accuracy. length and duration. simplicity and complexity.
A critical trade-off which must be considered when choosing a forecasting technique is that between: C. cost and accuracy.
What is a forecasting technique?A forecasting technique can be defined as a process through which predictions can be made about the economy, especially based on macroeconomic and microeconomic conditions such as:
GDPInflationUnemploymentIn Economics, cost and accuracy is a critical trade-off which must be considered when choosing a forecasting technique.
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The union and management agreement that allows non-union people to be hired but requires that they join the union after a probationary period creates the ______ shop. Group of answer choices open union managed closed agency
Hello !
Answer:
The union and management agreement that allows non-union people to be hired but requires that they join the union after a probationary period creates the union shop.
Explanation:
The union and management agreement that allows non-union people to be hired but requires that they join the union after a probationary period creates the union shop.
Cash dividends of $85,000 were declared during the year. Cash dividends payable were $10,000 and $15,000 at the beginning and end of the year, respectively. The amount of cash for the payment of dividends during the year is
The amount of cash for the payment of dividends during the year is $80,000
What is the cash amount paid as dividends in the year?
The task at hand is to determine the amount of actual cash paid to shareholders as dividends in the year under review, which takes into consideration the amount of cash dividends declared in the year, the amount of dividends outstanding at the beginning of the year as well as the amount as at the end of the year.
$10,000 was unpaid at the beginning of the year, when declared during the year, which is $85,000 is added to it, we have $95,000 which the shareholders are expecting from the company.
The fact that at the end of the year, only $15,000 is unpaid means that out of the $95,000, $80,000 has been paid leaving us with an unpaid balance of just $15,000
cash dividends paid=beginning unpaid+ declared amount-amount unpaid at the end of the year
cash dividends paid=$10,000+$85,000-$15,000
cash dividends paid=$80,000
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Carissa is budgeting for her next semester at college. She spent $50 on gas this month. Economists are predicting gas prices to rise 8% per month for the next 6 months. How much should she budget for gas if classes start next month and are 4 months long
She should budget for $243.33.
Given that she spent $50 on gas this month. Now predicted spent of gas next month is $50 × 1.08
Total Spend is the total amount spent for the whole data set, excluding any filters. Predicted spend tier is a forecast of your clients' future spending potential.
Predicted spent of gases for the four months will be as given below:
$50 ×1.08
$50 × 1.08^2
$50 × 1.08^3
$50 × 1.08^4
Total spent for the four months is computed below:
[tex]Total Spent = $50 (1.08 + 1.08^2 + 1.08^3 + 1.08^4) \\ \\ = $50 * (4.8666) \\ \\ \\ =$243.33[/tex]
Hence, if lessons begin next month and last four months, she should budget $243.33 for gas.
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An example of a period cost is: Multiple Choice rent on a headquarters building. direct materials. salary of a factory supervisor. fire insurance on a factory building.
Rent on headquarters building is the period cost.
Period costs are costs which are associated for full period and can not be booked as prepaid costs. From the above given costs rent on headquarters building is period cost.
Period expenses are costs that are not connected to or related to the generation of inventories in management and cost accounting. Selling, general, and administrative (SG&A) expenditures, marketing expenses, CEO salaries, and rent expense for a corporate office are all examples. Since the expenditures are unrelated to inventory production, they are expensed in the period in which they are incurred. In short, all costs that are not involved in the production of a product are the period costs.
Therefore, the answer is rent on headquarters building.
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which categoryh of inventory holding costs would be much higher than average for rapidly chaning industries
The correct option is (c) i.e, The pilferage, scrap, and obsolescence category of inventory holding costs are much higher than average for rapid-change industries such as PCs and cell phones.
What does Inventory Holding Cost mean?Expenses associated with keeping inventory at a warehouse are known as inventory holding costs. Inventory that is kept on hand is a liability that reduces profit margins and raises operating costs for firms.
Inventory holding expenses include rent for the facility, security fees, depreciation costs, and insurance.
Businesses must take demand planning and demand sensing into account when these prices rise. These technologies can help businesses keep the right amount of stock on hand.
