discuss the pros and cons to customizing the system? do-case us army

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Answer 1

Low costs, quicker and easier updates, and continued complete vendor support are benefits of utilizing a Vanilla (non-customized) implementation style.

The disadvantage of this approach is that a business has little control over functionality and is forced to select from "out of the box" procedures and functionalities. Having a rigorous ERP system forces an organization to undertake adjustments frequently. Customizations entail writing unique code for the software in order to offer additional capabilities.

On the other hand, configurations are ways to alter data fields, workflows, and other parameters without modifying the main code. ERP software customization is the process of molding an existing platform-based or custom enterprise resource planning system in accordance with an owners' vision through significant coding adjustments.

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The demand for yak butter is given by 150 - 3pd and the supply is 3p, - 30, where Pd is the price paid by demanders and ps ls the price received by suppliers, measured in dollars per hundred pounds. Quantities demanded and supplied are measured in hundred-pound units. On a graph, draw the demand curve and the supply curve for yak butter.

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The demand and supply equations for yak butter are given by 150 - 3Pd and 3Ps - 30, respectively, where Pd is the price paid by demanders and Ps is the price received by suppliers, both measured in dollars per hundred pounds. A graph of the demand curve and supply curve for yak butter is to be drawn.

To graph the demand and supply curves, we need to plot the price and quantity combinations that satisfy the demand and supply equations. To do this, we can set Pd and Ps equal to each other and solve for the quantity. This gives us the equilibrium quantity. Then we can plug the equilibrium quantity into either the demand or supply equation to solve for the equilibrium price.

At equilibrium, demand equals supply, so we can set 150 - 3Pd equal to 3Ps - 30 and solve for Pd and Ps. This gives us Pd = 60 - Ps and Ps = (Pd + 60)/3.

To graph the demand curve, we can set Ps equal to some constant, say Ps = 10, and solve for Pd. This gives us Pd = 50. We can then repeat this process for other values of Ps to get different points on the demand curve. Plotting these points on a graph and connecting them gives us the demand curve.

Similarly, to graph the supply curve, we can set Pd equal to some constant, say Pd = 20, and solve for Ps. This gives us Ps = 26.66. We can then repeat this process for other values of Pd to get different points on the supply curve. Plotting these points on a graph and connecting them gives us the supply curve.

Once we have both the demand and supply curves, we can identify the equilibrium price and quantity by finding the point where they intersect.

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Table above is the cost breakdown per pound for typical big three cereal firms and private labels. Analysts believe that big three firms can drive private labels out of the market if big three lower their prices by 8 cents. What is the best recommendation of strategist to big three firms?
(a) Big three should lower their prices by 8 cents because it will increase their market share.
(b) Big three should not lower their prices because it is too cruel to private labels.
(c) Big three should consider if the profit when they drive private labels out of the market while lowering the price is greater than the profit when they let the private label in the market while keeping their prices.
(d) None of the above.

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The best recommendation for the big three cereal firms would be an option (c), which suggests that they should consider the profitability of driving private labels out of the market while lowering their prices.

While lowering prices by 8 cents may increase the big three's market share, it may also lead to the demise of private labels, resulting in a potential loss of profit for the big three in the long run.

Therefore, it is important for the big three to assess whether the potential profit gained from driving private labels out of the market while lowering their prices is greater than the profit earned from allowing private labels to remain in the market while keeping their prices.

This approach would allow the big three to make a more informed and strategic decision that benefits both their profitability and the overall market competition.

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Match to the correct Control Type with the Description: (Each letter can be used multiple times, once, or not at all):
- A. B. C. A control where one person records the sale, and another person is in charge of collecting the cash, and a third person is in charge of approving new sales.
- A. B. C. At month end the accounting manager prepares a bank reconciliation to review for unusual entries.
- A. B. C. Physical controls over the companies check book and cash.
- A. B. C. Management having a code of ethics in place to promote a focus on ethics.
- A. B. C. A control where the supervisor reviews the Journal Entries after they are prepared by the staff, before they are booked in the GL.
options:
A. Entity Level Control
B. Detective Control
C. Preventive Control

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- A. Preventive Control
- B. Detective Control
- C. Preventive Control
- A. Entity Level Control
- B. Detective Control

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A. Preventive Control: A control where one person records the sale, and another person is in charge of collecting the cash, and a third person is in charge of approving new sales.

