He recently finished a trial balancing that revealed no unforeseen issues.The creation of the store's balance sheet and other important financial statements is probably Horst's next big chore.
What is the primary justification for an accountant to perform a trial balance?A trial balance is used to check the accuracy of all entries put into the general ledger of an organization.Each general ledger account's ending balance is shown on a trial balance.Each accounting entry must have debits and credits that total the same amount. The balance sheet, income statement, and cash flow statement all provide distinct facts with associated data.The three statements taken as a whole offer a complete picture of the company's operational activity. After the adjusting entries are finished, the adjusted trial balance is finished.The final balances for each account are listed in this trial balance, which is also utilized to create the financial statements.The balances are displayed in the post-closing trial balance following the completion of the closing entries. Trial Balance is an accounting report that includes the ending balances of the company's various general ledgers. For instance, utility expenses during a period may include the payment of four separate bills totaling $ 1,000, $ 3,000, $ 2,500, and $ 1,500; therefore, in the trial balance, a single utility... Your balance sheet details the worth of your current assets as well as the amount of debt you have (liabilities).Cash, receivables, inventory, equipment, and investments are examples of assets.To learn more about trial balance refer
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Joe’s cookies has warehouses in portland, los angeles and dallas. The company currently stores 50,000 boxes of cookies at each warehouse. If the company consolidates these warehouses to a single warehouse in salt lake city, what will the inventory level be for the single warehouse?.
Answer:
150.000
Explanation:
you have to add 3 of 50,000 and u will get 150.00
20 POINTS!! HELP NEEDED ASAP!!!
Type the correct answer in the box. Spell all words correctly.
What account does a trading business use to track its inflow of goods?
A trading business will use the account _________ to track its inflow of goods.
Current?
Answer:
Your right, you can fill it in.
a business will usually choose to produce a new product in an existing facility if the cost of doing so is less than the cost of building a new one and the .
A business will usually choose to produce a new product in an existing facility if the cost of doing so is less than the cost of building a new one and the existing factory has enough capacity.
What is an existing product improvement?Enhancing current features of a product or adding new functionality is known as product improvement. Usually, the goal is to increase value for current users or to get more new consumers to sign up.
When the cost of producing a new product in an existing facility is less than the cost of constructing a new one and the existing factory has the capacity to meet the demand for both the new product and the existing one, businesses will typically opt to do so.
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according to the efficient markets hypothesis, the number of people who think a stock is overvalued exactly balances the number of people who think a stock is undervalued. a. true b. false
The given statement is true because according to the Efficient Markets Hypothesis (EMH), the number of people who think a stock is overvalued balances exactly the number of people who think a stock is undervalued.
The Efficient Markets Hypothesis (EMH) is a hypothesis that states when new information enters the market, it is quickly reflected in stock prices and as a result, neither fundamental nor technical analysis can generate excess returns. This means that the prices found in the current market only respond to new information.
According to the EMH hypothesis, there are always an equal number of people in two groups: people in one group consider that stock is undervalued; in contrast, people in the other group assume that stock is overvalued.
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How can I unclog the toilet the potatoes got stuck in there? (I hope this not a inapropriate question)
Answer:
Just get something like a brush and it will get off
Explanation:
Just do it
calculate the effect on the equilibrium interest rate in this market, as a result of the federal reserve action. the expected interest rate on a one-year discount bond will ▼ increase decrease to enter your response here%. (round your intermediate calculations to the nearest whole number. round your final answer to two decimal places.)
The expected interest rate on a one-year discount bond with a face value of 1,000 and a current price of 904 is (1,000-904)/904 = 0.1062 or 10.62%.
The new equilibrium quantity is provided as a consequence of the Federal Reserve action as: -0.8Quantity + 1,140 = Quantity + 610
1.8 * Quantity = (1,140 - 610) = 530
530 divided by 1.8 equals 294 ( taking whole number only)
Using the bond supply curve as an illustration:
Price = 294 + 610 = 904
As a result, the expected interest rate on a one-year discount bond with a face value of 1,000 and a current price of 904 is (1,000-904)/904 = 0.1062 or 10.62%.
