Grouper, Inc. a private company that applies ASPE, incurred $15,200 in materials and $12,800 in direct labour costs between January and March 2020 to develop a new product. In May 2020, the criteria required to capitalize development costs were met. A further $45,200 was spent for materials, $15,700 for direct labour costs $1,600 for borrowing costs, and $73,200 for directly related legal fees. Prepare the appropriate journal entries. (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 for the amounts.) Prepare the journal entry if Grouper were a public company following IFRS. (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 O for the amounts.) Account Titles and Explanation Debit Credit

Answers

Answer 1

The journal entry would be:
Development Costs (Capitalized)  $135,700
    Cash (or Accounts Payable)      $135,700

To prepare the appropriate journal entries for Grouper, Inc., a private company that applies ASPE, you need to first determine the costs that can be capitalized after the criteria were met in May 2020.

The costs incurred between January and March 2020 ($15,200 in materials and $12,800 in direct labor) cannot be capitalized as they were incurred before the criteria were met. Therefore, you should only consider the costs incurred after May 2020 for capitalization.

Journal entry for Grouper, Inc. under ASPE:

1. Development Costs (Capitalized) - Debit
  Materials - $45,200
  Direct Labor - $15,700
  Borrowing Costs - $1,600
  Legal Fees - $73,200
  Total = $135,700

2. Cash (or Accounts Payable if not paid yet) - Credit
  Total = $135,700

The journal entry under ASPE would be:
Development Costs (Capitalized)  $135,700
    Cash (or Accounts Payable)      $135,700

For Grouper, Inc., a public company following IFRS, the accounting treatment for development costs might be different, depending on whether the company meets the criteria for capitalizing development costs under IAS 38.

If the company meets the criteria, the journal entry would be the same as under ASPE. If the company does not meet the criteria, then the development costs would be expensed as incurred.

If the criteria are met under IFRS, the journal entry would be:
Development Costs (Capitalized)  $135,700
    Cash (or Accounts Payable)      $135,700

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Related Questions

Assume a company is preparing a budget for its first two months of operations. During the first and second months it expects credit sales of $42,000 and $78,000, respectively. The company expects to collect 35% of its credit sales in the month of the sale, 55% in the following month, and 10% is deemed uncollectible. What amount of cash collections from credit sales would the company include in its cash budget for the second month? Multiple Choice O $58,200 O $27,300 $42,900 O $50,400

Answers

The amount of cash collections from credit sales the company would include in its cash budget for the second month is $50,400. The correct option is 50400.

To calculate the cash collections from credit sales for the second month, we need to consider the collections from both the first and second months' credit sales. Here's the step-by-step calculation:

1. Collections from the first month's credit sales ($42,000):
  - 55% collected in the following month (second month): 0.55 * $42,000 = $23,100

2. Collections from the second month's credit sales ($78,000):
  - 35% collected in the month of the sale (second month): 0.35 * $78,000 = $27,300

3. Add the collections from both months:
  - $23,100 (from first month) + $27,300 (from second month) = $50,400

Hence, the correct option is 50400.

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On January 1, 2020. Crane Company issued ten year bonds with a face amount of $4800000 and a stated interest rate of 8% payable annually on January 1. The bonds were priced to yield 11%. Present Valon factors are as follows At 8x At 18 0.463 0252 Present value of 1 for 10 periods Present value of an ordinary annuity of 1 for 10 periods 6.710 5.889 The total issue price of the bonds was a. $4656000 b. $4800000 c. $3950976 d. $4416000

Answers

To calculate the total issue price of the bonds, The present value of the bond's future cash flows is needed. The issue price of shares is the price at which they are offered for sale when they first become available to the public.

Here's how to do it:

Step 1: Calculate the annual interest payment:

Annual interest payment = Face amount of bonds x Stated interest rate = $4,800,000 x 8% = $384,000

Step 2: Calculate the present value of the annual interest payments using the present value of an ordinary annuity formula:

Present value of annual interest payments = $384,000 x 5.889 = $2,263,296

Step 3: Calculate the present value of the principal payment at maturity using the present value of a single sum formula:

Present value of principal payment = $4,800,000 x 0.463 = $2,220,240

Step 4: Add the present values of the interest payments and the principal payment to get the total issue price of the bonds:

Total issue price = $2,263,296 + $2,220,240 = $4,483,536

Since the bonds were priced to yield 11%, the actual issue price would be slightly lower than the calculated total issue price. We can confirm that option (d) $4,416,000 is the closest answer to the actual issue price.