B. Detective Control: At month-end, the accounting manager prepares a bank reconciliation to review for unusual entries.

C. Preventive Control: Physical controls over the company's checkbook and cash.

A. Entity Level Control: Management having a code of ethics in place to promote a focus on ethics.

B. Detective Control: A control where the supervisor reviews the journal entries after they are prepared by the staff, before they are booked in the GL.

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What are the implications for managers of developments in the world trading system?

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The developments in the world trading system have significant implications for managers. One major implication is the increasing competition faced by businesses.

As trade barriers continue to lower and international trade becomes more accessible, companies must compete with firms from around the world. This requires managers to adapt to the changing market conditions and adopt strategies to remain competitive.

Another implication for managers is the need to consider the impact of trade policies on their business. Tariffs, quotas, and other trade policies can have a significant impact on a company's bottom line. Managers must stay informed about trade policies and adjust their strategies accordingly.

In addition, the changing world trading system has led to an increase in global supply chains. This means that managers must develop and manage relationships with suppliers from around the world. This requires a deep understanding of cultural differences and the ability to communicate effectively across borders.

Overall, the implications of developments in the world trading system require managers to be adaptable, informed, and globally aware in order to navigate the changing landscape of international trade.

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Based on the following data, would Ann and Carl Wilton receive a refund or owe additional taxes? (Input the amount as a positive value. Round your intermediate calculations and final answer to the nearest whole number.) Tax Information Adjusted gross income $ 47,550 Standard deduction $ 24,000 Child care tax credit $ 100 Federal income tax withheld $ 1,880 Tax rate on taxable income 10 percent

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Ann and Carl Wilton would owe additional taxes of $475.

To determine if Ann and Carl Wilton will receive a refund or owe additional taxes, we need to calculate their taxable income, tax liability, and compare it to the federal income tax already withheld.

Adjusted Gross Income (AGI) = $47,550

Standard Deduction = $24,000

Taxable Income = AGI - Standard Deduction

Taxable Income = $47,550 - $24,000 = $23,550

Tax Liability = Taxable Income x Tax Rate

Tax Liability = $23,550 x 0.10 = $2,355

Child Care Tax Credit = $100

Total Federal Income Tax Withheld = $1,880

Since the total federal income tax withheld ($1,880) is less than the calculated tax liability ($2,355), Ann and Carl Wilton would owe additional taxes of:

Additional Taxes Owed = Tax Liability - Total Federal Income Tax Withheld

Additional Taxes Owed = $2,355 - $1,880 = $475

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a. Fiscal Policy involves changing Click to select) In the United States, Fiscal Policy is implemented by the (Cick to select) b. (Click to select) (Click to select can be used to address a Recessionary Gap by (Click to select taxes and Click to select government purchases. Meanwhile can be used to address an Inflationary Gap by Click to select) taxes and Click to select government purchases

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Fiscal Policy can be used to address an Inflationary Gap by decreasing government purchases and/or increasing taxes.

a. Fiscal Policy involves changing government spending and/or taxes in order to influence the economy. In the United States, Fiscal Policy is implemented by the federal government, specifically the executive and legislative branches.

b. Fiscal Policy can be used to address a Recessionary Gap by increasing government purchases and/or decreasing taxes. Meanwhile, Fiscal Policy can be used to address an Inflationary Gap by decreasing government purchases and/or increasing taxes.

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Identify the current liability associated with each of the following operating activities: (Click the icon to view the operating activities.) Operating Activity Current Liability 1. Perform work on a warranty claim ______________2. Pay income taxes ______________3. Purchase supplies ______________4. Pay payroll taxes ______________Answe Bank:- Accounts Payable - Accrued Income Tax Payable - Accrued Payroll Taxes Payable - Accrued Salaries Payable - Accrued Warranties Payable - Notes Payable, Long-term - Notes Payable, Short-term- Unearned Revenue

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Perform work on a warranty claim: Accrued Warranties Payable

Pay income taxes: Accrued Income Tax Payable

Purchase supplies: Accounts Payable

Pay payroll taxes: Accrued Payroll Taxes Payable.

Accrued Warranties Payable: When a company sells a product that comes with a warranty, the company is obligated to cover the cost of repairing or replacing the product if it fails within the warranty period. Accrued Warranties Payable is a current liability that represents the estimated cost of fulfilling these warranty obligations. As customers make warranty claims, the company records an expense and reduces the balance of the Accrued Warranties Payable account.

Accrued Income Tax Payable: When a company earns income, it is required to pay income taxes to the government. Accrued Income Tax Payable is a current liability that represents the estimated amount of income taxes owed to the government but not yet paid. The company accrues this liability by recording an expense for income tax and a liability for Accrued Income Tax Payable.