Here is the complete question-
The demand curve and supply curve for one-year discount bonds with a face value of $1,000 are represented by the following equations:
Bd: Price = −0.8Quantity + 1,140
Bs: Price = Quantity + 710
Suppose that, as a result of monetary policy actions, the Federal Reserve sells 100 bonds that it holds. Assume that bond demand and money demand are held constant.
Calculate the effect on the equilibrium interest rate in this market, as a result of the Federal Reserve action.
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investors expect the market rate of return this year to be 10.50%. the expected rate of return on a stock with a beta of 1.3 is currently 13.65%. if the market return this year turns out to be 9.00%, how would you revise your expectation of the rate of return on the stock? (do not round intermediate calculations. round your answer to 1 decimal place.)
The revised expected rate of return is 11.7%.
What is return?A return in finance is a profit on an investment. It includes any change in the investment's value and/or cash flows received by the investor, such as interest payments, coupons, cash dividends, stock dividends, or the payoff from a derivative or structured product.
Expected rate of return will be:
= Risk-free Rate + (Expected market rate of return - Risk-free Rate)*beta
13.65 = Risk free Rate + (10.50-Risk free Rate)*1.3
13.65 = Risk free Rate + 13.65 - 1.3 Risk free Rate
-0.3 Risk free Rate = 13.65-13.65
Risk free Rate = 0
Now,
As per CAPM
Revised Expected rate of return = Risk free Rate + (Expected market rate of return - Risk free Rate)*beta
Revised Expected rate of return = 0 + (9-0)*1.3
Revised Expected rate of return = 11.70%
Therefore, the correct option is 11.7%.
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all of the following investment strategies offer either fully or partially tax-deductible contributions to individuals who meet eligibility requiremen
Nonqualified variable annuity investments are not tax deductible. Based on the person's wages and inclusion in a security firm qualified retirement plan, gifts to an IRA may be tax deduction.
A tax deduction is something you may take out of your taxable income in order to pay less in taxes overall. On Schedule A of your income tax return, you have the option of taking the standard deductions—a single deduction with a set dollar amount—or itemizing deductions. It makes sense to itemize if the total of your costs exceeds the standard deduction for your filing status. Tax deduction reduce the amount of tax you owe by deducting them from your income taxes.
The complete question is all of the following investment strategies offer either fully or partially tax-deductible contributions to individuals who meet eligibility requirements expect.
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ray began regular work as an independent contractor and earned $28,000. ray made no estimated tax payments in 2022 and he did owe tax at the end of the year. what amount does ray owe for the underpayment penalty in 2022?
Ray did not owe any taxes in 2022, thus he does not owe the underpayment penalty for 2022.It is $0.
Most governments rely primarily on taxes as a source of income. These funds are used, among other things, to maintain and upgrade public facilities, such as the roads we use, and to pay for public services like hospitals, schools, and social programmes. Every person must pay income tax. According to section 2(3) of the Income Tax Act, both natural and artificial individuals fall under the definition of "person." a penalty imposed or experienced for breaking a rule or the law. a loss, forfeiture, suffering, or similar experience one submits themselves to as a result of breaching a duty. something that is lost, such as money is called penalty.
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Suppose you put $350 into a bank account today. Interest is paid annually and the annual interest rate is 6 percent. The future value of the $350 after 4 years is.
The future value of the $350 after 4 years is $441.87. The annual interest rate is 6 percent paid in annually.
Using the formula Future value= Present value*(1+annual interest rate/100)^ no. of year.
So, future value is= $350 * (1+ 6/100)^4
$441.87
Therefore future value of the $350 after 4 year is calculated to be $441.87.
A present asset's future value (FV), which is based on an estimated rate of growth, is its worth at a later time. Investment professionals and financial planners respect the future value because it helps them determine how much a money invested now will be valued in the future.
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you will receive 26 annual payments of $34,500. the first payment will be received 4 years from today and the interest rate is 6.3 percent. what is the value of the payments today?
