Based on the provided information, when Adam transfers property to Swift Corporation in exchange for 90% of the stock, the transaction involves the property's adjusted basis, fair market value, and the assumed liability.
To calculate the basis of the Swift stock to Adam, we use the following formula:
Adjusted basis of transferred property - liability assumed by Swift + gain recognized = basis of Swift stock to Adam.
In this case, the gain recognized is $0 because Adam's transfer of property for Swift's stock is considered a tax-free exchange (assuming it meets the requirements under Section 351 of the Internal Revenue Code).
So, the basis of the Swift stock to Adam will be: $50,000 (adjusted basis) - $60,000 (liability) + $0 (gain recognized) = -$10,000. However, the basis cannot be negative, so the basis of the Swift stock to Adam will be $0.
For the basis of the property to Swift Corporation, it's calculated using the formula:
Adjusted basis of transferred property + gain recognized by transferor - liability assumed by Swift = basis of property to Swift.
In this case, it will be: $50,000 (adjusted basis) + $0 (gain recognized) - $60,000 (liability) = -$10,000. As the basis of the property cannot be negative, the basis of the property to Swift Corporation will be adjusted to the amount of the liability assumed, which is $60,000.
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________ is the ability to continue maximum effort requiring prolonged effort over time.
A) Stamina
B) Static strength
C) Explosive strength
D) Dynamic strength
E) Balance
A) Stamina is the ability to continue maximum effort requiring prolonged effort over time.
Stamina is an important component of physical fitness and is often associated with aerobic endurance exercise, such as running, cycling, and swimming. It is also a critical factor in many sports and activities that require sustained effort over time, such as distance running, hiking, and cross-country skiing. Stamina can be developed through regular exercise and training that gradually increases the intensity and duration of the activity. Building stamina can also have numerous health benefits, such as reducing the risk of heart disease, improving mental health, and increasing overall energy levels.
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when consumers are unhappy with a product, they may file a complaint in the form of legal action, better business bureau complaint, or publishing a negative review. this is called a response. question 9 options: third-party voice private complaint
When consumers are unhappy with a product, they may file a complaint in the form of legal action, Better Business Bureau complaint, or publishing a negative review. This is called a third-party voice private complaint.
A third-party voice private complaint occurs when a dissatisfied consumer decides to take action against a company or product by resorting to one of three methods: legal action, filing a complaint with the Better Business Bureau, or sharing their negative experience through a review.
This response allows the consumer to express their concerns and dissatisfaction with the aim of either resolving the issue or warning others about the product or service.
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Private property
A. are not legally enforceable in the U.S.
B. does everything indicated in the other choices.
C. discourages exchange since people must get government approval before buying property.
D. are sustained by the right of individuals to designate who will receive their property when they die.
Private property refers to assets, possessions, and resources that are owned by individuals or businesses, rather than by the government or public institutions. In the United States, private property rights are legally enforceable and protected by the Constitution.
This means that individuals have the right to own and control their property, use it as they see fit, and exclude others from using it without their permission. Private property rights are sustained by the right of individuals to designate who will receive their property when they die, which is known as the right of inheritance. This provides a strong incentive for individuals to invest in and improve their property, as they can pass it on to their heirs. Private property also plays a crucial role in encouraging exchange and trade, as individuals are able to buy, sell, and exchange their property with others in the marketplace. While there may be some government regulations and restrictions on the use and transfer of private property, these are typically designed to protect public health, safety, and welfare, rather than to discourage exchange or limit individual rights. Overall, private property rights are a fundamental aspect of American society and are critical to promoting individual liberty, economic growth, and social welfare.
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Question 8 2 pts Fuji Ltd, a printing business, has received an enquiry from a potential customer for the quotation of a price for a job. The following costs are predicted to occur during the next financial year with a total of 80 machine hours and 50 direct labour hours: Direct material cost $10,000 Direct labour cost $8.000 Overheads $35,000 A first estimate of the direct material cost for the particular job is $1,000 and the job would consume 8 machine hours and 10 direct labour hours. Using machine hour basis to charge the overheads, calculate the full cost of the job. O $2,600 O $6.100 O $4,500 O $9,600
To calculate the full cost of the job of Fuji Ltd, we will first determine the overhead cost per machine hour. Then, we will add the direct material cost, direct labor cost, and overhead cost for the particular job.
1. Overhead cost per machine hour:
Total overheads / Total machine hours = $35,000 / 80 = $437.50 per machine hour
2. Overhead cost for the job:
Overhead cost per machine hour * Job's machine hours = $437.50 * 8 = $3,500
3. Direct labor cost for the job:
Direct labor cost / Total labor hours = $8,000 / 50 = $160 per labor hour
Direct labor cost for the job = $160 * 10 = $1,600
4. Full cost of the job:
Direct material cost + Direct labor cost + Overhead cost = $1,000 + $1,600 + $3,500 = $6,100
Therefore, the full cost of the job is $6,100.
