Accounts receivable has a starting balance of $10,500. After a customer pays $2,500, what is the balance of the account? A. $13,000 C. $8,000 B. $2,500 D. $10,500​

Accounts Receivable Has A Starting Balance Of $10,500. After A Customer Pays $2,500, What Is The Balance

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Answer 1

The balance in the Accounts Receivable after the customer pays $ 2, 500 would be C. $8,000.

What is Accounts Receivable?

Accounts Receivable, a phrase used in accounting, denotes the amount of money owed by customers or clients to businesses that provided them goods or services on credit. This creates an account receivable for the customer which reflects how much he/she owes the business for the purchased products or services.

The balance on the accounts would be:

= Starting balance - amount paid

= 10, 500 - 2, 500

= $ 8, 000

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a. computer stocks currently provide an expected rate of return of 16%. mbi, a large computer company, will pay a year-end dividend of $2 per share. if the stock is selling at $50 per share, what must be the market's expectation of the growth rate of mbi dividends? (do not round intermediate calculations. round your answer to 2 decimal places.)

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The market's expectation of the growth rate of MBI dividends is 12% (rounded to two decimal places).

How to calculate the market's expectation of the growth rate

To find the market's expectation of the growth rate of MBI dividends, we can use the Dividend Growth Model formula:

Expected Rate of Return = (Dividend per Share / Stock Price) + Dividend Growth Rate

In this case, the Expected Rate of Return is 16% (0.16), the Dividend per Share is $2, and the Stock Price is $50.

We need to find the Dividend Growth Rate (g). Plugging the values into the formula:

0.16 = (2 / 50) + g

Now, we can solve for g:

0.16 - (2 / 50) = g

0.16 - 0.04 = g

0.12 = g

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T/F Adjusting the annual cost of automobile insurance based on mileage driven is an example of utilization pricing.

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The statement "adjusting the annual cost of automobile insurance based on mileage driven is an example of utilization pricing" is True.

Utilization pricing, also known as usage-based pricing or pay-as-you-go pricing, is a strategy where the cost of a product or service is determined by the level of usage by the customer.

In the case of automobile insurance, the insurer adjusts the premium based on the number of miles driven by the policyholder during the policy period. This method of pricing considers the risk factors associated with driving more miles, as higher mileage increases the likelihood of accidents and, consequently, insurance claims.

Utilization pricing benefits both the insurer and the policyholder. For the insurer, it allows them to more accurately assess the risk and charge a fair price based on actual usage, minimizing the chances of underestimating or overestimating the risk associated with a particular policyholder. For the policyholder, this pricing model can lead to lower insurance costs if they drive less than the average driver, rewarding them for their responsible driving habits.

Moreover, utilization pricing can incentivize drivers to reduce their overall driving, as they become more aware of the financial impact of their driving habits. This can potentially lead to fewer accidents and lower overall claims for the insurance industry. In summary, adjusting the annual cost of automobile insurance based on mileage driven is a practical example of utilization pricing, benefiting both insurers and policyholders while promoting responsible driving behavior.

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____ is a facility used to house management information systems and associated components, such as telecommunications and storage systems

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A data center is a facility that houses management information systems and associated components such as communication systems and storage systems.

A data center is a physical facility that houses computers and related hardware. This includes network hardware, servers and data storage devices required for IT systems to function. A physical location where a company's digital data is stored. A data center is a physical location that provides the computing resources needed to run programs, the storage capacity needed to process data, and the connectivity needed to connect employees to the resources they need to do their jobs.

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Use the labor market model to predict how a fall in productivity would affect the wage and equilibrium labor. Explain.

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According to the labor market model, a fall in productivity would result in a leftward shift of the labor demand curve. This is because with lower productivity, firms will require fewer workers to produce the same level of output. As a result, the equilibrium wage rate would decrease and the equilibrium level of employment would decrease as well.

The decrease in productivity would also lead to a decrease in the marginal product of labor, which is the additional output that a worker produces. This would result in a decrease in the marginal revenue product of labor, which is the additional revenue that a firm generates from hiring an additional worker. With lower productivity, the marginal revenue product of labor would be lower, causing firms to hire fewer workers and offer lower wages.