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1) A Japanese company wants to hedge the foreign exchange riskfrom receiving GBP in 1 year’s time, at a moment in time when thespot exchange rate between GBP and JPY is Sbid (GBP/JPY) = 150.50and Sask (GBP/JPY) = 150.75. Knowing that, for 1 year operations, the loan and deposit interest rates for the JPY are -0.15% and -0.25% respectively, and that the loan and deposit interest rates for the GBP are 0.85% and 0.75% respectively, what value should the forward rate F1year (GBP/JPY) take?

Answers

The forward rate F1year (GBP/JPY) should be 151.93 to hedge the foreign exchange risk for the Japanese company.

To hedge the foreign exchange risk from receiving GBP in 1 year's time, the Japanese company can enter into a forward contract with a financial institution to lock in a specific exchange rate for the future delivery of GBP.

To determine the value of the forward rate F1year (GBP/JPY), we need to use the interest rate parity formula:

F1year = Sspot * [(1 + rGBP) / (1 + rJPY)]

Where:
- F1year is the forward exchange rate between GBP and JPY for 1 year's time
- Sspot is the spot exchange rate between GBP and JPY at the current moment in time (given as Sbid = 150.50 and Sask = 150.75)
- rGBP is the interest rate for borrowing GBP (given as 0.85%)
- rJPY is the interest rate for borrowing JPY (given as -0.15%)

Using the formula, we get:

F1year = 150.50 * [(1 + 0.0085) / (1 - 0.0015)]
F1year = 150.50 * 1.009975
F1year = 151.93

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marketers must know the needs and wants of their customers. which of the following presents the most accurate picture of the typical elderly consumer today? most live with their children, have little savings, and have an increasingly difficult time adjusting to the changing technical world around them. most are old, infirm, depressed, stay-at-home people who live a hand-to-mouth existence. most are active, interested in what life has to offer, and are enthusiastic consumers with the means and willingness to buy many goods and services. most have refused government support and are going through a hermitization process. they don't trust anyone under 60.

Answers

The most accurate picture of the typical elderly consumer today is that "most are active, interested in what life has to offer, and are enthusiastic consumers with the means and willingness to buy many goods and services". Option C is correct.

Marketers must understand the needs and wants of their customers, and this is especially important when it comes to the elderly population, who have unique preferences and requirements. It is important to recognize that the elderly are not a homogenous group, and there is a wide range of diversity in their lifestyles and purchasing habits.

Therefore, marketers should tailor their approach to this demographic by considering factors such as their physical abilities, technological literacy, and financial status. By doing so, they can better connect with the elderly consumer and provide products and services that meet their specific needs and wants.

Option C holds true.

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Assume that the current market price of Zigi, Inc. stock is $54.59. If Zigi, Inc. just paid a dividend of $4.57 per share (i.e., D0 = 4.57), and if investors expect that the companyâs dividends will grow at an annual rate of 2.47% forever, then Zigi, Inc.âs required rate of return is ____%. (Record your answer rounded to 1 decimal place; for example, record 18.29654% as 18.3)

Answers

The formula to calculate the required rate of return (or cost of equity) is:

Ke = (D1 / P0) + g

Where:


- Ke = required rate of return (or cost of equity)

- D1 = next year's expected dividend per share

- P0 = current market price per share

- g = expected annual growth rate of dividends (in perpetuity)

Using the information given in the question:

- D0 = 4.57 (current dividend per share)

- g = 2.47%

- P0 = $54.59

To calculate D1, we need to apply the growth rate to D0:

D1 = D0 * (1 + g)

D1 = 4.57 * (1 + 0.0247)

D1 = 4.6901

Now we can plug in the values to the formula:

Ke = (4.6901 / 54.59) + 0.0247

Ke = 0.0859 (or 8.6%, rounded to 1 decimal place)

Therefore, Zigi, Inc.'s required rate of return is 8.6%.

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which of the following statements regarding futures contract is most accurate? an agreement to buy or sell specified amount of an asset at todays spot price on the maturity date of the contract

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The most accurate statement regarding a futures contract is: A futures contract is an agreement to buy or sell a specified amount of an asset at a predetermined price on the maturity date of the contract.

The statement that "an agreement to buy or sell a specified amount of an asset at today's spot price on the maturity date of the contract" is the most accurate description of a futures contract.

A futures contract is a standardized agreement to buy or sell an asset at a predetermined price on a future date. It is commonly used in financial markets for hedging or speculating on price movements.