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a production environment where a good or service can be put together, from standard components, after receipt of the customer order. -- a production environment where products are made after receipt of the customer order. key components typically include a combination of standard items and custom items.
The production environment you're describing is known as a make-to-order system. In this type of system, the production process begins only after receiving a customer order.
The key feature of this system is that products are made according to customer specifications, which may include a combination of standard and custom items.
To efficiently carry out the make-to-order production process, companies typically use standard components for some parts of the product.
For example, a computer manufacturer may have standard components such as CPUs, motherboards, and hard drives that they use in many different types of computers.
However, the final product will be customized based on the customer's specific needs, such as the amount of RAM or the type of graphics card.
Make-to-order systems can be beneficial for companies because they reduce the need for inventory storage and minimize the risk of overproduction. They also allow companies to offer more personalized products to their customers, which can be a competitive advantage.
However, this type of production process can be more complex and may require more advanced planning and coordination between different departments within the company.
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on may 7, juanita construction provides services on account to michael wolfe for $2,700. michael pays for those services on may 13.Required: For Juanita Construction, record the service on account on May 7 and the collection of cash on May 13.
To record the service on account provided by Juanita Construction to Michael Wolfe on May 7 for $2,700, we will make the following journal entry:
May 7
Accounts Receivable - Michael Wolfe $2,700
Service Revenue $2,700
This entry increases Juanita Construction's Accounts Receivable account (an asset account) by $2,700 and its Service Revenue account (a revenue account) by the same amount.
To record the collection of cash from Michael Wolfe on May 13, we will make the following journal entry:
May 13
Cash $2,700
Accounts Receivable - Michael Wolfe $2,700
This entry decreases Juanita Construction's Accounts Receivable account (an asset account) by $2,700 and increases its Cash account (an asset account) by the same amount.
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9. The Theory X approach to management builds on the idea that worker and organizational interests are congruent.
The Theory X approach to management assumes that workers are inherently lazy and avoid work whenever possible, which is why they need to be closely managed and controlled. This approach is based on the assumption that worker and organizational interests are not necessarily congruent. Instead, management must create an environment in which workers are motivated by the promise of rewards or the threat of punishment.
According to Theory X, workers are not inherently motivated by the work itself, but rather by external factors such as pay, job security, and promotions. Therefore, managers must closely monitor workers to ensure that they are meeting their goals and following organizational policies and procedures.
While the Theory X approach may be effective in certain situations, it can also create a negative work environment in which workers feel demotivated and unappreciated. This can lead to decreased productivity and high turnover rates, which can ultimately harm the organization's bottom line.
In contrast, the Theory Y approach to management assumes that workers are inherently motivated and responsible and that their interests are congruent with those of the organization. Under this approach, management creates an environment in which workers are empowered to make decisions and take ownership of their work.
By adopting a Theory Y approach, organizations can create a positive work environment in which workers feel valued and engaged. This can lead to increased productivity, higher job satisfaction, and improved organizational performance. Ultimately, it is up to managers to choose the approach that best fits their organizational culture and goals.
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Pat Middleton owns a non-depreciable capital asset that originally cost $20,000 and is now worth $80,000. Pat transfers the asset to a corporation, receiving as payment debt of $60,000 and preferred shares with a value of $20,000. Pat and the corporation will elect under Section 85 to avoid paying tax on the transfer.
Determine the appropriate transfer price under Section 85. Determine the cost of the asset for the corporation, and the ACB and PUC for the preferred shares received as consideration.
Under Section 85, a transfer of a capital asset can take place at a "fair market value" (FMV) price, which is the price that a willing buyer would pay a willing seller in an open market transaction. In this case, the FMV of the asset is $80,000.
To avoid paying tax on the transfer, Pat and the corporation will elect to use Section 85, which allows for the transfer to take place at a price that is equal to the FMV of the asset.
The transfer price of the asset will be $80,000, which will be divided into debt of $60,000 and preferred shares with a value of $20,000.
For the corporation, the cost of the asset will be $80,000, which is also the ACB (adjusted cost base) of the asset. This means that if the corporation were to sell the asset in the future, it would use this cost to calculate any capital gain or loss.
The PUC (paid-up capital) of the preferred shares will be $20,000, which is also the fair market value of the shares received as consideration. This means that if the corporation were to issue more shares in the future, it would use this value to calculate the value of the new shares.
In summary, the appropriate transfer price under Section 85 for Pat's non-depreciable capital asset is $80,000, with $60,000 in debt and $20,000 in preferred shares. The cost of the asset for the corporation will also be $80,000, and the PUC of the preferred shares will be $20,000.
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21. Companies that are trying to lower employee absenteeism are:
Companies that are trying to lower employee absenteeism may implement various strategies such as offering flexible work schedules, providing incentives for good attendance.
Creating a positive and engaging work environment, offering employee wellness programs, and addressing the root causes of absenteeism through employee support programs and open communication channels. Additionally, companies may also consider implementing policies and procedures that support work-life balance and encourage employees to take care of their physical and mental health. Overall, the key to reducing absenteeism is to create a supportive and healthy work culture that values and prioritizes the well-being of its employees.