The value of payment today = 362795.85 when you will receive 26 annual payment of $34,500
What does value of Payment mean?Payment Value means the bone quantum assigned to a Performance Share which shall be equal to the Fair Market Value per Share on the close of business on the last day of a Performance Cycle.
Simplification :Number of Periods =26
PMT =34500
Rate =6.3%
PV of Payments in 3 years= PMT × ((1-(1+r)⁻ⁿ)/r) =34500 × ((1-(1+6.3%)⁻²⁶) × 6.3%) = 435774.80
PV of payments today = 435774.80 × (1+6.3%)²⁶
= 362795.85
What do you mean by interest rate?An interest rate tells you how high the cost of borrowing is, or high the prices are for saving. So, if you are a borrower, the interest rate is the quantum you're charged for adopting plutocrat, shown as a chance of the total quantum of the loan.An interest rate is known as the amount of interest due per time period, as a proportion of the amount lent, deposited, or borrowed from somewhere .
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if the mpc in an economy is 0.90, a $4 billion increase in government spending will ultimately increase real gdp by rev: 04 05 2021 qc cs-260095 multiple choice $4 billion. $0.9 billion. $40 billion. $36 billion.
if the MPC in an economy is 0.90, a $4 billion increase in government spending will ultimately increase real GDP by rev:$ 36 billion. Option D
This is further explained below.
What is GDP?Generally, The gross domestic product (GDP) of a nation is a monetary measurement that is based on the market value of all of the final products and services that were produced and sold in a certain time period.
Before being regarded as a trustworthy indication, this measure often undergoes revision because of the complexity and subjectivity inherent in its design.
An increase in the GDP equals more expenditure by the government. / ( 1 - MPC)
= 4 * / ( 1 - 0.9)
The rise in GDP is equal to $40 BILLION.
A rise in income will lead to an increase in GDP.
MPC is the rise in consumption divided by the rise in income.
0.09 is the increase in consumption divided by 40.
An increase in consumption results in an additional $36 billion.
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you predict that interest rates are about to fall. which bond will give you the highest capital gain? multiple choice low coupon, long maturity high coupon, short maturity high coupon, long maturity zero coupon, long maturity
A. Low coupon, long maturity are the bonds which will give you the highest capital gain when interest rates are about to fall.
Long-term bonds are particularly susceptible to changes in interest rates. The rationale is because bonds are fixed-income investments, so when an investor buys a corporate bond, for example, they are essentially buying a share of the debt of a corporation.
The majority of bonds have a fixed interest rate that rises in value as interest rates fall, increasing demand and bond prices. In contrast, if interest rates increase, investors will no longer favour the lower fixed interest rate offered by a bond, which will cause its price to decrease.This debt is issued with precise information regarding periodic coupon payments, the debt's principal, and how long it will be before it matures.
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is a primary activity in a value chain that involves moving and storing products, from the end of the production line to end users or distribution centers.
Outbound logistics is a primary activity in a value chain that involves moving and storing products, from the end of the production line to end users or distribution centers.
What is value chain?Value chain involves all activities and process that is involved in production.
A value chain include key stakeholders at every interval and their involvement.
Logistics are important aspect of value chain and it involves the movement of product, produce from one end to another.
Outbound logistics moves product from production to end users.
Therefore, Outbound logistics is key in value chain and it helps in moving and storing products.
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chegg a company has beginning inventory of 12 units at a cost of $28 each on february 1. on february 3, it purchases 38 units at $30 each. 17 units are sold on february 5. using the fifo periodic inventory method, what is the cost of the 17 units that are sold?
After the beginning inventory and purchases the cost of the 17 units that are sold is $28.5 each
Using the inventory valuation method, beginning on Feb 1, 12 units of $28 each were sold amounting to $336 (12 × $28) . Purchases of Feb3 were 5 units with each unit costing $30 amounting to $150 (5 × $30), the cost of goods sold is 486$ ($336+$150) Cost of the 17 units sold were $28.5 each ($486 ÷ 17)
The cost of inventory to be included in the financial statements and the value to be included in the balance sheet can be determined with the aid of inventory valuation methods.