An agreement refers to a mutual understanding or arrangement between two or more parties regarding a particular matter. It outlines the rights, responsibilities, and terms agreed upon by the involved parties, creating a binding contract or commitment.

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options is the second step in the decision-making process and it depends on creativity for new and useful ideas, regardless of where the ideas come from.

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The second step in the decision-making process is brainstorming. Brainstorming is a critical step as it helps to generate new and creative ideas that can contribute to better decision-making. It is an open-minded approach that allows people to express their thoughts and opinions freely, without fear of criticism or judgment.

This process encourages everyone to participate and share their ideas, regardless of their position in the organization or level of experience. The goal is to generate as many ideas as possible, with the aim of selecting the best ones later on. Brainstorming is not just about generating ideas but also about building upon them and refining them.

The process is iterative, meaning that ideas are built upon and modified until a final decision is reached. Successful brainstorming requires a positive and supportive environment, where everyone feels comfortable sharing their thoughts and opinions.

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At an annual effective rate of interest i, the present value of a perpetuity-immediate with payments of 140 is the same as the accumulated value of an n-year annuity immediate with payments of 200. At the same effective rate of interest, determine the present value of a payment of 400 occuring at the end of year n. [Hint: first find (1 + i) -"]

Answers

The present value of the payment of 400 at the given effective rate of interest. To solve the problem, we need to use the formulas for present value of perpetuity-immediate.

Accumulated value of annuity immediate:

Present value of perpetuity-immediate = payment / i
Accumulated value of annuity immediate = payment * ((1 + i)^n - 1) / i

Setting these two equal to each other, we get:

140 / i = 200 * ((1 + i)^n - 1) / i

Simplifying and solving for (1 + i)^n, we get:

(1 + i)^n = (140 / 200) * i + 1

Using the hint given, we can find the present value of the payment of 400 at the end of year n:

Present value of payment = payment / (1 + i)^n
= 400 / [(140 / 200) * i + 1]^n

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a company is considering denver, seattle, and portland as candidate locations for a new facility. for the weighted-factor rating technique, the company is evaluating each location on three factors (distance to customers, labor costs, and utility costs). the factors are weighted 0.5, 0.3, and 0.2, respectively. denver received scores of 84, 86, and 75. seattle received scores of 90, 77, and 65 for the three factors. portland received scores of 87, 82, and 70. which of the three cities is ranked first (best) by the weighted-factor rating technique? a. denver b. seattle c. portland d. all sites are equally attractive

Answers

The city with the highest weighted score is Denver with a score of 82.8, followed closely by Portland with a score of 82.1, and Seattle with a score of 81.1. Option A is correct.

To determine which city is ranked first (best) by the weighted-factor rating technique, we need to calculate the weighted score for each city.

For Denver:

Weighted score = (0.5 x 84) + (0.3 x 86) + (0.2 x 75) = 42 + 25.8 + 15 = 82.8

For Seattle:

Weighted score = (0.5 x 90) + (0.3 x 77) + (0.2 x 65) = 45 + 23.1 + 13 = 81.1

For Portland:

Weighted score = (0.5 x 87) + (0.3 x 82) + (0.2 x 70) = 43.5 + 24.6 + 14 = 82.1

Therefore, the city with the highest weighted score is Denver with a score of 82.8, followed closely by Portland with a score of 82.1, and Seattle with a score of 81.1.

Therefore, the answer is (a) Denver is ranked first (best) by the weighted-factor rating technique.

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The supply chain for a bouquet of flowers is as follows: 1. A horticulturalist grows flowers which he sells to a florist for £5 plus VAT 2. The florist arranges the flowers into a bouquet and sells it to a supermarket for £34 plus VAT. 3. The supermarket sells the bouquet to a customer for £50 plus VAT. All are VAT registered Required: How much VAT will be payable by the supermarket to HMRC? Select one: O a. £2.67 Ob £6.80 Oc£3.20 d. E10.00

Answers

The amount of VAT payable by the supermarket to HMRC can be The input VAT paid by the supermarket is £6.80 (20% of £34), and the output VAT charged by the supermarket is £10 (20% of £50). Therefore, the VAT payable by the supermarket to HMRC is £10 - £6.80 = £3.20. The correct option is c.

The input VAT paid by the supermarket is £6.80 (20% of £34), and the output VAT charged by the supermarket is £10 (20% of £50). Therefore, the VAT payable by the supermarket to HMRC is £10 - £6.80 = £3.20.

calculated by subtracting the input VAT (VAT paid by the supermarket on

It is important to note that all three parties involved in the supply chain are VAT registered, which means that they are required to charge and pay VAT to HMRC.