Companies that are trying to lower employee absenteeism are implementing strategies to enhance employee engagement, promote a healthy work environment, and offer support systems for work-life balance. These efforts aim to reduce unplanned absences and improve overall productivity.
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Which of the following product development strategies has the highest product development risk?
a.new internally developed products
b.joint ventures
c.acquiring the developer
d.purchasing technology
e.alliances
Among the product development strategies you've listed, the one with the highest product development risk is: a. New internally developed products
This strategy has the highest risk because it requires the company to invest resources in creating a completely new product, without any external assistance or proven market success. The uncertainties associated with the development process, such as cost overruns, delays, and potential failure to meet consumer needs, contribute to the higher risk compared to other strategies like joint ventures, acquisitions, technology purchases, and alliances, which typically involve collaborating with or leveraging existing resources from other companies.
A product development strategy is the process of introducing a new product into an existing or new market by doing ongoing market research, extensive testing, and rigorous product idea preparation. It might also refer to introducing a current product into a new market.
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Among the listed product development strategies, the highest product development risk is associated with new internally developed products (option A).
This approach involves creating a completely new product from scratch, which can be both time-consuming and resource-intensive. Developing a new product in-house requires a significant investment in research and development, as well as a thorough understanding of the market and customer needs.
In comparison, joint ventures (option B), acquiring the developer (option C), purchasing technology (option D), and forming alliances (option E) all involve collaborating or acquiring resources from external sources, thereby reducing some of the risks associated with product development. These strategies allow companies to leverage the expertise, technology, or market presence of their partners, making the development process more efficient and increasing the chances of success.
However, it is important to note that each of these strategies has its own set of risks and challenges. The success of any product development strategy ultimately depends on factors such as market demand, effective management of resources, and the ability to adapt to changing market conditions.
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In a report about the stages of the product life cycle, brand manager Erica Shannon would not include
maturity
growth
development
decline
In a report about the stages of the product life cycle, brand manager Erica Shannon would not include (C) development stage.
However, it is possible that she might exclude the development stage, as this stage is not typically considered one of the standard stages of the product life cycle. Instead, the standard stages of the product life cycle are usually considered to be introduction, growth, maturity, and decline.
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The ________ provides a means to account for international cash flows in a standardized and systematic manner.A) parity conditionsB) asset approachC) balance of paymentsD) International Fisher Effect
The balance of payments provides a means to account for international cash flows in a standardized and systematic manner. The correct option is C.
The balance of payments is a record of all economic transactions between a country and the rest of the world. It helps to keep track of the inflows and outflows of goods, services, and financial capital across countries.
The balance of payments consists of two main components: the current account and the capital account. The current account records transactions related to trade, income, and unilateral transfers, while the capital account records transactions related to financial assets and liabilities.
A) Parity conditions refer to economic theories that establish relationships between exchange rates, interest rates, and inflation rates to determine the relative value of currencies.
B) The asset approach is a method used to determine the value of a currency based on the demand for and supply of financial assets denominated in that currency.
D) The International Fisher Effect is a theory that suggests a relationship between the nominal interest rate differentials between two countries and the expected change in their exchange rates.
In summary, the balance of payments is the term that best fits the description of a means to account for international cash flows in a standardized and systematic manner.
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Complete question:
The ________ provides a means to account for international cash flows in a standardized and systematic manner.
A) parity conditions
B) asset approach
C) balance of payments
D) International Fisher Effect
cost analysis 1: flagstone piston corporation's products are replacement automobile parts. flagstone had experienced a rather stable growth in sales in recent years and had been required to increase its capacity regularly. the executive officers had been asked by flagstone's directors to formulate a proposal for expansion and price adjustments. quarterly data were obtained on manufacturing costs per unit (in hundreds of dollars), production level (a proportion of the total capacity), and the index of direct material and direct labor costs for a five-year period (these data are in the worksheet entitled piston5). begin by fitting the linear model to predict the average cost per unit (cost) from production level (x1
Cost Analysis: Flagstone Piston Corporation
Introduction
Flagstone had experienced a rather stable growth in sales in recent years and had been required to increase its capacity regularlyThe executive officers had been asked by Flagstone's directors to formulate a proposal for expansion and price adjustmentsQuarterly data were obtained on manufacturing costs per unit (in hundreds of dollars), production level (a proportion of the total capacity), and the index of direct material and direct labor costs for a five-year periodGoals
Analyze the historical data to gain insights into Flagstone's current situationEstimate the average cost per unit (cost) from production level (x1)Formulate a proposal for expansion and price adjustmentsData Collection
Collect historical data on manufacturing costs per unit, production level, and the index of direct material and direct labor costsGather other relevant information related to Flagstone's current situationMethodology
Determine the best model to predict the average cost per unit from production levelSelect the appropriate linear model for the analysisUse regression analysis to evaluate the dataAnalysis
Interpret the meaning of the regression coefficientsAnalyze the correlation between the variablesExamine the goodness-of-fit of the linear modelResults
Calculate the regression coefficientsAssess the validity of the modelExamine the R-squared and adjusted R-squared valuesConclusion
Summarize the findings of the analysisDiscuss the implications of the resultsMake recommendations for expansion and price adjustmentsLimitations
Identify potential limitations of the analysisDiscuss the possibility of introducing bias in the resultsHighlight potential areas of improvementFuture Work
Suggest potential areas of further researchOutline additional data that could be collectedPropose alternative methods of analysisTo know more about Cost Analysis refer here
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Scenario 13-3 Ziva is an organic brocolli farmer, but she also spends part of her day as a professional organizing consultant. As a consultant, Ziva helps people organize their houses. Due to the popularity of her home-organization services, Farmer Ziva has more clients requesting her services than she has time to help if she maintains her farming business. Farmer Ziva charges $40 an hour for her home-organization services. One spring day, Ziva spends 9 hours in her fields planting $130 worth of seeds on her farm. She expects that the seeds she planted will yield $300 worth of brocolli. Refer to Scenario 13-3. Ziva's accountant would calculate the total cost for the day of farming to equal O a. $130. b. $300. c. $40. d. $380.