Overall, a fall in productivity would have a negative impact on both the wage rate and equilibrium level of employment in the labor market model.

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would you characterize copyright infringement as a minor or as a major problem in the united states and in other countries? explain.

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Copyright infringement is a significant problem in the United States and in other countries. It refers to the unauthorized use of someone's creative work, which can include copying, distributing, displaying, or performing it without the owner's permission.

The impact of copyright infringement is far-reaching and can harm not only the creators but also the industries that depend on their works, such as the music, film, and software industries. In the United States, copyright infringement is a major problem, with losses estimated to be in the billions of dollars annually. The Digital Millennium Copyright Act (DMCA) provides legal protection for digital works and has helped combat infringement to some extent, but the proliferation of peer-to-peer file sharing has made it more challenging to enforce. Other countries also face similar issues with copyright infringement, with some having stricter laws and penalties than others. The issue of copyright infringement has become more complex with the rise of the internet and the ease with which digital works can be shared and disseminated. While some may argue that it is a minor problem, the economic and moral implications of copyright infringement make it a significant issue that requires ongoing attention and enforcement.

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The members of federal reserve district bank boards of directors appointed by the board of governors are known as: a. class a directors. b. class b directors. c. class c directors. d. class d directors.

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The members of the federal reserve district bank Board of Directors appointed by the Board of Governors are known as class B directors.

Class A directors are elected by member banks, while class C directors are appointed by the board of governors to represent the public interest. Class D directors are also appointed by the board of governors, but they represent the banks that are not members of the Federal Reserve System.

The Reserve Banks' duties include overseeing and inspecting member banks, providing essential financial services, assisting the government, and serving their District in addition to helping to determine monetary policy.

The Reserve Banks also play an important function in acting as banks and handling the government of the United States finances. These include processing government checks, conducting government securities3 auctions, and managing accounts for the U.S. Treasury.

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Multiple measures of performance are beneficial if they A. are all financial measures. B. include nonfinancial operating measures. C. focus only on short-run factors. D. all of these statements are true.

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Multiple performance measurement are beneficial if they include nonfinancial operating measures. Option B is the correct answer.

This is because nonfinancial measures provide a more comprehensive picture of the company's performance beyond just financial indicators, such as revenue or profits. Nonfinancial measures can include customer satisfaction, employee turnover rates, and production efficiency, among others.

These measures can provide insight into how the company is performing in areas that may not be immediately apparent from financial data alone. Focusing only on short-run factors or including only financial measures may limit the understanding of the company's overall performance and potential for long-term success.

Therefore, option B is correct.

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the current ratio is a measure of liquidity that reflects group of answer choices how many current assets you own free and clear. your debt payments for the current period. how many times you can pay off your current liabilities by using your liquid assets. the portion of your total liabilities that are considered current liabilities.

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The current ratio is a financial ratio that measures a company's ability to pay off its current liabilities with its current assets. The correct option is how many times you can pay off your current liabilities by using your liquid assets.

It reflects how many times a company can pay off its current liabilities by using its liquid assets. In other words, it shows whether a company has enough short-term assets to cover its short-term debts. The formula for the current ratio is current assets divided by current liabilities.

Current assets are assets that can be easily converted into cash within one year, such as cash, marketable securities, inventory, and accounts receivable. Current liabilities are debts that are due within one year, such as accounts payable, accrued expenses, and short-term debt.

A high current ratio is generally considered to be a good indicator of a company's liquidity and ability to pay off its debts. A ratio of 2:1 or higher is generally considered to be good. However, a very high current ratio may indicate that a company is not using its assets efficiently and may be missing out on investment opportunities.

In summary, the current ratio is an important measure of a company's liquidity and ability to pay off its current liabilities with its current assets. It is calculated by dividing current assets by current liabilities and a high current ratio is generally considered to be a good indicator of financial health. The correct option is how many times you can pay off your current liabilities by using your liquid assets.