VAT is a consumption tax that is ultimately paid by the end consumer, in this case, the customer who purchases the bouquet from the supermarket. The VAT charged by the supermarket is collected by HMRC and used to fund public services in the UK.The correct option is c.

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when a prospective borrower calls an mlo with an inquiry about mortgage loan products and terms, what is the name of the process that a lender can complete that promises that the prospective borrower's situation has been investigated and, provided all circumstances stay the same, the lender is willing to loan a certain amount of money to finance a home purchase?

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When a prospective borrower calls a Mortgage Loan Originator (MLO) to inquire about mortgage loan products and terms, the process that the lender completes to investigate the borrower's situation and promise a certain loan amount, provided all circumstances remain the same, is called Pre-approval.

Understanding pre-approval phase

During the pre-approval process, the lender evaluates the borrower's creditworthiness, financial stability, and ability to repay the loan.

This helps both the borrower and the lender understand the appropriate loan amount and terms for the borrower's unique situation.

Pre-approval gives the prospective borrower confidence when shopping for a home, as it demonstrates to sellers that they are serious and financially capable of purchasing the property.

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Objective E-2-2 23. John sold IRC $ 1245 property on July 1, 2019, for $18,000. He had purchased the property on January 2, 2014, for $12,000. John claimed depreciation as follows: 2014 2015. 2016. $1,000 $1,000 $1,000 2017 2018 2019 $1,000 $1,000 $500 23 What is the amount of IRC S 1245 gain? O a $5,500 b. $6.000 Oc. $6,500 od. $11,500

Answers

The amount of IRC § 1245 gain is $500.

To calculate the amount of IRC § 1245 gain, we need to determine the total amount of claimed depreciation for the property.

2014: $1,000
2015: $1,000
2016: $1,000
2017: $1,000
2018: $1,000
2019: $500

Total claimed depreciation = $5,500

Next, we need to calculate the adjusted basis of the property.

Adjusted basis = Purchase price + claimed depreciation

Adjusted basis = $12,000 + $5,500

Adjusted basis = $17,500

Finally, we can calculate the IRC § 1245 gain.

IRC § 1245 gain = Selling price - Adjusted basis

IRC § 1245 gain = $18,000 - $17,500

IRC § 1245 gain = $500

Therefore, the amount of IRC § 1245 gain is $500, which is option d. $11,500 is incorrect as it is the difference between the selling price and the original purchase price, without accounting for the claimed depreciation.

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If income is 4,800, consumption is 3,500, government purchases is 1,000, and taxes minus transfers are 800, public saving is:
-200.

Answers

Public saving is the difference between government revenue (taxes minus transfers) and government spending (government purchases).

Given:

Income = $4,800

Consumption = $3,500

Government purchases = $1,000

Taxes minus transfers = $800

To calculate public saving, we first need to find government revenue.

Government revenue = Taxes - Transfers = $800

Next, we can calculate government spending:

Government spending = Government purchases = $1,000

Finally, we can calculate public saving:

Public saving = Government revenue - Government spending

Public saving = $800 - $1,000

Public saving = -$200

Therefore, public saving is negative $200, indicating that the government is spending more than it is taking in, resulting in a deficit.

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Which of the following state how economists define the concept of personal saving?1. Paying a fair share of income taxes2. Not spending3. That part of disposable income not consumed4. That part of gross income not consumed

Answers

Economists define the concept of personal saving as: That part of disposable income not consumed.

In this context, disposable income refers to the income that remains after taxes and other mandatory expenses have been paid, while personal saving represents the amount that an individual chooses not to spend on consumption.

In addition, personal saving also has implications for the broader economy. When households save money, it reduces the amount of money available for immediate consumption, which can lead to lower levels of aggregate demand and economic growth.

However, personal saving can also provide a source of funding for investment and capital accumulation, which can lead to increased productivity and economic growth over the longer term.

In conclusion, personal saving is a key concept in economics that refers to the portion of disposable income that an individual chooses not to spend on consumption.

It is an important indicator of financial stability for households and has broader implications for the health of the overall economy.

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64. If the company's accounts receivable turnover is decreasing, the average collection period:
A. is going up.
B. is going down.
C. could be moving in either direction.
D. is going down slightly.