Its first item of inventory purchased is assumed to be the initial unit used or sold under an inventory valuation tracking system known as perpetual FIFO (First in first out). Furthermore, this cost flow takes place in a perpetual inventory system, wherein inventory both inflows and outflows are recorded as soon as transactions take place in the inventory records.
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keisha is managing investments for a non-profit company. they want to invest some money in an account earning 5% interest compounded annually with the goal to have $30,000 in the account in 6 years. how much should keisha deposit into the account?
With interest rate 5% compounded annually, Keisha should deposit $22,386.46 in order to reach the goal to have $30,000 within 6 years.
The formula for the future value is:
FV = P (1 + r)ⁿ
Where:
P = present value
r = interest rate per period
n = number of periods
Parameters given in the problem:
FV = $30,000
n = 6
r = 5% = 0.05
Hence,
30,000 = P (1 + 0.05)⁶
P = 30,000 / 1.05⁶ = 22,386.46
Therefore, Keisha needs to deposit $22,386.46
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when a low price is initially set by the company to build up sales and market share, with the plan of later raising prices once its market position is established, this pricing strategy is called:
When a low price is initially set by the company to build up sales and market share, with the plan of later raising prices once its market position is established, it is called Penetration pricing,
This pricing strategy is used when a company initially sets a low price with the intention of increasing prices once its market position is established in order to increase sales and market share.
A strategy for carrying out a long-term or general goal "The practice of organizing and directing the entire military actions and movements in a war or conflict."
recognizing and being widely regarded as having existed for a long time. via enactment or agreement, to establish (something, such as a law) forever. replace sense with , to make stable or firm ,to introduce grass to pasturelands, encourage it to grow, and induce it to multiply. A republic was founded and established .
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Auto manufacturers are currently offering flex-fuel vehicles that are designed to run on ethanol gasoline mixtures. An economist recently analyzed the cost versus value consideration of these vehicles and found that the market is currently buying approximately the socially efficient amount of flex fuel vehicles. Under lobbying pressure from the car manufacturers and environmental groups, the federal government is considering a $3,000 subsidy paid per flex fuel vehicle sold. If this subsidy goes through, what would be the most likely impact on market efficiency?.
If government continues this subsidy of $3,000 per flex fuel vehicle sold, then in this case the market efficiency is most likely to decrease.
Subsidy is a kind of aid which is in monetary terms provided to both people as well as manufacturers to extend an economic and social support. Basically, subsidy is provided to uplift them socially as well as economically. Government normally provide subsidy in the form of reduction in per unit price of some essential consumer goods as well as producer goods.
Subsidies are designed to support or retain what are regarded to be essential components of the country's economy or infrastructural facilities. Even though the specific company or organizations involved may personally benefit from subsidies, economic experts conclude that subsidies weaken free trade and result in decrease in market efficiency.
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each of the following statements contains an error. explain what’s wrong in each case. (a) ""there is a high correlation between the gender of american workers and their income.""
Correlation is a measure to define the relationship between two variables.
Error in each of the given statements is briefly explained as follows:
a). In the first statement, gender refers to a nominal variable and income refers to a continuous variable. It is not possible to compute the correlation between a continuous variable and a nominal variable. Hence, there exists no correlation between the income of American workers and their gender.b). It is not possible to have a value of correlation as 1.09 between two variables. It is because the value of correlation ranges between -1 to +1. Thus, the value of correlation i.e. 1.09 is computed wrongly in this statement.c). Correlation represents the relationship between two variables; it cannot compute the number of bushels. Therefore, in this statement number of bushels cannot be assigned to correlation.
The complete question is:
“
Each of the following statements contains an error. Explain what’s wrong in each case.
(a) "There is a high correlation between the gender of American workers and their income."
(b) "We found a high correlation (r = 1.09) between students’ ratings of faculty teaching and ratings made by other faculty members."
(c) "The correlation between planting rate and yield of corn was found to be r = 0.23 bushel."