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(4 points) 9. TSE company reported a Net income of $191 million for year N. Depreciation expense was $141 million. Net interest expense was $60 million. Tax rate is 30%. The Earnings before interest, taxes and depreciation (EBITDA) for this company is: *
A. $474 million
B. $447 million
C. $292 million
D. $190 million
E. None of the above

Answers

The answer choices match our calculated value, the answer is:  E. None of the above. To calculate EBITDA (Earnings before interest, taxes, and depreciation),.

We need to add back depreciation and net interest expense to the net income.

Net income = $191 million
Depreciation = $141 million
Net interest expense = $60 million

First, we need to find Earnings before tax (EBT) by adding back the net interest expense:
EBT = Net income + Net interest expense = $191 million + $60 million = $251 million

Now we need to find Earnings before interest and taxes (EBIT) by adding back the taxes:
Taxes = EBT * Tax rate = $251 million * 30% = $75.3 million
EBIT = EBT + Taxes = $251 million + $75.3 million = $326.3 million

Finally, we can calculate EBITDA by adding back depreciation:
EBITDA = EBIT + Depreciation = $326.3 million + $141 million = $467.3 million

Since none of the answer choices match our calculated value, the answer is:  Your answer: E. None of the above

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T/F analytics help managers understand what is happening in the organization by analyzing trends and patterns in data. descriptive predictive prescriptive data warehouse

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The given statement-''analytics help managers understand what is happening in the organization by analyzing trends and patterns in data. descriptive predictive prescriptive data warehouse'' is True.

Analytics are useful tools for managers to gain insights into what is happening in their organization by analyzing trends and patterns in data. There are three main types of analytics: descriptive, predictive, and prescriptive.

Descriptive analytics focus on summarizing and presenting historical data to provide insights into past performance. This type of analytics is often used to identify trends and patterns in data that can help managers understand what has happened in the past.

Predictive analytics, on the other hand, use statistical models and machine learning algorithms to make predictions about future events based on historical data. This type of analytics is often used to forecast future trends and to identify potential risks and opportunities.

Prescriptive analytics takes things a step further by using machine learning algorithms and optimization techniques to provide recommendations on what actions managers should take in order to achieve specific outcomes. This type of analytics is often used to help managers make decisions in complex and uncertain situations.

In order to carry out these types of analytics, companies often use a data warehouse to store and manage their data. A data warehouse is a central repository of data that is designed to support business intelligence activities such as analytics, reporting, and data mining.

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Founders Resources is preparing its cash budget for July. The budgeted beginning cash balance is $43,000. Budgeted cash receipts total $182,000 and budgeted cash disbursements total $179,000. The desired ending cash balance is $50,000. The company can borrow up to $160,000 at any time from a local bank, with interest not due until the following month.
Prepare the company's cash budget for July in good form. Make sure to indicate what borrowing, if any, would be needed to attain the desired ending cash balance.

Answers

Here is the cash budget for July for Founders Resources.Based on the above cash budget.

Founders Resources has a net cash inflow of $46,000 for the month of July. However, the desired ending cash balance is $50,000, which means that the company needs to borrow $110,000 to meet its cash requirements for the month. With the maximum borrowing capacity of $160,000, the company can meet its cash needs without any issue. However, it is worth noting that the ending cash balance would be negative at ($64,000) if the company does not borrow any funds.Capacity can refer to several different things depending on the context, but generally it refers to the maximum amount that something can hold, produce, or sustain.In the context of manufacturing, capacity may refer to the maximum amount of goods that a factory can produce within a given period of time. This could be measured in units of production per hour, day, or week, for example.In the context of transportation, capacity may refer to the maximum number of passengers or amount of cargo that a vehicle, such as a plane, train, or truck, can carry.

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Thor youtart with a balance of $570 on your credit card. During the month your charge $200 and make a payment of $400. During the second on you change and make a payment of $280. Assume that your dit card charges a 204 APR Complete the following the found your answers to the Prev preyous balance France Charge Purchase Payments New Balance Montti 1 Month 2 3. (-/11.8 Points] DETAILS MY NOTES ASK YOUR TEACHER PRACTICE ANOTHER You have credit card with an APR 20 The payment 120 mm Davant Complete the buyers to the nearest Fine Chan Blue Balan Monili . M
preyous balance France Charge Purchase Payments New Balance Montti 1 Month 2 3.