Answers

If a company's accounts receivable turnover is decreasing, it means that the company is taking a longer time to collect its outstanding debts. The accounts receivable turnover ratio is calculated by dividing the net credit sales by the average accounts receivable balance.

A decreasing ratio indicates that the company is having difficulty collecting its debts, which can impact the company's cash flow and liquidity.

The average collection period is the number of days it takes a company to collect its outstanding debts. It is calculated by dividing the accounts receivable balance by the average daily credit sales. If the company's accounts receivable turnover is decreasing, it means that the average collection period is increasing, and therefore, the answer to the question is A. The average collection period is going up.

When the average collection period is increasing, it indicates that the company is taking longer to collect its outstanding debts. This could be due to a variety of reasons, such as a decrease in customer creditworthiness, poor credit management practices, or a decrease in sales. A longer average collection period can lead to a decrease in cash flow, which can affect the company's ability to pay its bills and invest in growth opportunities.

In conclusion, if a company's accounts receivable turnover is decreasing, it is a warning sign that the company is having difficulty collecting its outstanding debts. This can lead to an increase in the average collection period, which means that the company is taking longer to collect its outstanding debts, and therefore, the answer to the question is A. The average collection period is going up.

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when analyzing and advising clients about funding their retirement, qualitative factors are of much less significance than quantitative or financial factors. a. true b. false

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b. false

When analyzing and advising clients about funding their retirement, it is false that qualitative factors are of much less significance than quantitative or financial factors.


It is important to consider both qualitative and quantitative factors when advising clients about retirement planning. Qualitative factors, such as personal goals, lifestyle preferences, and health considerations, play a significant role in determining the overall retirement plan.

while quantitative factors, such as income, expenses, and investments, provide the financial foundation for the plan. Both types of factors must be considered to create a well-rounded and comprehensive retirement strategy.

Retirement refers to the stage in a person's life when they stop working and no longer receive a regular income from employment. Retirement is often associated with the end of a person's career and the transition to a new phase of life. It is typically characterized by a reduction in income, changes in lifestyle, and adjustments to daily routines.

Many people plan for retirement by saving money, investing in retirement accounts, and creating a retirement plan that outlines their financial goals and objectives. Retirement can be a fulfilling and rewarding experience for those who are prepared, but it can also be challenging for those who are not financially or emotionally ready for the transition.

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Increased international competition can be seen as a motivator to emphasize:

A) asset diversification strategies.
B) the risk side of the risk-return relationship.
C) the return side of the risk-return relationship.
D) invest in a new risky project.

Answers

Increased international competition can be seen as a motivator to emphasize all of the options mentioned in the question. The competition in the global market can push companies to seek out new strategies to remain competitive and profitable.

One of these strategies is asset diversification, which involves spreading out investments across different types of assets to reduce overall risk. This can help companies mitigate the effects of any downturns in specific markets or industries.

At the same time, increased competition can also lead companies to focus on the risk side of the risk-return relationship. This means that they may be more cautious in their investments and seek out lower-risk opportunities to ensure that they don't suffer any significant losses.

On the other hand, companies may also choose to focus on the return side of the risk-return relationship in response to international competition. This could mean investing in higher-risk, higher-reward opportunities to try and gain an edge over their competitors.

Finally, increased competition could also motivate companies to invest in new risky projects. This could be seen as a way to differentiate themselves from their competitors and gain an advantage in the market.

Overall, the best approach will depend on a variety of factors, including the company's current financial situation, its risk tolerance, and its long-term goals. By carefully considering all of these factors and making informed decisions, companies can remain competitive in the face of increased international competition.

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How long are Judgments liens effective in Illinois before having to renew it?

Answers

In Illinois, a judgment lien is effective for seven years from the date of entry.

If the lien is not renewed within this period, it will expire automatically.

However, it is important to note that the judgment creditor may file a petition to revive the judgment before it expires, which would extend the duration of the lien. The petition must be filed within seven years of the date of entry of the original judgment or within seven years of the last revival of the judgment.

If the judgment is not revived within the seven-year period, the lien will expire and the judgment creditor will lose the ability to enforce the lien against the debtor's property.

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QM.02 Suppose you are a marketing analyst for a medical device manufacturer and you have heard from the production people that there are some intermittent quality problems on one of your flagship products, a product that is implanted within patients. You are assigned to a cross-functional team to address this problem. Which of the following is the best long-term solution? 1. Make no change to the product or manufacturing process and set aside money to handle the costs of fixing the problem when there is a product talura O 2. Review and modify the product design and implernent statistical process control at key steps in the production process 3. Conduct a thorough inspection of every product when it reaches the end of the production process 4. Implement statistical process control at every step in the production process

Answers

The best long-term solution would be option 2: Review and modify the product design and implement statistical process control at key steps in the production process.