Therefore, The category of inventory holding costs that are depicted, based on the information provided comprises pilferage, scrap, and obsolescence.
The complete question is:
Which category of inventory holding costs has a much higher percentage than average for rapid-change industries such as PCs and cell phones?
A) housing costs
B) material handling costs
C) pilferage, scrap, and obsolescence
D) investment costs
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Common names for top-level managers are vice president, chief executive officer, and chief operating officer. True or false?.
Comet Company accumulated the following account information for the year: Direct materials cost $ 6,000 Indirect materials cost 2,000 Indirect labor cost 5,000 Maintenance of factory equipment 2,800 Direct labor cost 7,000 Using the above information, total factory overhead costs equal: Multiple Choice $7,800. $16,800. $15,800. $13,000. $9,800.
The total factory overhead costs equal is found to be $9,800.
What is overhead costs?The expenditures involved in running a firm that aren't related to developing or manufacturing a good or service are known as overhead costs, often known as overhead or operating expenses. They are the costs a business must pay to remain open, regardless of how successful it is.
Calculation for the factory overhead costs:
Beginning raw materials inventory $ 6,000
Indirect materials cost $2,000
Indirect labour cost $5,000
Maintenance of factory equipment $2,800
Direct labour cost $7,000
Manufacturing overhead = (indirect materials + indirect labor + Maintenance of factory equipment)
Manufacturing overhead = $2000 + $5000 + $2800
= $9,800
Therefore, total factory overhead costs equal to $9,800.
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A plaintiff sued a chimney sweeping company for personal injury and property damages resulting from an explosion in her chimney the evening after the company had cleaned it. The explosion, which occurred when the plaintiff lit a fire in the fireplace, caused minor damage to the chimney, roof, and to the plaintiff, who was hit by falling bricks. As evidence that she assumed the risk of injury, the company offers to have its foreman testify that he had told the plaintiff not to use the fireplace for 24 hours to allow certain chemicals to evaporate. Is the foreman's proposed testimony hearsay?
A. No, because the declarant is testifying as a witness at the hearing.
B. No, because the statement is not offered for its truth.
C..Yes, but it should be admitted under the hearsay exception for present sense impressions.
D. Yes, but it should be admitted under the present state of mind exception to the hearsay rule.
Answer: it would be B :)
Explanation:
Which of the following statements is TRUE? Supply chain management was invented by the auto manufacturing industry Strategic partnerships are seen as one of the foundations of supply chain management Purchasing is seen as the final and most difficult step in the supply chain Service response logistics is the digital distribution of services
B) Strategic partnerships are seen as one of the foundations of supply chain management.
What exactly does a strategic partnership entail?A commercial collaboration that involves the sharing of resources between two or more people or organizations in order to benefit everyone involved is referred to as a strategic partnership. Strategic partners frequently share the risks and benefits of the decisions made by both organizations and are typically non-competing businesses.
What are the six different kinds of strategic alliances?Marketing collaborationsSupply alliancesSupply-chain CollaborationsPartnerships for integrationTechnology collaborationsFinancial collaborationsLearn more about strategic alliances with the help of the given link:
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As a type of sales promotion, Blank______ have the ability to influence you at the instant you are noticing different products in your supermarket aisle.
As a type of sales promotion, point of purchase display have the ability to influence you at the instant you are noticing different products in your supermarket aisle.
A specific type of sales promotion that can be seen near, on, or adjacent to a checkout counter are point-of-sale displays (POS) (the "point of sale"). They are meant to get customers to notice the merchandise. These could be brand-new items, a limited-time promotion, or advertisements for special occasions like seasonal or holiday sales.Coupons offer a product's price reduction right away. The manufacturer later reimburses the retailer for the amount of the coupon.Consumer, trade, and sales force promotions are three different categories of sales promotion. Consumer promotion, trade promotion, and sales force promotion are the three different ways that sales promotion can be done. These sales marketing strategies are frequently referred to as tools or techniques.What are the sales promotion strategies?A sales promotion strategy, also referred to as a discounting strategy, is a marketing approach to motivating customers to take a specific, pre-determined action through sales discounts, incentives, or offers.