Answers

The interest is calculated based on the previous balance, so it increases as the balance is carried over from one month to the next.

Month 1:

Previous balance: $570.00

Charge: $200.00

Payment: $400.00

Interest: $5.70 ($570.00 x 0.20 x 1/12)

New balance: $375.70 ($570.00 + $200.00 - $400.00 + $5.70)

Month 2:

Previous balance: $375.70

Charge: $0.00

Payment: $280.00

Interest: $6.26 ($375.70 x 0.20 x 1/12)

New balance: $101.96 ($375.70 + $0.00 - $280.00 + $6.26)

Month 3:

Previous balance: $101.96

Charge: $0.00

Payment: $0.00

Interest: $2.04 ($101.96 x 0.20 x 1/12)

New balance: $104.00 ($101.96 + $0.00 - $0.00 + $2.04)

Therefore, the answers for the table are:

Previous balance: $570.00, $375.70, $101.96

Charge: $200.00, $0.00, $0.00

Purchase payments: $400.00, $280.00, $0.00

New balance: $375.70, $101.96, $104.00

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house a and house b are the same size, but located in different neighborhoods: house b is five miles closer to boston than house a. if the selling price of house a is $450,000, what would we expect to be the selling price of house b?

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To estimate the selling price of House B, we should consider the impact of its location on the price.

Since House B is five miles closer to Boston than House A, it's likely that House B will have a higher selling price due to its more convenient location.

However, without additional information about the real estate market in these neighborhoods, we cannot accurately determine the exact selling price of House B.

Factors such as neighborhood amenities, demand, and property condition also play a significant role in determining the selling price.

In summary, we can expect House B to have a higher selling price than House A, but we need more information to provide an exact amount.

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Explain for me what the Food and Drugs Administration is andsome of its major role in the healthcare industry in thiscountry.

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The Food and Drug Administration (FDA) is a regulatory agency within the US Department of Health and Human Services.

It is responsible for protecting public health by ensuring the safety, efficacy, and security of food, drugs, medical devices, and other products. The FDA plays a major role in the healthcare industry in the country by regulating the development, manufacturing, and distribution of medical products.

One of the major roles of the FDA is to approve new drugs and medical devices before they can be marketed and sold to consumers. The FDA evaluates the safety and effectiveness of new products through rigorous testing and clinical trials. It also monitors and regulates the quality of drugs and medical devices already on the market, by reviewing adverse event reports, conducting inspections, and enforcing compliance with regulations.

The FDA also plays a critical role in ensuring the safety of the food supply in the US. The agency sets standards for food labeling, and monitors food production, distribution, and safety. The FDA also regulates the use of food additives, food contact substances, and dietary supplements.

Overall, the FDA’s major role in the healthcare industry is to protect public health by ensuring the safety and efficacy of food, drugs, and medical devices, and by regulating the industry to prevent harm to consumers.

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money must be very difficult to counterfeit; it means that it should be hard to:

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Money must indeed be difficult to counterfeit, as this ensures the stability and trustworthiness of a nation's currency.

When money is hard to counterfeit, it means that it should be challenging to:

1. Replicate: High-quality materials and intricate designs make it difficult for counterfeiters to produce identical copies. Security features like watermarks, holograms, and micro-printing add layers of complexity that are hard to duplicate.

2. Circulate: Strict regulations and systems are in place to monitor and track the flow of money. Banks, retailers, and law enforcement agencies work together to identify and remove counterfeit bills from circulation.

3. Pass detection: Advanced technology is used to identify counterfeit money. Currency validators in banks, retail establishments, and ATMs use UV lights, magnetic ink detection, and other methods to authenticate notes and reject counterfeits.

4. Imitate security features: Modern currencies incorporate multiple security features that are challenging to reproduce. Examples include color-shifting ink, hidden images, and intricate patterns that are only visible under certain conditions.