“
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a veterinary practice normally sells approximately 135 bottles of soloxine 0.3mg every 3 months (90 days). it takes 4 days to receive an order from the distributor from the time the inventory level is found to be low. what is the reorder point for soloxine?
The reorder point for soloxine would be 135 bottles multiplied by 4 days, which would equal 540 bottles. This number represents the point at which the veterinary practice would need to reorder soloxine from the distributor in order to maintain a consistent level of inventory.
What is reorder point ?
The inventory level that prompts a replenishment of that specific stock is known as the reorder point (ROP). It is the minimum quantity of a product that a company keeps on hand, below which the product must be ordered again. It is typically determined by adding safety stock to the forecast usage during in the lead time for replenishment. It was assumed inside the EOQ (Economic Order Quantity) prototype that there is no delay between placing an order and receiving the materials. When the inventory level reaches zero, it is time to place an order to replenish the stock. The level of inventory increases from zero to the original level due to the immediate replenishment of stock.
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lori works for big corporation. the existing contract between lori and big corporation can be terminated at will by either party. richard, the owner of a small store, offers to pay lori much more money if she will leave big corporation and work for his store. when lori starts to work for richard, big corporation correctly claims richard is liable for tortious interference with a contrac
False, the owner of a small store, offers to pay lori much more money if she will leave big corporation and work for his store. when lori starts to work for big corporation correctly claims richard is liable tortious interference.
A liability is a present obligation of an entity resulting from previous transactions or occurrences (financial accounting).
accumulated liabilities and potential liabilities
Obligations that will be paid back by current assets or the formation of new current liabilities are referred to as current liabilities or short-term liabilities.
Liable with a future benefit over an extended period of time are known as long-term or non-current liable (e.g. longer than one year)
Intentional interference with contractual relationships is a form of Tortious. Tortious interference with contract rights can happen when someone knowingly obstructs a contractor's ability to carry out his contractual obligations, denying the client access to the services or goods promised. Examples of such intentional interference with a contractor's ability to perform his obligations include using blackmail, threats, influence, or other forms of coercion to convince the other party to breach the contract with a third party.
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most agents meet with prospective homebuyers: group of answer choices after the buyers have done extensive research online. before the buyers have done extensive research online. during a sponsored webcast. during a free dinner presentation.
Most agents meet with prospective homebuyers after the buyers have done extensive research online.
Extensive refers to the words large in extent, range, or amount; far-reaching; comprehensive; wide. Extensive research can be defined as a research that involves studying something and trying to discover facts about it. The main difference between intensive and extensive research is that extensive research uses a large number of cases to determine the characteristics of a population, while intensive research examines one or a few cases in depth to understand effect and cause.
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Most agents meet with prospective homebuyers after the buyers have done extensive research online.
The main distinction between extensive and intense needs assessments is that whereas intensive research focuses on one or a small number of instances in depth to explain cause and effect, extensive research employs a plethora of cases to identify a population's attributes and different characteristics. And online research refers to the research work done or the gadgets used for research analysis through the web and internet sources. So, any possible buyer of your house is a prospective buyer and you may need to interact with dozens of potential buyers who have already done their research through online platforms before you locate the one, who is serious about buying your house.
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policymakers who control monetary and fiscal policy and want to offset the effects on output of an economic contraction caused by a shift in aggregate supply could use policy to shift a. aggregate demand to the right. b. aggregate demand to the left. c. aggregate supply to the right. d. aggregate supply to the left.
In the short term, governments may concentrate on macroeconomic stabilization, such as increasing spending or lowering taxes to boost a struggling economy or reducing spending or increasing taxes to combat rising inflation or assist in reducing external vulnerabilities.
Who is in charge of fiscal and monetary policy?
The Federal Open Market Committee (FOMC) is the body in charge of making monetary policy within the Federal Reserve System. The Federal Open Market Committee (FOMC) meets eight times a year to review economic and financial developments and determine the appropriate monetary policy stance.
Monetary policy has the power to influence aggregate demand. The aggregate-demand curve will eventually shift to the right as a result of an increase in the money supply. The aggregate-demand curve will eventually shift to the left as a result of a decrease in the money supply.