This solution is the most comprehensive and proactive approach to prevent quality problems from occurring in the first place. By reviewing and modifying the product design, potential flaws can be identified and corrected before the product even reaches production.

Implementing statistical process control at key steps in the production process would ensure that any issues that arise are caught and corrected immediately, reducing the likelihood of defective products reaching patients.

Option 1 of setting aside money to handle the costs of fixing the problem when there is a product failure is not a long-term solution and would result in increased costs and potential harm to patients.

Option 3 of conducting a thorough inspection of every product when it reaches the end of the production process is not as effective as implementing statistical process control as it would not catch problems that occur earlier in the production process.

Option 4 of implementing statistical process control at every step in the production process may be too costly and time-consuming and may not be necessary if key steps are identified and targeted for control.

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which of the following are true?if multiple products use the manufacturing facilities in many different ways, a plantwide rate is ideal.if the company manufactures products that are quite similar and that use the same set of resources, the plantwide rate is probably sufficient.the choice of whether to use a plantwide rate or departmental rates depends on the products and the production process.managers need to choose between plantwide and departmental rates based on the costs and benefits of each.

Answers

The correct statement are if the company manufactures products that are quite similar and that use the same set of resources, the plantwide rate is probably sufficient, the choice of whether to use a plantwide rate or departmental rates depends on the products and the production process, and managers need to choose between plantwide and departmental rates based on the costs and benefits of each. Option B, C, and D are correct.

Statement A is false. In this case, using departmental rates or activity-based costing would be more appropriate to allocate costs accurately.

Statement B is true. A plantwide rate can be used effectively when products are similar and use the same resources.

Statement C is true. The decision should be based on the complexity of the production process and the similarity of the products being manufactured.

Statement D is true. Managers should consider the accuracy and efficiency of cost allocation, as well as the costs associated with implementing and maintaining each method.

Therefore, option B, C, and D are correct.

which of the following are true?

A. if multiple products use the manufacturing facilities in many different ways, a plantwide rate is ideal.

B. if the company manufactures products that are quite similar and that use the same set of resources, the plantwide rate is probably sufficient.

C. the choice of whether to use a plantwide rate or departmental rates depends on the products and the production process.

D. managers need to choose between plantwide and departmental rates based on the costs and benefits of each.

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________ is the additional set of cultural characteristics which often overlaps with race.
A) Ethnicity
B) Civilization
C) Diversity
D) Anthropology
E) Acculturation

Answers

Ethnicity is the additional set of cultural characteristics which often overlaps with race.

It refers to a group of people who share a common cultural, national, or ancestral background, such as language, traditions, customs, religion, and beliefs. Ethnicity is a social construct, and people can have multiple ethnic identities. It is important to recognize and respect different ethnic groups and their cultures, as well as to promote diversity and inclusion.

Ethnicity refers to the cultural characteristics and identity that people share based on common ancestry, language, religion, and customs. Ethnicity can be self-defined or assigned by others based on various factors like physical appearance, ancestry, cultural practices, and shared experiences. Ethnicity often overlaps with race, which is a socially constructed category based on physical characteristics like skin color, facial features, and hair texture. However, ethnicity encompasses a broader range of cultural and social factors that go beyond physical characteristics.

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Conventional marketing or sales messages that following the AIDA model begin with an effort to gain the audience's
A) attention.
B) money.
C) interest.
D) cooperation.
E) order.

Answers

The correct answer is A) attention. In order to effectively market or sell a product or service, it is important to grab the audience's attention first. This can be done through various techniques such as a catchy headline or an attention-grabbing image.

Once the attention is captured, the next step is to generate interest in the product or service by highlighting its benefits and unique features. This is followed by creating the desire for the product or service and then prompting the audience to take action by placing an order or making a purchase.

The AIDA model has been a popular marketing and sales approach for decades and is still used today, though it has evolved to include digital marketing strategies as well. The key to success in using this model is to craft compelling messages that resonate with the target audience and motivate them to take action.

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Ensuring employees take breaks and eat food during an emergency is part of what pharmacy plan?
Select one:
Evacuation
Pharmacist's
Staffing
Employee safety

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Employee safety is the pharmacy plan that includes ensuring employees take breaks and eat food during an emergency. This plan focuses on maintaining the well-being and health of employees in the workplace, especially during high-stress situations such as emergencies. Proper breaks and nutrition are essential for maintaining optimal performance and reducing fatigue among employees, which in turn helps maintain overall operational efficiency and safety.