Based on Scenario 13-3, Ziva's accountant would calculate the total cost for the day of farming to equal $380. Therefore, the correct option is D.
This is because Ziva spent 9 hours planting the seeds on her farm, which is equivalent to 9 hours of lost opportunity to earn money from her home-organization services. If Ziva charges $40 an hour for her home-organization services, then the total potential earnings she lost by spending 9 hours farming is 9 x $40 = $360.
In addition to the lost opportunity cost of $360, Ziva also spent $130 on the seeds for her farm. Therefore, the total cost for the day of farming is $360 + $130 = $490.
However, the question specifically asks for the "total cost for the day of farming," so we must subtract the expected yield of $300 from the total cost of $490 to find the actual cost for the day of farming.
$490 - $300 = $190
Therefore, the total cost for the day of farming is $190 + $190 = $380 which corresponds to option D.
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Which of the following reduces the burden of scarcity?
Economic growth
Population growth
Lower rates of inflation
Labor force growth
The term that reduces the burden of scarcity is economic growth. Economic growth refers to an increase in a country's output of goods and services over time, which in turn leads to increased standards of living and overall prosperity.
By generating more resources, economic growth can help alleviate the scarcity problem by providing more goods and services for individuals and businesses to consume.
Population growth, on the other hand, can increase the demand for resources, potentially exacerbating scarcity issues. More people require more resources, such as food, housing, and energy, which can strain the availability of these resources.
Lower rates of inflation can help maintain the purchasing power of money, but they do not directly address the issue of scarcity. Inflation refers to the general rise in prices of goods and services over time, which erodes the value of money. Lower inflation rates can help stabilize the economy but do not directly reduce the burden of scarcity.
Labor force growth can contribute to economic growth by increasing the number of people available to work, thus potentially increasing production. However, it does not directly reduce the burden of scarcity, as a growing labor force may also increase the demand for resources.
In conclusion, among the given options, economic growth is the most effective way to reduce the burden of scarcity, as it leads to an increase in available goods and services, benefiting individuals and businesses alike.
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In closing a request for a recommendation, you should include
A) an expression of appreciation.
B) a reminder as to why you need a recommendation.
C) key points you want the writer to include in the recommendation.
D) type of job being applied for.
E) skills needed for the job being applied for.
In closing a request for a recommendation, you should include. A) an expression of appreciation.
In closing a request for a recommendation, it is appropriate to include an expression of appreciation. This demonstrates gratitude and respect for the time and effort the writer will put into crafting a recommendation. A simple phrase such as "Thank you in advance for your time and assistance" can suffice.
While reminders about the purpose of the recommendation, key points, and the type of job being applied for can be helpful, these should generally be included earlier in the request. It is important to make it as easy as possible for the writer to understand what is needed and to provide any necessary information upfront.
Including a list of skills needed for the job being applied for is not typically necessary, as the writer of the recommendation should already have an understanding of the job requirements and the candidate's qualifications based on prior conversations or information provided in the reduced
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S= 2.30 27.32 40.17 60.23 4.16 At St. Algebra College, the math department ran some special sections of the freshman math course using a variety of innovative teaching techniques. Students were randomly assigned to either the tra- ditional sections or the experimental sections, and all students were given the same final exam. The results of the final are summarized here. What was the effect of the experimental course? = Traditional Experimental
X = 77.8 X = 76.8 S= 12.3 S= 6.2
N = 478 N = 465
The experimental course had a negative effect on final exam scores based on this difference alone.
To determine the effect of the experimental course, we need to compare the final exam scores of students in the traditional sections versus those in the experimental sections.
From the information given, we can see that the mean (X) final exam score for the traditional section was 77.8, while the mean final exam score for the experimental section was 76.8. However, we cannot simply conclude that the experimental course had a negative effect on final exam scores based on this difference alone. We need to consider the standard deviations (S) and sample sizes (N) as well.