5. Acquire equipment: High-quality printing equipment and materials used in producing genuine currency are often difficult to obtain, making it harder for counterfeiters to create convincing fakes.

6. Avoid legal consequences: Counterfeiting money is a serious criminal offense that carries severe penalties. Strict laws and vigilant enforcement discourage individuals from engaging in this illicit activity.

By ensuring that money is hard to counterfeit, governments and financial institutions maintain the integrity of their currency, protecting both consumers and the broader economy from the negative impacts of counterfeit money.

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: Rene Corporation is VAT registered and a holder of a franchise from the government engaged in the business of supplying water to several towns in the region. As recorded in its books, its total gross receipts during the month from sale of water amounted to P2,520,000 while the receipts from the rental of its equipment amounted to P280,000. In addition, they also incurred rental and advertising income of P 1,700,000. The operating expenses amounted to P2,000,000, 45% of which was paid to VAT-registered persons. < How much is the VAT payable?
CHOICES OF ANSWERS:
185,300
237,600
190,080
129,600

Answers

The VAT payable can be calculated as follows:
Total gross receipts from the sale of water = P2,520,000
Add: Gross receipts from the rental of equipment = P280,000
Add: Gross receipts from rental and advertising income = P1,700,000
Total gross receipts = P4,500,000
Operating expenses (excluding VAT) = P2,000,000
45% of operating expenses paid to VAT-registered persons = 0.45 x P2,000,000 = P900,000
Total input VAT = 12% x P900,000 = P108,000
Total output VAT = 12% x P4,500,000 = P540,000
VAT payable = Total output VAT - Total input VAT = P540,000 - P108,000 = P432,000
Therefore, the answer is 237,600 (choice 2).

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what decision should be made based on the minimax regret criterion?

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The minimax regret criterion is a decision-making approach that considers the potential regret associated with each decision. In this approach, the decision that minimizes the maximum regret is chosen.

To make a decision using this criterion, one must first identify all possible outcomes and their associated regrets for each decision. The decision that results in the lowest maximum regret is then chosen.

For example, suppose a company must decide whether to invest in a new product line. The possible outcomes include high demand and high profits, low demand and low profits, and low demand and high costs. If the company chooses not to invest, the potential regret is missing out on high profits. If they invest and demand is low, the regret is the loss of money spent on the investment.

Based on the minimax regret criterion, the decision that minimizes the maximum regret should be chosen. In this case, the company should weigh the potential regret associated with each decision and choose the option that minimizes the maximum regret.

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Adonis Corporation issued 10-year, 7% bonds with a par value of $250,000. Interest is paid semiannually. The market rate on the issue date was 6%. Adonis received $268,603 in cash proceeds. Which of the following statements is true?
a. Adonis must pay $250,000 at maturity plus 20 interest payments of $7,500 each.
b. Adonis must pay $250,000 at maturity plus 20 interest payments of $8,750 each.
c. Adonis must pay $250,000 at maturity and no interest payments.
d. Adonis must pay $268,603 at maturity plus 20 interest payments of $8,750 each.
e. Adonis must pay $268,603 at maturity and no interest payments.

Answers

Adonis Corporation issued 10-year, 7% bonds with a par value of $250,000.Adonis must pay $250,000 at maturity plus 20 interest payments of $8,750 each.

Adonis Corporation issued 10-year, 7% bonds with a par value of $250,000. This means that the face value of the bonds is $250,000, and the annual interest rate is 7%. Interest is paid semiannually, so there will be 2 interest payments per year for 10 years, totaling 20 interest payments. The market rate on the issue date was 6%, but the bond's interest rate is 7%. Since the bond's interest rate is higher than the market rate, investors are willing to pay a premium for the bond. This is why Adonis received $268,603 in cash proceeds instead of the par value of $250,000. The interest payment for each period can be calculated as follows:  Interest payment = Par value × Annual interest rate × (1/Number of payments per year) Interest payment = $250,000 × 7% × (1/2) = $8,750 At the end of the 10-year period, Adonis must pay back the bond's par value of $250,000, not the cash proceeds of $268,603.