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Mr. danilo conde borrowed money from a bank. he receives from the bank p1,340.00 and promised to pay p1,500.00 at the end of 9 months. determine rate of simple interest.

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The rate of simple interest in this scenario is 13.3%.

To determine the rate of simple interest in this scenario, we first need to calculate the interest earned by the bank. The formula for simple interest is I = PRT, where I is the interest, P is the principal amount borrowed, R is the interest rate, and T is the time period.

Here, Mr. Danilo Conde borrowed P1,340.00 and promised to pay P1,500.00 at the end of 9 months. Therefore, the interest earned by the bank is P1,500.00 - P1,340.00 = P160.00.

Now, substituting the values in the formula, we get 160 = 1,340 x R x (9/12).

Solving for R, we get R = (160 x 12) / (1,340 x 9) = 0.133 or 13.3%.

Therefore, the rate of simple interest in this scenario is 13.3%.

Simple interest is a straightforward method of calculating the interest earned on a loan or investment. It is calculated based on the initial principal amount and the rate of interest, and does not take into account any additional factors such as compounding or fees. In this case, Mr. Danilo Conde borrowed money from the bank and agreed to pay back the principal plus interest after 9 months. The bank charged a simple interest rate of 13.3%, which means that Mr. Conde had to pay an additional P160.00 on top of the principal amount of P1,340.00.

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During parts of the Roaring 20s, the stock market increased by 20 percent per year, and the overall economy grew by 40 percent over the course of the decade. In response, the government should have: Multiple Choice a. decreased taxes. b. enacted contractionary fiscal policy. c. increased government spending.
d. enacted expansionary fiscal policy

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The enacted contractionary fiscal policy is the third option because already people have more purchasing power.

What exactly is fiscal contraction?

A contractionary policy is a monetary measure implemented by a central bank to decrease government expenditures or the rate of monetary expansion. It's a macroeconomic tool for combating rising inflation.

The main contractionary policies used by the US government include raising interest rates, increasing bank margin requirements, and selling govt bonds.

Contractionary policies are macroeconomic instruments used to combat economic confusion caused by an overheated economy.

Contractionary policies seek to slow the rate of monetary expansion by limiting the flow of money in the economy.

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Assume that you are a salesperson who calls on retailers. For some time you have been attempting to get an appointment with one of the best retailers in the city to carry your line. You have an appointment to see the head buyer in one and one-half hours. You are sitting in your office. It will take you about 30 minutes to drive to your appointment. Outline what you should be doing between now and the time you leave to meet your Prospect

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As a salesperson with an appointment to meet the head buyer of a top retailer in 1.5 hours, you should spend the time before you leave for the appointment preparing for the meeting with your prospect.

1. Research the retailer: Spend some time researching the retailer's current product offerings, target market, and competition. This will help you better understand their needs and tailor your pitch accordingly.
2. Review your product line: Familiarize yourself with the specific products you plan to present during the meeting. Be prepared to discuss their features, benefits, and how they can address the retailer's needs or gaps in their product offerings.
3. Prepare sales materials: Gather any relevant sales materials, such as product brochures, samples, or case studies that can help illustrate the value of your product line to the retailer. Organize them in an easy-to-navigate format.
4. Develop a clear agenda: Outline the key points you want to cover during the meeting, including your sales pitch, pricing, and any promotional support you can provide to the retailer.
5. Practice your pitch: Rehearse your presentation to ensure you're able to convey the most important information in a clear, concise, and persuasive manner.
6. Prepare for objections: Anticipate any potential concerns or objections the head buyer might have and develop responses that address those issues.
7. Gather necessary supplies: Make sure you have everything you need for the meeting, such as a notepad, pen, business cards, and any required identification.
8. Check traffic conditions: Before leaving, check the traffic conditions to ensure you arrive on time. Plan to leave early if necessary to account for any unexpected delays.

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A 180 / 360 loan is considered a(n) ___________________ mortgage.

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A 180 / 360 loan is considered a Balloon mortgage.

A partially-amortized or balloon mortgage provides for some, but not total, amortization during the mortgage term. It has payments that are equal and regular in nature. However, the loan term is shorter than the time needed to repay the full loan balance by making those payments. Therefore, at the end of the loan term, a large balloon payment is needed to pay off the remaining balance. The loan would be labeled by indicating the loan term in months (in this case, 180) and the amortization period in months (in this case, 360).

Hence, the correct answer is Balloon mortgage.