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According to the VRIO framework, to fully exploit the competitive potential of its resources, capabilities, and competencies, a firm must ______.
According to the VRIO framework, to fully exploit the competitive potential of its resources, capabilities, and competencies, a firm must be organized to capture value.
A resource is useful if it enables a company to take advantage of an outside opportunity or counteract an outside threat.
The VRIO framework is an internal examination that aids companies in discovering the benefits and assets that offer them a competitive edge. The acronym for the many success metrics that apply to your organization is the VRIO framework. Value, rarity, copyability, and organization are all included.
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The term scope creep is best described as: Group of answer choices increasing featurism a fundamental change in project scope a project team's inability to define the project's scope the project slowdown caused by changes in the project MOV a scary mouthwash salesman
Answer:A a project teams inability to define the projects scope b a fundamental change in project scope c the project slowdown caused by changes in the project MOV d increasing featurism e a scary mouthwash salesman. What is scope creep.
Explanation:
A unit volume objectives for pricing should be used judiciously because higher volume goals can sometimes result in Blank______.
A unit volume objective for pricing should be used judiciously because higher volume goals can sometimes result in higher pricing. This is further explained below.
What is the pricing?Generally, set the price for the goods or services to be exchanged.
In conclusion, When setting prices, a unit volume aim should be utilized with caution since volume objectives that are more ambitious may often lead to higher prices.
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Answer:
drastic price cutting that drives down profits
Explanation:
Mathai Company has sales of $4,800,000 for the current year. The book value of its fixed assets at the beginning of the year was $1,450,000 and at the end of the year was $1,600,000. The fixed asset turnover ratio for Mathai is
The answer is 64.
Given,
Mathai Company has sales of $4,800,000 for the current year.
Fixed assets at the beginning of the year were $1,450,000.
Fixed assets at the end of the year were $1,600,000.
An efficiency ratio called fixed asset turnover (FAT) ratio shows how effectively or efficiently a company uses fixed assets to produce sales. This ratio, determined over an annual period, divides net sales by average fixed assets.
Therefore, the Fixed asset ratio = Net sales/Average fixed assets
where:
Net Sales = Gross sales - returns and allowances
Average Fixed Assets = (NABB - Ending Balance)/2
NABB = Net fixed assets' beginning balance
Now substituting the values in the above equation we get,
Fixed asset ratio = $4,800,000 / {($1,600,000 - $1,450,000)/2}
= $4,800,000/$75,000
= 64
Hence, The fixed asset turnover ratio for Mathai is 64.
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what are two resources within you that are important when choosing a career you would like
Answer:
Your happiness
education and training
social environment
Explanation:
As inventory and property plant and equipment on the balance sheet are consumed, they are reflected: Select one: a. Both as an expense on the income statement and as a use of cash on the statement of cash flows because the financial statements articulate b. On the balance sheet because assets are never consumed c. As a use of cash on the statement of cash flows d. As a revenue on the income statement e. As an expense on the income statement
E) As an expense on the income statement.
An expense is what?The operating costs incurred by a business in order to produce revenue are referred to as expenses. According to a proverb, "making money costs money."
Paying suppliers, paying employees, leasing facilities, and depreciating equipment are examples of frequent costs. Businesses are permitted to deduct tax-deductible expenses from their taxable revenue on their income tax returns in order to reduce their tax liability. However, there are tight guidelines set forth by the Internal Revenue Service (IRS) regarding which costs companies may deduct.
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Which capital budgeting decision method finds the present value of each cash flow before calculating a payback period
In determining a payback period, the discounted payback period is employed in capital budgeting decisions to determine the present value of each cash flow.
The discounted payback time is a capital planning process used to estimate a project's profitability. A discounted payback period expresses the number of years required to recoup the initial investment by discounting future cash flows and accounting for the time value of money. The measure is used to assess a project's viability and profitability.
Since it assumes only one upfront investment and does not account for the time value of money, the more simplified payback period formula, which simply divides the total cash outlay for the project by the average annual cash flows, does not provide an accurate answer to the question of whether or not to take on a project.
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