The standard deviation for the traditional section was 12.3, while the standard deviation for the experimental section was only 6.2. This suggests that there was less variability in final exam scores among students in the experimental section. Additionally, the sample size for the traditional section was 478, while the sample size for the experimental section was slightly smaller at 465.
Given these factors, we cannot definitively determine the effect of the experimental course on final exam scores using only this information. We would need to conduct a formal statistical analysis, such as a t-test, to determine if the difference in means between the two sections is statistically significant. Additionally, we would need to consider other factors that may have influenced final exam scores, such as differences in student demographics or teacher quality.
In terms of APR, or annual percentage rate, this concept does not appear to be relevant to this scenario as it pertains to interest rates on loans or credit cards. Similarly, the term "traditional experimental" is not a commonly used phrase and does not have a clear meaning in this context.
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Exercise 20-1
On January 1, 2020, Blossom Corp., which uses IFRS, signs a 10-year, non-cancellable lease agreement to lease a specialty lathe from Liu Inc. The following information concerns the lease agreement.
1. The agreement requires equal rental payments of $85,476 beginning on January 1, 2020.
2. The lathe’s fair value on January 1, 2020, is $540,000.
3. The lathe has an estimated economic life of 12 years, with an unguaranteed residual value of $15,000. Blossom Corp. depreciates similar equipment using the straight-line method.
4. The lease is non-renewable. At the termination of the lease, the lathe reverts to the lessor.
5. Blossom’s incremental borrowing rate is 11% per year. The lessor’s implicit rate is not known by Blossom Corp.
6. The yearly rental payment includes $2,869.90 of executory costs related to insurance on the lathe.
1.
Using (1) factor tables, (2) a financial calculator, or (3) Excel functions, calculate the amount of the right-of-use asset and lease liability and prepare the initial entry to reflect the signing of the lease agreement. (Credit account titles are automatically indented when the amount is entered. Do not indent manually. If no entry is required, select "No Entry" for the account titles and enter 0 for the amounts. Round factor values to 5 decimal places, e.g. 1.25124 and final answers to 2 decimal places, e.g. 5,275.25.)
Prepare an amortization schedule for the term of the lease to be used by Blossom. Use Excel.
Prepare the journal entries on Blossom Corp.’s books to record the payments and expenses related to this lease for the years 2020 and 2021 as well as any adjusting journal entries at its fiscal year ends of December 31, 2020 and 2021. Blossom does not use reversing entries. (Credit account titles are automatically indented when the amount is entered. Do not indent manually. Round answers to 2 decimal places, e.g. 5,275.25.)
The right-of-use asset and lease liability, we need to find the present value of the lease payments. Using the straight-line method, the annual depreciation expense is (15,000) / 12 years = 854,760 (686,647.58, and that is the amount of the lease liability and the right-of-use asset.
Initial Journal Entry:
Right-of-Use Asset 686,647.58
Amortization Schedule:
Year Beginning Balance Interest Expense Depreciation Expense Payment Ending Balance
1 75,531.23 85,476.00 722,702.35 45,000.00 763,322.61
3 66,327.49 85,476.00 807,173.10 45,000.00 854,889.54
5 55,667.85 85,476.00 907,081.39 45,000.00 964,335.34
7 43,354.68 85,476.00 1,027,213.03 45,000.00 1,096,253.31
9 29,188.68 85,476.00 1,172,965.99 45,000.00 1,258,834.25
Journal Entries:
January 1, 2020:
Right-of-Use Asset 686,647.58
December 31, 2020:
Lease Expense (including executory costs of 87,345.90
Cash 1,869.90
Right-of-Use Asset Depreciation Expense 45,000.00
December 31, 2021:
Lease Expense (including executory costs of 89,215.80
Cash 3,739.80
Right-of-Use Asset Depreciation Expense : 45,000.00
The adjusting entries for December 31, 2020 and December 31, 2021 will be the same as the entries made on those dates, but will adjust for any difference between the actual executory costs and the estimated executory costs included in the lease payment.
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union bank lent $200,000 to wagner. union required wagner to obtain a life insurance policy naming union as beneficiary. while the loan was outstanding, wagner stopped paying the premiums on the policy. union paid the premiums, adding the amounts paid to wagner's loan. wagner died and the insurance company refused to pay the policy proceeds to union. union may:a.not recover the policy proceeds because it is not in privity of contract with the insurance company.b.not recover the policy proceeds because one cannot claim insurance for oneself.c.recover the policy proceeds because it is a creditor beneficiary.d.recover the policy proceeds because it is an incidental benef
Based on the information provided, union bank may be able to recover the policy proceeds because it is a creditor beneficiary.
This means that the life insurance policy was obtained as security for the loan and union bank had a vested interest in ensuring that the policy remained in force. Even though union bank was not in privity of contract with the insurance company, it may still be able to recover the policy proceeds as a beneficiary.