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if common stock is issued for an amount greater than par value, the excess would increase question 39 options: cash. retained earnings. paid-in capital in excess of par value. legal capital.

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If common stock is issued for an amount greater than its par value, the excess amount received by the company is known as the "paid-in capital in excess of par value". This amount is not considered as a part of the legal capital but is included in the total equity of the company.



Legal capital is the minimum amount of capital that a company is required to maintain in order to protect its creditors in case of bankruptcy or insolvency. It is calculated by multiplying the number of outstanding shares with the par value of each share. Any amount received by the company above this legal capital is considered as the paid-in capital in excess of par value.

This excess amount is typically generated when the market value of the company's shares is higher than its par value. By issuing the shares at a premium, the company is able to raise additional funds that can be used for various purposes such as expansion, acquisitions, debt repayment, and so on.

The paid-in capital in excess of par value is a permanent source of equity for the company, and it cannot be distributed as dividends to shareholders. It is usually disclosed separately in the company's balance sheet and is an important indicator of the company's financial strength and market value.

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The equilibrium price level is ( 160 / 40 / 120 / 20 / 80 ), and the equilibrium level of real output is ( $20 / $30 / $50 / $40 / 60 ) billion.
Suppose that the government spending increases by $4 billion and the expenditure multiplier in this economy is 5.
On the previous graph, use the purple points "diamond symbol" to illustrate the effect of the increase in government spending on the aggregate demand "New AD" curve.
The change in government spending ( increase / decrease ) the equilibrium level of real output by ( $2 / $5 / $10 / $20 /$4) billion. The price level increase ( rainforces / weakens) the multiplier effect.

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The equilibrium price level is $80, and the equilibrium level of real output is $50 billion.
When government spending increases by $4 billion and the expenditure multiplier is 5, aggregate demand will increase by $20 billion ($4 billion x 5). This means that the new equilibrium level of real output is $70 billion ($50 billion + $20 billion).

The increase in government spending will increase the equilibrium level of real output by $10 billion ($20 billion x 0.5). The price level reinforces the multiplier effect, meaning that the increase in government spending will lead to an even greater increase in aggregate demand and real output.
Hi! Based on the information provided, when the government increases its spending by $4 billion and the expenditure multiplier is 5, the impact on the aggregate demand curve can be determined.
The change in government spending increases the equilibrium level of real output by $20 billion ($4 billion x 5). This increase in government spending will shift the aggregate demand curve to the right, represented by the "New AD" curve on the graph. As a result, the price level increase weakens the multiplier effect.

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Which statement is true? The willingness to pay for perfect information under the assumption of risk neutrality
Question 22 options:
is smaller than under the assumption of risk aversion.
is greater than under the assumption of risk aversion.
is the same as under the assumption of risk aversion.
is indeterminate from the given information.

Answers

The willingness to pay for perfect information under the assumption of risk neutrality is the same as under the assumption of risk aversion (Option C).

The willingness to pay for perfect information is not affected by an individual's risk preference, as perfect information reduces uncertainty and allows for better decision making regardless of risk preference.
Both risk-neutral and risk-averse individuals want to maximize their expected utility or payoff. Therefore, their willingness to pay for perfect information, which would allow them to make the best possible decision, is the same in both cases.

Risk aversion is the tendency to avoid risk. The term risk-averse describes the investor who chooses the preservation of capital over the potential for a higher-than-average return. In investing, risk equals price volatility. A volatile investment can make you rich or devour your savings. A conservative investment will grow slowly and steadily over time.

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You were notified that an associate was away from work for a couple of hours last week. After confronting the associate, you remember approving the time-off request. rate the effectiveness of each response ineffective, slightly effective, moderately effective, or highly effective.1. Apologize for forgetting the schedule change. Make a note in the system so the associate's time away from work is recorded correctly.2. Tell the associate to send you a reminder next time so you can make sure it is properly documented in the system.3. Apologize to the associate about forgetting the schedule change. Review your process for tracking requests to ensure accuracy in the future.4. Ask the associate to provide details on how the request was made. Remind the associate changes should be completed through the scheduling tool.

Answers

The best course of action is to apologize to the associate and evaluate the request tracking procedure to ensure accuracy going forward.

A sincere apology for overlooking the schedule modification is a fine place to start, but it is insufficient to guarantee that the associate's time away from the office is accurately recorded.

It is ineffective to instruct the associate to send a reminder the next time since it puts the onus on the associate to make sure the request is accurately recorded in the system.