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Question 20 Which of the following is considered to be a visible cost that companies may incur when ethical wrongdoing is discovered and punished? a. Civil penalties b. Legal and investigative costs c.Costs of providing remedial education and ethics training to company personnel d.Costs of taking corrective actions

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The correct option is a).

Civil penalties are considered to be a visible cost that companies may incur when ethical wrongdoing is discovered and punished.

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nike's goal to increase sales of its running shoes by 25 percent during the first six months of the new fiscal year is an example of a .

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Nike's goal to increase sales of its running shoes by 25 percent during the first six months of the new fiscal year is an example of a specific, measurable, achievable, relevant, and time-bound (SMART) business goal.

This goal is specific because it outlines the particular product line that the company wants to increase sales for, running shoes. It is also measurable because the company has set a specific target, a 25 percent increase, that it can measure its progress against. The goal is also achievable because it is based on the company's previous sales data and market research that suggest a potential demand for running shoes. Additionally, Nike has a strong brand and a proven track record of success in the sports apparel market, making it more likely to achieve this goal. Moreover, the goal is relevant to Nike's overall business strategy, which is to be a leader in the sports apparel industry. By increasing sales of running shoes, Nike is positioning itself to meet the needs of its target market, which is health and fitness enthusiasts. Finally, the goal is time-bound because Nike has set a specific deadline, the first six months of the new fiscal year, to achieve its objective. This timeframe helps the company focus its efforts and resources to achieve its goal within a specific period. Overall, Nike's goal is an excellent example of a SMART business goal that is specific, measurable, achievable, relevant, and time-bound.

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Bank Reconciliation
Shown below is the information needed to prepare a bank reconciliation for Warren Electric at December 31:
1.At December 31, cash per the bank statement was $15,200; cash per the company’s records was $17,500.
2.Two debit memoranda accompanied the bank statement: service charges for December of $25, and a $775 check drawn by Jane Jones marked "NSF."
3.Cash receipts of $10,000 on December 31 were not deposited until January 4.
4.The following checks had been issued in December but were not included among the paid checks returned by the bank: no. 620 for $1,000, no. 630 for $3,000, and no. 641 for $4,500.
a.Prepare a bank reconciliation at December 31.

Answers

The difference between the two adjusted cash balances represents the reconciling items that need further investigation or correction. In this case, the difference is $17,000

To prepare a bank reconciliation for Warren Electric at December 31, we need to compare the cash balance per the bank statement with the cash balance per the company's records and make necessary adjustments. Here's a brief summary of the bank reconciliation:

Cash per bank statement: $15,200Cash per company's records: $17,500

Debit Memoranda:

Service charges for December: $25NSF (Non-Sufficient Funds) check drawn by Jane Jones: $775

Adjustments for timing differences:

Cash receipts of $10,000 on December 31 were not deposited until January 4. This amount needs to be deducted from the company's records.

Outstanding checks:

Check no. 620: $1,000Check no. 630: $3,000Check no. 641: $4,500

These checks were issued in December but have not yet cleared the bank. They need to be added to the company's records.

Now, let's calculate the bank reconciliation:

Cash per bank statement: $15,200Add: Outstanding checks: $1,000 + $3,000 + $4,500 = $8,500Adjusted cash per bank statement: $15,200 + $8,500 = $23,700

Cash per company's records: $17,500

Less: Adjustments for timing differences: $10,000

Less: Debit memoranda: $25 + $775 = $800

Adjusted cash per company's records: $17,500 - $10,000 - $800 = $6,700

Finally, we compare the adjusted cash balances:

Adjusted cash per bank statement: $23,700Adjusted cash per company's records: $6,700

The difference between the two adjusted cash balances represents the reconciling items that need further investigation or correction. In this case, the difference is $17,000 ($23,700 - $6,700).

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Question 4: 10 Points Discuss the important characteristics about the Accounts Payable Turnover Ratio in terms of what changes it brings to an organization's attention and how an organization needs to go about it? Answer Space 2

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The Accounts Payable Turnover Ratio (APTR) is a vital financial metric that measures the efficiency of an organization in managing its accounts payable, reflecting the company's ability to pay off its suppliers. This ratio helps organizations understand their liquidity position and analyze their cash management strategies.