Ensuring employees take breaks and eat food during an emergency is part of the Employee Safety plan for a pharmacy. This plan is designed to ensure the safety and wellbeing of all employees in the event of an emergency. During an emergency, such as a natural disaster or a medical outbreak, employees may be required to work long hours or may not have access to food or water. As a result, it is important to have a plan in place that ensures employees are taking breaks and eating nutritious meals.

The Employee Safety plan should include guidelines for scheduling breaks, providing access to food and water, and ensuring that employees are taking care of their physical and mental health. This plan should also include protocols for managing stress and anxiety during an emergency, as well as guidelines for communicating with employees and their families.

By implementing an Employee Safety plan, pharmacies can ensure that their employees are able to perform their duties effectively and efficiently during an emergency, while also taking care of their own health and wellbeing. This not only benefits the employees, but also the pharmacy and its customers, as it ensures that medications and supplies are available when needed most.

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consider whether or to what extent the fringe benefits listed below may be excluded from gross income and, where, possible, support your conclusions with statutory authority

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The exclusion of fringe benefits from gross income depends on the specific nature of the benefit and the provisions of the tax code. Employers should consult with tax professionals to ensure compliance with applicable laws and regulations.

Some fringe benefits that may be excluded from gross income include health and accident insurance, education assistance programs, and transportation benefits such as parking and transit passes.

Under Section 105 of the Internal Revenue Code, employer-provided accident and health insurance benefits are generally excluded from gross income. Similarly, Section 127 of the code allows for exclusion of up to $5,250 per year for employer-provided education assistance programs.

Transportation fringe benefits, such as transit passes and qualified parking expenses, are also eligible for exclusion under Section 132 of the tax code. However, there are limits to the amount that can be excluded each year.

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A standardized exar's scores are normally distributed. In a recent year, the mean test score was 1452 and the standard deviation was 318. The test scores of four students selected at random are 1870, 1180, 2200, and 1330. Find the scores that correspond to each value and determine whether any of the values are unusual ura The 2-score for 1870 is______(Round to two decimal places as needed.)

Answers

To find the Z-score for a test score of 1870, we can use the formula: Z = (X - μ) / σ where X is the test score, μ is the mean, and σ is the standard deviation.

Z = (1870 - 1452) / 318

Z = 1.32

The Z-score for a test score of 1870 is 1.32.

To determine whether this value is unusual, we need to compare it to a critical Z-score.

A Z-score of ±1.96 is commonly used as a threshold for identifying unusual values, as it represents the values that fall outside of the middle 95% of the distribution.

Since 1.32 falls within the range of -1.96 to +1.96, we can conclude that the test score of 1870 is not an unusual value.

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Jake has the following account information for 2021: beginning inventory- $100,000, Ending Inventory-$75,000, Cost of goods sold, $625,000 and Net sales- $900,000. jakes average days in inventory for 2020 is how many days?

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Jake has the following account information for 2021: beginning inventory- $100,000, Ending Inventory-$75,000, Cost of goods sold, $625,000, and Net sales- $900,000. Jake's average days in inventory for 2020 is 52.14 days.

To calculate the average days in inventory for Jake in 2021, we need to use the following formula:

Average days in inventory = (365 days) / (Cost of goods sold / Average inventory)

We can calculate the average inventory as the average of the beginning and ending inventory:

Average inventory = (Beginning inventory + Ending inventory) / 2

                               = ($100,000 + $75,000) / 2

                               = $87,500

Now we can substitute the values into the formula:

Average days in inventory = (365 days) / ($625,000 / $87,500)

                                            = (365 days) / 7

                                           = 52.14 days (rounded to two decimal places)

Therefore, Jake's average days in inventory for 2021 is approximately 52.14 days.

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XYZ is evaluating a project that would require the purchase of a piece of equipment for 5480,000 today. During year 1, the project is expected to have relevant revenue of $782,000, relevant costs of $210,000, and relevant depreciation of $126,000 XYZ would need to borrow $480,000 today to pay for the equipment and would need to make an interest payment of $28,000 to the bank in 1 year. Relevant net income for the project in year 1 is expected to be $320,000. What is the tax rate expected to be in year 17?a. A rate equal to or greater than 25.11% but less than 29,20% b. A rate equal to or greater than 29 20% but less than 34.76% c. A rate equal to or greater than 34.76% but less than 41.17% d. A rate less than 25.11% or a rate greater than 44.76% e. A rate equal to or greater than 41.17% but less than 44.76%

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Option D: "A rate less than 25.11% or a rate greater than 44.76%."