Union Bank lent money to Wagner and required him to obtain a life insurance policy naming Union as the beneficiary. This made Union a creditor beneficiary since they were intended to benefit from the insurance policy in case of Wagner's death. Since Wagner stopped paying the premiums and Union continued to pay them while adding the amounts to Wagner's loan, Union has the right to recover the policy proceeds from the insurance company.
Therefore, options (a) and (b) are incorrect. Option (c) correctly identifies union bank as a creditor beneficiary, while option (d) is incorrect as incidental beneficiaries do not have a vested interest in the policy proceeds.
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pletnenets co. has 10 employees, each of whom earns $2,000 per month and has been employed since january 1. fica social security taxes are 6.2% of the first $118,500 paid to each employee, and fica medicare taxes are 1.45% of gross pay. futa taxes are 0.6% and suta tasxes are 5.4% of the first $7,000 paid to each employee. prepare the march 31 journal entry to recored the march payroll taxes expenses.
The journal entry to record the March payroll taxes expenses for Merger Co. is: Payroll Taxes Expense $1,202.40.
Payroll Taxes Expense $1,202.40
FICA Social Security Taxes Payable (10 x $128.4 x 0.062) $793.68
FICA Medicare Taxes Payable (10 x $2,000 x 0.0145) $290.00
FUTA Taxes Payable (10 x $7,000 x 0.006) $42.00
SUTA Taxes Payable (10 x $7,000 x 0.054) $3,076.80
The payroll taxes expense is the total amount of all payroll taxes for the month of March, which includes FICA Social Security taxes, FICA Medicare taxes, FUTA taxes, and SUTA taxes.
The FICA Social Security taxes payable is calculated by multiplying each employee's gross pay by 6.2%, which is the current FICA Social Security tax rate, up to the maximum wage base of $128,400. The FICA Medicare taxes payable is calculated by multiplying each employee's gross pay by 1.45%, which is the current FICA Medicare tax rate.
The FUTA taxes payable is calculated by multiplying each employee's gross pay up to the wage base of $7,000 by the current FUTA tax rate of 0.6%. The SUTA taxes payable is calculated by multiplying each employee's gross pay up to the wage base of $7,000 by the current SUTA tax rate of 5.4%.
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Complete question:
Merger Co. has 10 employees, each of whom earns $2,000 per month and has been employed since January 1. FICA Social Security taxes are 6.2% of the first $128,400 paid to each employee. and FICA Medicare taxes are 1.45% of gross pay. FUTA taxes are 0.6% and SUTA taxes are 5.4% of the first $7,000 paid to each employee. Prepare the March 31 journal entry to record the March payroll taxes expenses.
Learning turns into 'validated learning' when assumptions and goals can be assessed through results. What is a key way for a Product Owner to apply validated learning?
A key way for a Product Owner to apply validated learning is to regularly conduct experiments and gather data to test their assumptions and goals.
Validated learning is a concept in the Lean Startup methodology that emphasizes the importance of collecting and analyzing data to validate or invalidate hypotheses about a product or service. It involves creating and testing prototypes, measuring customer behavior and feedback, and using the insights gained to inform further development. By continuously experimenting and adjusting based on real-world feedback, validated learning enables companies to reduce the risk of failure and make more informed decisions about how to invest resources. Ultimately, the goal of validated learning is to create products that meet the needs and desires of customers in a way that is efficient, effective, and sustainable.
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Draft an email to be sent to all of your colleagues announcing the transition to a formal on-boarding process for all new employees. Acknowledge the anticipated complaints about "making more work" and stress the positive benefits of a standardized process.
PLATO essential communications
Subject: New Formal Onboarding Process for All New Employees
Dear colleagues,
I am excited to announce that we are transitioning to a formal onboarding process for all new employees. We have been working hard to develop a standardized process that will help us provide a consistent and thorough experience for all new hires.
I understand that this change may result in additional work for some of you, and that change can be difficult. However, I want to emphasize the positive benefits of a standardized onboarding process. By providing a clear and comprehensive orientation, we can ensure that new employees have the tools and knowledge they need to be successful in their roles. This will result in a smoother transition for new hires and a more efficient workflow for all of us in the long run.
Our new onboarding process will include a combination of online modules, in-person training, and ongoing support from HR and team leaders. We believe that this approach will help us provide a better experience for new hires and set them up for success in their roles.
I appreciate your cooperation and support during this transition. If you have any questions or concerns, please feel free to reach out to me or our HR department.
Best regards,
[Your Name]
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_____ is a participative process that uses employees' input to increase their commitment to the organization's success. A) Job enrichment B) Employee involvement C) Organizational re-engineering D) Corporate restructuring E) Job sharing
Employee involvement is a participative process that uses employees' input to increase their commitment to the organization's success. This participative process aims to increase employees' commitment to the organization, Correct answer is option A
By involving employees in decision-making, organizations can tap into their knowledge, expertise, and creativity to find better solutions to problems. This, in turn, leads to improved productivity, efficiency, and quality, as employees feel more engaged and motivated to contribute to the success of the organization.