An essential characteristic of APTR is that it reveals the company's payment pattern towards its suppliers. A high ratio indicates frequent and prompt payments, whereas a low ratio suggests delayed payments, which could strain the organization's relationship with suppliers and negatively impact its credit reputation.

Changes in the APTR can draw an organization's attention to several aspects, such as evaluating supplier terms, managing cash flow effectively, and negotiating favorable credit terms. It can also help assess the company's competitiveness in comparison to industry peers.

To improve its APTR, an organization should focus on streamlining its payment processes, enhancing its working capital management, and fostering better relationships with suppliers. It is also crucial to monitor the APTR regularly and compare it with industry benchmarks to gauge the organization's performance and identify areas for improvement.

In conclusion, the Accounts Payable Turnover Ratio is an important financial metric that organizations should closely monitor to ensure efficient cash management and maintain strong supplier relationships. By identifying changes in APTR and taking necessary actions, companies can improve their overall financial performance and sustainability.

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Discuss the important characteristics about the Accounts Payable Turnover Ratio in terms of what changes it brings to an organization's attention and how an organization needs to go about it?

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a wrongful act against a person or organization is considered what type of violation?

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A wrongful act against a person or organization is considered a "tort" violation.

The act of using harmful or unjust which is against legal rights or duties. Violations of many different kinds may occur at work. All of them have the potential to hurt workers or the business as a whole, some more seriously than others.

A tort violation occurs when one party's wrongful act causes harm or damage to another party, and the injured party may seek legal remedies such as compensation or an injunction.

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a nondiscriminating pure monopolist finds that it can sell its 82nd unit of output for $12. we can surmise that the marginalmultiple choicerevenue of the 82nd unit is less than $12.revenue of the 82nd unit is also $12.revenue of the 82nd unit is greater than $12.cost of the 82nd unit is also $12.

Answers

Since the pure monopolist is non-discriminatory, it can only charge one price for all its units of output. Therefore, if it can sell its 82nd unit for $12, then we can assume that the marginal revenue of the 82nd unit is less than $12.

This is because a monopolist must lower the price of all units to sell more units, so the 82nd unit likely required a lower price to entice a buyer.

However, we cannot determine whether the revenue of the 82nd unit is greater than or equal to $12, as we do not know the price at which the monopolist sold the previous 81 units. The cost of the 82nd unit is also unknown, as it may differ from the costs of the previous units produced.

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The digital marketing mix the digital marketing mix this activity is important because digital marketing can help companies reach target markets more easily, affordably, and quickly than with traditional marketing tactics. a. True
b. False

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This true is because the digital marketing mix is indeed important for companies as it provides a variety of tools and tactics that can help them effectively reach and engage with their target markets in a more efficient and cost-effective way compared to traditional marketing methods. The correct option to this question is A.

Digital marketing channels such as social media, email marketing, search engine optimization, and content marketing allow businesses to connect with their customers on a more personal and interactive level, which can lead to higher engagement, brand awareness, and sales.  

The digital marketing mix is a crucial component of any modern marketing strategy and can provide businesses with a competitive edge in today's digital landscape.

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which of the following is not a criterion for price discrimination at the movies? choose one: a. time of the show b. senior citizen or student discounts c. day of the week d. movie genre e. concession pricing

Answers

Price discrimination does not depend on the movie genre and is not a criterion for price discrimination. Option D is the correct answer.

Price discrimination is said when a discount is given to Children and old people who are over a certain age and the discount is not given to people whose age does not match the criteria. For Movie theaters, this type of price discrimination is used because children and the elderly have less income when compared to adults and they can't afford a full-price ticket.

Coupons, age discounts, occupational discounts, retail incentives, gender-based pricing, and financial aid all this come under Price discrimination. The airline industry is one example of price discrimination. The movie genre is about the type of  is like drama, action, comedy, etc not a criterion for price discrimination

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Question 12 1 pts When McDonalds comes up with a new drink or entrée for its fast food stores, they often market it in a dozen or so of their outlets. When they do this, they are engaged in: pretesting O evaluation of results product development test marketing product launch

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When McDonald's comes up with a new drink or entrée and markets it in a dozen or so of their outlets, they are engaged in test marketing.