To find the expected tax rate in year 1 for XYZ's project, we will use the information provided about the project's financials. Here are the steps to calculate the tax rate:

1. Determine the project's Earnings Before Interest and Taxes (EBIT) using the relevant revenue, relevant costs, and relevant depreciation.
EBIT = Revenue - Costs - Depreciation
EBIT = $782,000 - $210,000 - $126,000
EBIT = $446,000
2. Calculate the project's Earnings Before Taxes (EBT) by subtracting the interest payment from the EBIT.
EBT = EBIT - Interest Payment
EBT = $446,000 - $28,000
EBT = $418,000
3. Since we know the relevant net income for the project in year 1 is expected to be $320,000, we can now calculate the tax rate.
Tax Rate = (EBT - Net Income) / EBT
Tax Rate = ($418,000 - $320,000) / $418,000
Tax Rate = $98,000 / $418,000
Tax Rate = 0.2344 or 23.44%

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Chelsea runs a stock market consultancy firm. The firm advises its clients on where to invest and how to earn maximum profits. Given this information, Chelsea provides ________ through the consultancy firm.

Answers

Chelsea provides financial advisory services through the consultancy firm to help clients maximize their profits in the stock market.

Financial advisory services are services provided by a financial advisor or a consultancy firm that offer guidance and advice on financial matters. In this case, Chelsea's consultancy firm advises its clients on where to invest and how to earn maximum profits in the stock market.

The advisory services that Chelsea's firm provides are designed to help clients make informed decisions about their investments. This can include providing research and analysis on specific companies or sectors, identifying investment opportunities that align with a client's financial goals and risk tolerance, and providing guidance on investment strategies and portfolio management.

Overall, financial advisory services are an important component of the financial industry, as they help individuals and businesses make informed decisions about their finances, and can help them achieve their financial goals.

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a borrower has a credit score of 560 and knows the following four scenarios can have a negative or a positive impact: paying bills late keeping multiple credit cards contacting a debt relief agency high percentage of credit available which scenario(s) will positively impact a credit score? i, iii i, iv ii, iii ii, iv

Answers

A borrower with a credit score of 560 can improve their credit score by focusing on scenarios that will have a positive impact. Of the four scenarios mentioned, only two can have a positive impact on a credit score.

Scenario (i) paying bills late is not a positive scenario, but rather a negative one that can further decrease the credit score.

Scenario (ii) keeping multiple credit cards can have a positive impact on a credit score. This is because having a variety of credit types can demonstrate that the borrower is capable of managing multiple lines of credit responsibly.

Scenario (iii) contacting a debt relief agency is also not a positive scenario as it can suggest that the borrower is struggling to manage their debt.

Scenario (iv) having a high percentage of credit available can have a positive impact on a credit score. This is because it suggests that the borrower is not using all of their available credit and is therefore capable of managing their finances responsibly.

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Franchisees can begin to feel burdened if the _____ creates too many managerial orders, directives or limitations.

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Franchisees can begin to feel burdened if the franchisor creates too many managerial orders, directives, or limitations. Franchising is a business model where individuals, known as franchisees, obtain the rights to use a company's trademark, products, and services.

The franchisor, or the parent company, provides ongoing support, training, and resources to help franchisees maintain brand consistency and achieve success.
However, when a franchisor imposes excessive managerial orders and limitations, it can negatively impact franchisees' ability to effectively run their businesses. Excessive directives may include strict operational guidelines, mandatory marketing campaigns, or restrictions on suppliers. While some level of control is necessary to maintain brand standards, too much oversight can lead to franchisee dissatisfaction and reduced motivation.
Franchisees may feel that their entrepreneurial spirit and autonomy are stifled by the franchisor's excessive involvement. This can result in lower morale, decreased productivity, and ultimately, a decline in business performance. It is essential for franchisors to strike a balance between maintaining brand integrity and allowing franchisees the flexibility to make decisions and adapt to local market conditions.
To maintain a healthy franchisor-franchisee relationship, open communication and ongoing collaboration are critical. Franchisors should work closely with franchisees, providing support and guidance, while respecting their expertise and decision-making abilities. By finding the right balance, both parties can benefit from the franchising model and enjoy long-term success.

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