Moreover, employee involvement can also lead to higher job satisfaction and morale among employees, as they feel valued and respected for their opinions and ideas. This, in turn, can reduce turnover rates and absenteeism, as employees feel more committed to the organization and its goals.
In conclusion, employee involvement is a powerful tool for organizations looking to increase employee commitment and engagement. By involving employees in decision-making and problem-solving activities, organizations can tap into their knowledge and expertise, leading to improved productivity, efficiency, and quality. Correct answer is option A
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when can an optimum inventory level be maintained? group of answer choices when the sum of the costs of carrying inventory and the costs of stockout is high when the costs of carrying inventory are higher than the costs of stocking out when the costs of carrying inventory are lower than the costs of stocking out when inventory carrying costs and stockout costs are zero
An optimum inventory level can be maintained when the costs of carrying inventory are lower than the costs of stocking out. Carrying inventory comes with costs such as storage, handling, insurance, and obsolescence. On the other hand, stocking out can result in lost sales, lower customer satisfaction, and additional costs such as expedited shipping or lost goodwill. The correct answer is option c.
However, it is important to note that the optimum inventory level may vary depending on the type of product, customer demand, lead times, and other factors. Therefore, businesses must constantly monitor and adjust their inventory levels to ensure that they meet customer demand while minimizing costs. In some cases, it may be necessary to hold more inventory to avoid stockouts during peak demand periods, while in other cases, it may be possible to reduce inventory levels by improving supply chain efficiency or using just-in-time (JIT) inventory systems.
Ultimately, businesses must consider all relevant costs and factors to determine the optimum inventory level that maximizes profitability and customer satisfaction.Therefore, finding the right balance between carrying inventory and avoiding stockouts is crucial for a business to maintain optimum inventory levels. The correct answer is option c.
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At the beginning of the year, Mirmax set its predetermined overhead rate for movies produced during the year by using the following estimates: overhead costs, $1,680,000, and direct labor costs, $480,000. At year- end, the company's actual overhead costs for the year are $1,670,000 and actual direct labor costs for the year are $480,000 1. Determine the predetermined overhead rate using estimated direct labor costs. 2. Enter the actual overhead costs incurred and the amount of overhead cost applied to movies during the year using the predetermined overhead rate. Determine whether overhead is over- or underapplied (and the amount) for the year. 3. Prepare the entry to close any over- or underapplied overhead to Cost of Goods Sold. Complete this question by entering your answers in the tabs below.
1. Predetermined overhead rate using estimated direct labor costs is $3.50. 2. The actual overhead costs incurred and the amount of overhead cost is $10,000.
1. Answer: $3.50 per direct labor hour
The predetermined overhead rate using estimated direct labor costs can be calculated as follows:
Predetermined Overhead Rate = Estimated Overhead Costs / Estimated Direct Labor Costs
= $1,680,000 / $480,000
= $3.50 per direct labor hour
2. Answer: Underapplied by $10,000
To determine whether overhead is over- or underapplied (and the amount) for the year, we need to compare the actual overhead costs incurred with the overhead cost applied to movies during the year using the predetermined overhead rate.
Actual Overhead Costs Incurred = $1,670,000
Overhead Cost Applied = Predetermined Overhead Rate x Actual Direct Labor Hours
= $3.50 x $480,000
= $1,680,000
Overhead is underapplied by $10,000 ($1,670,000 - $1,680,000).
3. The entry to close the underapplied overhead to the Cost of Goods Sold would be:
Debit Cost of Goods Sold $10,000
Credit Manufacturing Overhead $10,000
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anuu, inc. sold 100,000 shares of the 1,000,000 shares it is allowed to sell. anuu repurchased 10,000 of these shares. the number of shares issued equals shares.multiple choice question.
a.100,000
b.10,000
c.90,000
d.1,000,000
e.910,000
The number of shares issued would be 90,000. Anuu, Inc. sold 100,000 shares out of 1,000,000 shares allowed to sell. This means that there are 900,000 shares left to sell or to keep as treasury shares. Anuu repurchased 10,000 of the shares it sold, which means that it now holds 10,000 shares as treasury shares.
The number of shares issued by Anuu, Inc. is 90,000. The number of shares issued is calculated by subtracting the number of shares repurchased by the company from the number of shares sold. Number of shares sold = 100,000 Number of shares repurchased = 10,000 Number of shares issued = Number of shares sold - Number of shares repurchased = 100,000 - 10,000 = 90,000 Therefore, the correct answer is option (c) 90,000.The number of shares issued is calculated as the total number of shares sold and still outstanding, which is 100,000 - 10,000 = 90,000 shares. Therefore, the correct answer is (c) 90,000.
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If prices grew at a compound growth rate of 4% per annum in the United States and 0.06% per annum in Japan for the past eight years, what exchange rate represents PPP today if the two currencies, eight years ago, were in parity and exchanged at a rate of JPY 109/USD? JPY 171.8/USD JPY 80.0/USD JPY 79.3/USD O JPY 173.5/USD
The exchange rate that represents PPP today, given the given growth rates and initial exchange rate, is closest to: JPY 171.8/USD. The correct option is A.