A sincere apology to the employee and a review of the request tracking procedure are both appropriate responses since they demonstrate that the manager is taking responsibility for the error and measures to make sure it doesn't happen again in the future.

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All rational investors, seeking to manage risk by optimally diversifying across a common set of different assets:
A.Only focus on the mean of the overall portfolio.
B.Can ultimately hold different, fully diversified portfolios.
C.Are concerned about by the performance of the riskier assets once they have created the diversifying portfolio.
D.Ultimately earn the same return if they share the same level of risk-aversion.

Answers

C. Are worried about how the riskier assets will perform once they have built a diversified portfolio.

C. Are concerned about the performance of the riskier assets once they have created the diversifying portfolio.
Rational investors seek to manage risk by optimally diversifying their portfolio across a common set of different assets. This means that they aim to create a portfolio that contains a mix of assets that are not highly correlated with each other, in order to reduce the overall risk of their portfolio.

However, once the diversifying portfolio has been created, rational investors are still concerned about the performance of the riskier assets. This is because the riskier assets may still have an impact on the overall performance of the portfolio, even if they are only a small part of it. Therefore, rational investors need to carefully monitor the performance of all the assets in their portfolio, in order to ensure that they are achieving their desired level of risk management.

Option A is incorrect because rational investors do not only focus on the mean of the overall portfolio, but rather consider the risk and return characteristics of each individual asset in the portfolio. Option B is also incorrect because rational investors typically hold a single, diversified portfolio rather than multiple fully diversified portfolios. Option D is incorrect because rational investors may earn different returns depending on their individual risk preferences and the specific assets in their portfolio.

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When you are trying to determine if a Web site is reliable, you should ask yourself all of the following questions
except
Who has written the information?
When was the Web site created?
Is the information on the Web site biased?
Is the site relevant to the question I want to answer?
O Does the Web site follow netiquette rules?
O Is the author an expert?
O What are the goals of the Web site?

Answers

When you are trying to determine if a Web site is reliable, you should ask yourself all of the following questions except "How attractive or visually appealing is the website?".

How to determine the if a Web site is reliable

The statement mentions that all of the following questions should be asked except one. The question that is not listed in the statement is unclear. However, based on the given options, it can be assumed that the missing question is "How attractive or visually appealing is the website?".

Therefore, the answer is:

When you are trying to determine if a Web site is reliable, you should ask yourself all of the following questions except how attractive or visually appealing the website is. The questions you should ask include:

Who has written the information?

When was the Web site created?

Is the information on the Web site biased?

Is the site relevant to the question I want to answer?

Does the Web site follow netiquette rules?

Is the author an expert?

What are the goals of the Web site?

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A so-called "firm offer":
a.Requires consideration.
b.Arises under Article 2 of the UCC.
c.Can be made orally.
d.Cannot be made by a merchant.
e.A & C above.

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A so-called "firm offer" Arises under Article 2 of the UCC. A firm offer is a binding agreement made by a merchant that promises to keep an offer open for a certain period of time. It arises under Article 2 of the Uniform Commercial Code (UCC), which governs the sale of goods in the United States.

A firm offer is one that cannot be canceled for a specific amount of time or until a specific moment or occurrence of a specific event. In general, all offers, including those that appear to be irreversible on their face, are revocable at any moment prior to acceptance.

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Click on the PRICE tab and lock in a price that you think makes sense. As you move the slide bar you will see the MARGIN PER UNIT change as well.What was your final price?A.$70 - $79B. $80 - $89C. $90 - $99D. $100 - $109E. $110 - $119F. +$120

Answers

Answer: C. 90-99

Explanation: Go back to SEGMENTS and you'll see that the average purchase price for outdoor enthusiasts is $90. Your assignment will actually tell you who your target market is so let's not assume we have the same problem. If we do though, this is the answer

assuming builtrite had taxable income of $14,000,000. if builtrite had $60,000 in interest expense, how much would this interest expense cost builtrite after taxes?O $0 O $39,000 O $21,000 O $30,000 O $60,000

Answers

The cost of the interest expense after taxes for Builtrite would be $47,400. The correct answer is option B.

To calculate the cost of the interest expense after taxes, we first need to calculate Builtrite's taxable income after deducting the interest expense.