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what happens if petrel instead sells the property at its fair market value, used $70,000 of the proceeds to pay off the liability, and then distributed the remaining cash and any tax savings to juan?
If Petrel had sold the business property at its fair market value, it would have a recognized loss of $150,000 (290,000 - 140000).
Commercial Distributions :Distributions made by the pot to its shareholders are treated as follows
As taxable dividend income to the extent of advanced ofCurrent Earning & Profit( CEP) orSum of Current Earning & Profit and Accumulated Earning & Profit before distribution2. Remaining tip to the extent of shareholders base are treated as non-taxable return of capital which reduces the shareholder's base
3. Tip in excess of E&P and shareholder base are taxable capital gain distributions.
Simplification of Profit :
First we need to calculate the Current Earnings and Profit :
Particulars Amount
Current year taxable income 320,000
Less: Installment sale in the previous year 16,000
Less: Federal Income tax liability disallowed 67,200
Less: Life insurance premium paid for an officer 4,500
Add : Proceeds from the life insurance of an officer 150,000
Current Earnings and Profit 382,300
Analyzing the given data :
Given Accumulated Earning & Profit = $85,000
Thus Sum of Current Earning & Profit and Accumulated Earning & Profit before distribution =$467,300
Also, when an appreciated property is distributed to a shareholder as tip, property is distributed to the shareholder at Fair Market Value and the gain is honored by the pot. still losses are deductible except in the event of complete liquidation of the company.
Thus in the given case, quantum of tip distribution = Acclimated base of the land- Mortgage value = $290,000 - $70,000
= $220,000
Thus the E & P of Petrel Corporation after the property distribution is $ 247,300 (467,300 - 220,000) on December 31.
still, it would have a honored loss of $ 150, 000( 290 , 000 - 140000 ) If Petrel had vended the business property at its fair request value.
Net proceeds from the property after paying off the loan of $70,000 = $140,000 - $70,000 = $70,000
duty saving on the trade of property at loss = $150,000 × 21% = $31,500
After paying off the loan and any levies associated with the trade, Juan receives a tip of $101,500 (70,000 + 31,500).
The E & P of Petrel Corporation after the property trade and distribution of cash to Juan is $365,800 (467,300 - 101,500)
Question is incomplete , missing part is given below :
Petrel Corporation has accumulated E & P of $85,000 at the beginning of the year. Its current-year taxable income is $320,000. On December 31, Petrel distributed business property (land: fair market value of $140,000, adjusted basis of $290,000) to Juan, its sole shareholder. Juan assumes a $70,000 liability on the property. Included in the determination of Petrel's current taxable income is $16,000 of income recognized from an installment sale in a previous year. In addition, the corporation incurred a Federal income tax liability of $67,200, it paid life insurance premiums of $4,500, and received term life insurance proceeds of $150,000 on the death of an officer.
Assume Petrel Corporation is taxed at the 21% tax rate.
The E & P of Petrel Corporation after the property distribution is $_______ on December 31.
What happens if Petrel instead sells the property at its fair market value, used $70,000 of the proceeds to pay off the liability, and then distributed the remaining cash and any tax savings to Juan?
If Petrel had sold the business property at its fair market value, it would have a recognized loss of $_______. After paying off the loan and any taxes associated with the sale, Juan receives a dividend of $_________. The E & P of Petrel Corporation after the property sale and distribution of cash to Juan is $_________.
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How is the transaction journalized? Will mark brainliest
A transaction is journalized by passing the journal entry in the books of accounts by debit and credit of the respective accounts related to transactions. With relation to the reference (a) debit accounts payable to decrease it and credit cash account to increase it.
A journal entry is a transaction that is passed in books of accounts to keep record of the transactions which generally deals with debit and credit side of a particular transaction.
With relation to transaction, there are several accounts like nominal,real and personal which have different kinds of entry to be passed. Every entry is unique and show its effect on books.
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As you read this question, each individual word appears as a separate unit because letters are closer to each other when they are part of a word versus when they are not. This is an example of the gestalt principle of.