Test marketing is the process of introducing a new product or service to a limited number of outlets in order to evaluate its potential success before launching it on a larger scale.

This allows the company to gather valuable feedback from customers and make any necessary adjustments before a full-scale product launch.
In this scenario, McDonald's uses test marketing to assess the viability and potential success of their new drink or entrée in a controlled environment before making it widely available. This helps them to refine the product and marketing strategy to maximize the chances of success.

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tonto company purchased property for $120,000. the property included a building, equipment and land. the building was appraised at $70,000, the land at $49,000, and the equipment at $22,000. what is the amount of cost to be allocated to the building in the accounting records?

Answers

The amount of cost to be allocated to the building in the accounting records is $59,568.

To determine the amount of cost to be allocated to the building in the accounting records for Tonto Company, you need tofollow these steps:

1. Calculate the total appraised value of all assets:

  Building: $70,000

  Land: $49,000

  Equipment: $22,000

  Total appraised value: $70,000 + $49,000 + $22,000 = $141,000

2. Calculate the allocation percentage for each asset:

  Building: $70,000 / $141,000 = 0.496 (rounded to 3 decimal places)

  Land: $49,000 / $141,000 = 0.348 (rounded to 3 decimal places)

  Equipment: $22,000 / $141,000 = 0.156 (rounded to 3 decimal places)

3. Allocate the purchase price to each asset using their allocation percentages:

  Building: $120,000 * 0.496 = $59,520

  Land: $120,000 * 0.348 = $41,760

  Equipment: $120,000 * 0.156 = $18,720

So, the amount of cost to be allocated to the building in the accounting records is $59,520.

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The balance of the Estimated Warranty Liability account was $13,350 on January 1, 2019, and $18,900 on December 31, 2019. Based on an analysis of warranty claims during the past several years, this year's warranty provision was established at 1.5% of sales, and sales during the year were $1,470,000.
Required:
What amount of warranty expense will appear on the income statement for the year ended December 31, 2019?
What were the actual costs of servicing products under warranty during the year?

Answers

The actual costs of servicing products under warranty during the year ended December 31, 2019, were $16,500.

To calculate the amount of warranty expense that will appear on the income statement for the year ended December 31, 2019, we need to use the following formula:

Warranty Expense = Sales x Warranty Provision Rate

Warranty Provision Rate = 1.5% of Sales

Sales for the year ended December 31, 2019 = $1,470,000

Warranty Expense = $1,470,000 x 1.5% = $22,050

Therefore, the amount of warranty expense that will appear on the income statement for the year ended December 31, 2019, is $22,050.

To calculate the actual costs of servicing products under warranty during the year, we need to use the following formula:

Actual Warranty Costs = Beginning Warranty Liability + Warranty Expense - Ending Warranty Liability

Beginning Warranty Liability on January 1, 2019 = $13,350

Warranty Expense = $22,050 (calculated above)

Ending Warranty Liability on December 31, 2019 = $18,900

Actual Warranty Costs = $13,350 + $22,050 - $18,900 = $16,500.

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if a stock price goes from $10 to $12 from january 1st to january 31; from $12 to $9 from february 1st to february 28th; and from $9 to $15 from march 1st to march 31th. is the price change of the stock $10 to $15 from january 1st to march 31st a straight line?

Answers

The price change of the stock $10 to $15 from january 1st to march 31st is not a straight line.


Based on the information provided, the stock price went through the following changes:
1. From $10 to $12 from January 1st to January 31st.
2. From $12 to $9 from February 1st to February 28th.
3. From $9 to $15 from March 1st to March 31st.

While the overall price change is from $10 to $15 between January 1st and March 31st, it is not a straight line. It is not a straight line because the price fluctuated during this period, increasing, then decreasing, and finally increasing again. The price change pattern is not linear and cannot be represented by a straight line.

Therefore, with the fluctuation price during period, the stock $10 to $15 from january 1st to march 31st is not a straight line.

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