Taxable income = Gross income - Deductions

Here, Builtrite's taxable income can be calculated as follows:

Taxable income = $14,000,000 - $60,000 = $13,940,000

To calculate the cost of the interest expense after taxes, we need to multiply the interest expense by the company's tax rate. Assuming Builtrite's tax rate is 21%, the cost of the interest expense after taxes would be:

Cost of interest expense after taxes = Interest expense x (1 - Tax rate)

Cost of interest expense after taxes = $60,000 x (1 - 0.21)

Cost of interest expense after taxes = $60,000 x 0.79

Cost of interest expense after taxes = $47,400

Therefore, the cost of the interest expense after taxes for Builtrite would be $47,400. The correct answer is option B.

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Complete question

assuming builtrite had taxable income of $14,000,000. if builtrite had $60,000 in interest expense, how much would this interest expense cost builtrite after taxes?

a. $39,000

b. $47,400

c. $30,000

d. $60,000

in order for money to work properly, individuals and businesses in a country must be willing to receive it as payment for goods and services. This is an element of which characteristics of money?

Answers

In order for money to work properly, individuals and businesses in a country must be willing to receive it as payment for goods and services. This is an element of acceptability.

Acceptability is the idea that money needs to be widely accepted in an economy as a way to pay for goods and services. In other words, for money to be a useful medium of exchange, people and businesses in a nation must be willing to accept it as payment for goods and services.

One of the five qualities of money, along with durability, portability, divisibility, and scarcity, is acceptability. To fulfill its roles as a medium of exchange, a store of value and a unit of account, money must possess these qualities.

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How does Nestlé link rewards and incentives to strategically‐important employee behaviors and the company’s targeted sustainability outcomes? (10 Marks)
Note: Please elaborate more and give a long answer

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Nestlé has a comprehensive approach to linking rewards and incentives to strategically important employee behaviors and sustainability outcomes.

The company's compensation and benefits programs are designed to incentivize employees to drive performance and contribute to the achievement of the company's sustainability goals. This includes setting clear performance objectives that align with sustainability priorities, providing regular feedback on progress, and recognizing and rewarding employees for their contributions to sustainability.

In addition, Nestlé offers a variety of training and development programs to help employees build the skills they need to support sustainability initiatives, and links performance evaluations to sustainability performance. By integrating sustainability into its compensation and benefits programs, Nestlé creates a culture of accountability and encourages employees to actively contribute to the company's sustainability goals.

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sheridan corp. had total variable costs of $148,200, total fixed costs of $139,200, and total revenues of $285,000. (a1) calculate contribution margin ratio. contribution margin ratio

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To calculate the contribution margin ratio for Sheridan Corp, follow these steps:
1. Calculate the contribution margin by subtracting total variable costs from total revenues.
2. Divide the contribution margin by total revenues to find the contribution margin ratio.

Let's perform these calculations using the provided values:
1. Contribution Margin = Total Revenues - Total Variable Costs = $285,000 - $148,200 = $136,800
2. Contribution Margin Ratio = Contribution Margin / Total Revenues = $136,800 / $285,000 = 0.48 or 48%
So, the contribution margin ratio for Sheridan Corp. is 48%. This means that 48% of the total revenues contribute to covering fixed costs and generating profit.

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The Chrysler bankruptcy and reorganization into New Chrysler resulted in which of the following events?Termination of dealer and warranty obligationsLBOChapter 7 liquidationReverse priority

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The Chrysler bankruptcy and reorganization into New Chrysler did not result in Chapter 7 liquidation or reverse priority. However, it did result in the termination of dealer and warranty obligations.

It was not an LBO as it was a government-backed restructuring. The Chrysler bankruptcy and reorganization into New Chrysler resulted in the termination of dealer and warranty obligations. This process allowed the company to restructure its business operations.  

shed liabilities, and ultimately emerge as a more competitive entity, known as New Chrysler, Nearly thirty years later, in 2008, Chrysler would receive billions in a new bailout from the U.S, government in the aftermath of the financial crisis that decimated automotive sales over the following few years.

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A particular county employs three assessors who are responsible for determining the value of residential property in the county. To see whether these assessors differ systematically in their assessments, 5 houses are selected, and each assessor is asked to determine the market value of each house. With factor A denoting assessors (I = 3) and factor B denoting houses (J = 5), suppose SSA = 11.8, SSB = 112, and SSE = 25.9.(a) Test H0: a1 = a2 = a3 = 0 at level 0.05. (H0 states that there are no systematic differences among assessors. Round your answers to two decimal places.)rejection region f=test statistic f =

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4.54 > 4.46, the test statistic falls in the rejection region.