As you read this question, each individual word appears as a separate unit because letters are closer to each other when they are part of a word versus when they are not. This is an example of the Gestalt principle of: proximity.
According to a number of "rules" discovered by the Gestalt psychologists, particularly Max Wertheimer (Wertheimer, 1923/1938), perceptual grouping will take place in a range of situations. Technically speaking, laws are valid predictions in the sciences. These rules are actually more appropriately categorized as principles because they are generally true. These concepts were established so long ago, nonetheless, that the word "law" has remained with them.
The gestalt grouping law known as the Law of Proximity asserts that elements that are close to one another tend to be viewed as a single, cohesive group.
Use this activity to explore how both the Law of Proximity.
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compare and contrast keynesian economic theory and supply-side economics. when have these theories been adopted historically in the united states? what can be said about these economic theories, given the circumstances under which they have been adopted?
Keynesian economic theory is based on the work of economist John Maynard Keynes, who argued that government intervention is needed to help economies recover from recessions. Keynesian economics was adopted in the United States during the Great Depression, when the government implemented Keynesian policies such as increasing government spending and increasing taxes on the wealthy.
What is Keynesian economic?
The various macroeconomic theories of how aggregate demand significantly affects economic output and inflation are known as keynesian economics. According to the Keynesian perspective, the level of overall demand need not match the economy's capacity for production. Instead, it is impacted by a variety of variables that sometimes behave erratically and have an impact on inflation, employment, and production. Keynesian economists typically contend that because aggregate demand is unstable and erratic, market economies frequently experience macroeconomic outcomes that are inefficient, such as recessions when demand is low or inflation when demand is high. Furthermore, they contend that coordinated economic policy responses from the government and central bank can lessen these economic fluctuations.
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When a ride-hailing service determines that some consumers use its app for getting home from parties while others use it for commuting to work, it is most likely assessing the ________blank of its services.
When a ride-hailing service finds that some customers use its app to get home from parties and others to get to work, it is probably evaluating its core customer value.
The entirety of a consumer's cognitive, affective, sensory, and behavioral responses throughout all stages of the consumption process—pre-purchase, consumption, and post-purchase—is referred to as the customer experience (CX).
Which four stages of customer flow are they?
Stage of Customer Lifecycle: Loyalty, Conversion, and Acquisition
CEB discovered that typical journey maps typically address four primary buyer steps:purchase, consideration, awareness, and preferenceBecause it is based on a presumption that the customer will buy from the business, CEB refers to this as the "customer purchase-from-us journey."
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dysfunctional retention: a. occurs when a high performing employee remains employed with the organization b. occurs when a low performing employee remains with the organization c. occurs when all turnover is low d. is critical for the committed expert hr strategy
Dysfunctional retention occurs when a low performing employee remains with the organization.
Dysfunctional retention can be described as an employee who prefers to leave but ends up staying and performing poorly. Dysfunctional retention can make an organization or company gets worse over time.
There are some strategies to manage employee retention, such as:
Build employee engagement. Offer winning incentives. Get recognition and rewards right. Recruit the right employees. Create an exceptional onboarding experience. Provide avenues for professional development. Build a culture employees want to be a part of. Manage to retain. Prevent burnout by focusing on employee wellnessLearn more about employee management here https://brainly.com/question/14561524
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monopolistic competition in an industry results in: less advertising than in perfect competition. chronic excess capacity. lower prices than in perfect competition. overutilization of plants.
Monopolistic competition in an industry result in chronic excess capacity.
A monopoly is the form of imperfect competition in which a vendor or manufacturer captures the bulk of the marketplace proportion because of the dearth of substitutes or competitors. A monopolistic opposition is a form of imperfect opposition in which many dealers attempt to seize the marketplace proportion with the aid of using differentiating their products.
Monopolistic competition is a marketplace shape in which there are big variety of dealers promoting differentiated products. There is likewise no limitations to entry. Every frame can restore the fee as according to their choice. Hence, peculiar income withinside the lengthy run isn't always a feature of a monopolistically aggressive marketplace.
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