To determine the exchange rate that represents Purchasing Power Parity (PPP) today, given the compound growth rates of 4% per annum in the United States and 0.06% per annum in Japan for the past eight years, and an initial exchange rate of JPY 109/USD, follow these steps:
1. Calculate the overall price increase for both countries using the compound growth formula:
(1 + growth rate) ^ years
For the United States: (1 + 0.04) ^ 8 = 1.3686
For Japan: (1 + 0.0006) ^ 8 = 1.0048
2. Determine the ratio of the price increases in the two countries:
United States price increase / Japan price increase = 1.3686 / 1.0048 = 1.3623
3. Multiply the initial exchange rate by the ratio of price increases: JPY 109/USD * 1.3623 = JPY 148.5/USD
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Complete question:
If prices grew at a compound growth rate of 4% per annum in the United States and 0.06% per annum in Japan for the past eight years, what exchange rate represents PPP today if the two currencies, eight years ago, were in parity and exchanged at a rate of JPY 109/USD?
a. JPY 171.8/USD
b. JPY 80.0/USD
c. JPY 79.3/USD
d. JPY 173.5/USD
maya is an aspiring wedding photographer who is working on developing her portfolio. she hopes to include several images she recently snapped while working as the assistant to a more established local wedding photographer. what, if anything, should maya do before adding these images to her portfolio?
The important for Maya to seek permission from the more established photographer and clearly outline how she intends to use the images in her portfolio.
Why will be recently snapped while working as the assistant more local wedding photographer?Maya should obtain permission from the more established local wedding photographer before adding these images to her portfolio. Even though Maya may have taken the photographs herself, the images were captured while she was working as the assistant to the other photographer, who may have certain intellectual property rights to the photographs.
In many cases, employment agreements or contracts may specify who has the ownership rights to the photographs taken during the course of employment or work as a contractor. Additionally, the more established photographer may have other reasons for not wanting their work included in Maya's portfolio, such as concerns about confidentiality or the desire to maintain exclusive control over their brand and reputation.
Therefore, is may include specifying whether the images will be used for commercial purposes, whether credit will be given to the original photographer, and how long the images will be displayed in the portfolio. Obtaining written permission or a license agreement can help to protect both Maya and the original photographer from any potential legal issues or disputes.
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buy bank had $130 million in assets and $20 million in expenses before the acquisition of sell bank, which had assets of $50 million and expenses of $2 million. after the merger, the bank had $180 million in assets and $22 million in expenses. did this acquisition generate economies of scale for buy bank and why? buy bank had $130 million in assets and $20 million in expenses before the acquisition of sell bank, which had assets of $50 million and expenses of $2 million. after the merger, the bank had $180 million in assets and $22 million in expenses. did this acquisition generate economies of scale for buy bank and why? no, because the cost as a percentage of assets increased after the acquisition yes, because the cost as a percentage of assets increased after the acquisition yes, because the cost as a percentage of assets declined after the acquisition no, because the cost as a percentage of assets declined after the acquisition
No, the acquisition did not generate economies of scale for Buy Bank because the cost as a percentage of assets increased after the acquisition.
The cost as a percentage of assets declined after the acquisition, with expenses increasing by $2 million while assets increased by $50 million. This improved the bank's cost efficiency and resulted in cost savings.
The reduced cost-to-assets ratio signifies the benefits of economies of scale, demonstrating improved operational efficiency and the ability to spread expenses over a larger asset base. Consequently, the acquisition enabled Buy Bank to achieve cost advantages and enhanced financial performance.
Therefore, the correct answer is: No, the acquisition did not generate economies of scale for Buy Bank because the cost as a percentage of assets increased after the acquisition.
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Automation is the process of physically moving or carrying goods during production, warehousing, and distribution.
False
True
False. Automation refers to the use of technology and machinery to perform tasks that were previously done by humans.
It can involve the use of robots, computer software, and other automated systems to perform tasks such as manufacturing, packaging, and transporting goods. While automation may involve the physical movement of goods, it is not limited to this and can also include non-physical tasks such as data processing and analysis. Automation is a process that involves the use of machines and technology to perform tasks that were previously done by humans. It is used in a wide range of industries, including manufacturing, logistics, and transportation. The goal of automation is to improve efficiency, reduce costs, and increase productivity by reducing the need for human labor.
In manufacturing, automation can involve the use of robots and other machines to perform tasks such as assembly, painting, and quality control. This can reduce the need for human workers and improve the speed and accuracy of the production process.
In logistics and transportation, automation can involve the use of automated guided vehicles (AGVs) and other systems to move goods within warehouses and distribution centers. This can improve efficiency and reduce the risk of accidents or injuries that can occur when human workers are involved in moving heavy or bulky items.
Overall, automation is a process that is likely to continue to play an important role in many industries in the coming years, as technology continues to advance and companies look for ways to improve efficiency and reduce costs.
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