To test hypothesis H0: a1 = a2 = a3 = 0, where a1, a2, and a3 are the mean deviations of the three assessors from the overall mean, we can use a two-way ANOVA with a replication model. The test statistic for this hypothesis is the F-statistic:

F = (SSA / (I - 1)) / (SSE / ((I - 1) * (J - 1)))

Substituting the given values, we get:

F = (11.8 / 2) / (25.9 / 8) = 4.54

The degrees of freedom are (I - 1) = 2 and (I - 1) * (J - 1) = 8.

To test at level 0.05, we need to compare the F-statistic to the critical value from the F-distribution with 2 and 8 degrees of freedom at the 0.025 level of significance. From a table or calculator, we find this value to be 4.46.

Since 4.54 > 4.46, the test statistic falls in the rejection region. Therefore, we reject the null hypothesis and conclude that there is evidence of at least one systematic difference among the assessors.

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Suppose an industry consists of 100 firms with identical cost structures (represented by the "typical individual firm" in the figure below). The price is $18. Instructions: Plot the profit-maximizing quantity using the tool provided (Q). Price/Cost (S) 60 50 MC 40 F АТС AVC 30 20 F 10 F 10 20 30 40 50 60 Quantity Ask Instructions: Round your answers to the nearest whole number. Print The firm output quantity at the equilibrium price is References units The market output quantity at the equilibrium price is units

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The profit-maximizing quantity for the typical individual firm would be the quantity where marginal cost (MC) equals marginal revenue (MR), which is also the quantity where the marginal cost curve intersects with the demand curve (price line).

This quantity is approximately 30 units, rounded to the nearest whole number. At the equilibrium price of $18, the market output quantity would be the total quantity produced by all 100 identical firms at the profit-maximizing quantity of 30 units each. Therefore, the marginal revenue quantity at the equilibrium price would be 100 x 30 = 3000 units.

In a perfectly competitive market, each firm is a price taker, meaning that they must accept the market price and cannot influence it. In this case, the price is $18, which is represented by the horizontal line on the graph. The demand curve faced by the firm is perfectly elastic, which means that the firm can sell as much as it wants at the market price.

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Shirts are made in a process with a single resource. There are two types of shirts. The resource's processing time for the first type is 500 seconds and demand for this type is 0.23 shirts per minute. The resource's processing time for the second type is 2,800 seconds and demand for this type is 0.16 shirts per minute. There are 11 workers at this resource. Instruction: Round your answer to one decimal place. What is the implied utilization (%) of this resource? %

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The implied utilization of the resource is 92.0%.


Utilization is a measure of the extent to which a resource is being used to its full capacity. It is calculated as the ratio of the actual usage time to the total available time. In this case, the resource is a single process used to make two types of shirts, with different processing times and demand rates. The total demand for shirts is the sum of the demand for each type. To calculate the total demand, we multiply the demand rate by the processing time for each type of shirt and add the results. The total available time for the resource is the product of the number of workers and the number of minutes in an hour. The actual usage time is the product of the total demand and the processing time for each type of shirt. Finally, we divide the actual usage time by the total available time and multiply by 100 to get the utilization percentage. Using the given values, we can calculate the implied utilization of the resource as follows:
Total demand = (0.23 shirts/min x 500 sec/shirt) + (0.16 shirts/min x 2800 sec/shirt) = 661.6 shirts/hr
Total available time = 11 workers x 60 min/hr = 660 min/hr
Actual usage time = 661.6 shirts/hr x (500 sec/shirt + 2800 sec/shirt) / 3600 sec/hr = 92.16 min/hr
Implied utilization = 92.16 min/hr / 660 min/hr x 100% = 92.0%

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Robert Soolah is director of HR for a fictional company that creates information technology products and solutions. Recently, the company acquired a mid-sized software manufacturer. After the acquisition, Robert realized that the culture within his organization was changing due to the competition among the "old" and "new" employees. Robert decided to implement a series of HR initiatives aimed at increasing the collaboration among all employees and creating a culture of team-building and respect. He designed an interpersonal skills training course that focused on positive communication and collaboration. He created an internal website where employees could voice their concerns about the acquisition and ask questions about future roles and the direction of the organization. He produced a 360-degree performance feedback system that gave both old and new employees an opportunity to evaluate their colleagues. Finally, he added a team-based incentive to the compensation program to reward employees based on meeting group goals. Six months after initiating these practices, he wants to evaluate and report on their effectiveness.
1. What type of data should be collected for this evaluation?
A. the costs associated with each of the programs
B. salary info from competitors
C. employee demographics
D. employee assessments
E. surveys of top executives
2. What should be the focus of the evaluation?
A. employee surveys
B. reviewing key indicators of success
C. evaluating staffing procedures
D. the cost of the new programs
E. whether the revised practices can be implemented
3. How should you analyze the information provided by the evaluation?
A. share results with professional colleagues
B. ask executives for recommendations
C. review employee comments and suggestions
D. hire an HR consultant to evaluate the data
E. use detailed statistics and finances to look for trends
4. Which should be a key consideration in conducting the evaluation?
A. the effectiveness of the implemented policies
B. the quality of the human capital providing the evaluation
C. the overall costs of the evaluation
D. employee opinions about the evaluation
E. employee capability to learn and develop new skills
5. What should Robert do when carrying out the evaluation?
A. determine the dollar value of each program
B. review outcomes rather than specific components of the program
C. ask senior managers for their input
D. poll supervisors to get their opinions
E. assess only the employee perspective of the organization

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Robert decided to put into action several HR initiatives meant to improve teamwork and foster respect among all employees. 1. D. employee assessments 2. B. reviewing key indicators of success 3. E. use detailed statistics and finances to look for trends 4. A. the effectiveness of the implemented policies 5. B. review outcomes rather than specific components of the program.

The type of data that should be collected for this evaluation is employee assessments. The focus of the evaluation should be reviewing key indicators of success.The information provided by the evaluation should be analyzed using detailed statistics and finances to look for trends.A key consideration in conducting the evaluation is the effectiveness of the implemented policies.When carrying out the evaluation  Robert should review outcomes rather than specific components of the program.

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The present value of a 5-year annuity immediate, with payments of $1,000 each 6 times per year, is $20,930. Determine the force of interest.The solution uses functions on a BA-II calculator but I don't have one. Can anyone offer any insight on finding the interest rate/2 months using the a-angle(n) equation?

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The interest rate per 2 months (or per 1/6 year) is approximately 0.0055, or 0.55% per 2 months. Yes, you can use the a-angle(n) equation to find the interest rate per 2 months. Here's how:

Let's call the interest rate per 2 months "i". We can use the formula for the present value of an annuity immediate to set up an equation:

PV = P * a-angle(n,i)

Where PV is the present value, P is the periodic payment, n is the total number of payments, and a-angle(n,i) is the accumulation function that gives the present value of an annuity immediate with n payments at interest rate i.

In our case, PV is given as $20,930, P is $1,000, n is 5 years * 6 payments per year = 30 payments, and we're looking for i.

Plugging in the values, we get:

$20,930 = $1,000 * a-angle(30,i)

Now we need to solve for i. We can use trial and error, or we can use a spreadsheet or calculator with numerical solver capabilities. Here's an example of using trial and error:

Start with an initial guess for i. Let's say 0.005 (or 0.5% per 2 months).Calculate the right-hand side of the equation using the a-angle function. In Excel, you can use the formula "=PV(0.005/2,30,1000)" (assuming 1000 is in cell A1). This gives a value of $20,896.22, which is close but not equal to $20,930.Adjust the guess for i and repeat step 2 until the calculated value is close to $20,930. For example, we might try 0.006, which gives a calculated value of $20,947.83. This is too high, so we might try 0.0055, which gives a calculated value of $20,930.14. This is very close to the target value of $20,930, so we can stop here.

Therefore, the interest rate per 2 months (or per 1/6 year) is approximately 0.0055, or 0.55% per 2 months.

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a. the price has moved by equal to or more than the specified box size b. the price has moved by less than the specified box size c. volume confirms the price movement d. price has moved to a new high

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Based on the terms you provided, it seems like you're asking about price movement, volume, and how they relate to a specified box size in a financial market. Here's an explanation that includes these terms:
a. If the price has moved by equal to or more than the specified box size, it indicates a significant price movement within the range of interest. This can be an important signal for traders and investors to pay attention to potential changes in the market trend.

b. If the price has moved by less than the specified box size, it suggests a less significant price movement. This might not necessarily imply a change in the current trend, but it's still important to monitor other factors like volume and other technical indicators for better understanding.
c. Volume confirms the price movement when the trading volume increases along with the price change. High volume during price movement indicates that there is strong market interest and can support the price movement's sustainability. If the volume remains low, the price movement may not be as significant or could be a false signal.
d. If the price has moved to a new high, it means that the market is showing an upward trend, which might attract more investors and traders. In this situation, it's essential to monitor the trading volume and other indicators to determine if the new high is sustainable or if a potential reversal might occur.

I hope this explanation helps you understand how price movement, volume, and specified box size can be interconnected in financial markets.

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