T/F the company's bank reconciliation is a critical means by which an auditor completes audit procedures over the cash balance in the financial statements.

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Answer 1

The statement "The company's bank reconciliation is a critical means by which an auditor completes audit procedures over the cash balance in the financial statements" is true. Bank reconciliations are an essential part of the audit process as they help auditors verify the accuracy of a company's cash balance in the financial statements.

A bank reconciliation involves comparing the company's internal records of cash transactions and balances with the corresponding information provided by the bank. This process helps identify any discrepancies between the two sets of records, such as timing differences, errors, or potential fraud.

1. Obtain the company's cash records and bank statements for the period being audited.


2. Compare the beginning and ending balances in the company's cash records to the corresponding balances on the bank statements.


3. Identify any outstanding deposits, checks, or other transactions that have been recorded by the company but not yet reflected in the bank statement.


4. Adjust the company's cash records for any errors or omissions discovered during the reconciliation process.


5. Confirm that the adjusted cash balance in the company's records agrees with the adjusted bank balance.

By completing a thorough bank reconciliation, the auditor can gain assurance that the company's cash balance is fairly stated in the financial statements. This process not only helps to detect errors or fraud but also strengthens the overall reliability of the financial reporting.

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Related Questions

If a producer learns after it sells a product that it has a problem that might cause consumers injuries, the producer must warn consumers of the danger or face liability.(A) True(B) False

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True. If a producer learns after it sells a product that it has a problem that might cause consumers injuries, the producer must warn consumers of the danger or face liability.

This is known as the duty to warn or the duty to provide adequate warning, which is a legal obligation imposed on manufacturers and sellers to provide consumers with sufficient information about the potential risks associated with using their products.

If a producer fails to warn consumers of a known danger associated with a product, they may be held liable for any injuries or damages resulting from the use of the product.

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The given statement "If a producer learns after it sells a product that it has a problem that might cause consumers injuries, the producer must warn consumers of the danger or face liability" is True.

Under product liability laws, manufacturers have a responsibility to ensure that their products are safe for consumers to use. This includes ensuring that consumers are aware of any potential risks associated with using the product. If a manufacturer becomes aware of a problem with their product that could potentially cause harm to consumers, they have a legal obligation to warn consumers of the danger.

Failure to provide adequate warnings can result in the manufacturer being held liable for any injuries or damages that consumers may suffer as a result of using the product. This can include compensating injured consumers for medical bills, lost wages, and pain and suffering.

Manufacturers have a duty to warn consumers of any potential dangers associated with their products. This is a crucial element of product safety and helps to protect consumers from harm. If a manufacturer fails to provide adequate warnings, they may be held liable for any injuries or damages that occur as a result.

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the candle shop experienced the following events during its first year of operations: acquired cash by issuing common stock. paid a cash dividend to the stockholders. paid cash for operating expenses. borrowed cash from a bank. provided services and collected cash. purchased land with cash. determined that the market value of the land is higher than the historical cost.

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The candle shop experienced several events during its first year of operations. Firstly, they acquired cash by issuing common stock.

This means that they sold ownership shares in the company to investors in exchange for cash. Secondly, they paid a cash dividend to the stockholders, which is a distribution of profits to shareholders. Thirdly, they paid cash for operating expenses, which are the costs incurred in running the business such as rent, utilities, and wages. Fourthly, they borrowed cash from a bank, which means they took out a loan that they will have to pay back with interest. Fifthly, they provided services and collected cash, which means they sold candles and received payment for them.

Lastly, they purchased land with cash. However, they determined that the market value of the land is higher than the historical cost. This means that the value of the land has increased since they bought it, which is good news for the business.

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president david rose refuses to spend the money congress appropriated for the environmental protection agency. in response, congress has rejected the of funds. this scenario illustrates:

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The scenario described above illustrates a power struggle between the executive and legislative branches of the government. President David Rose's refusal to spend the money that Congress appropriated for the Environmental Protection Agency (EPA) is an example of executive overreach, as it undermines the constitutional authority of the legislative branch to control the purse strings.

Congress, in response, has rejected the offer of funds, which is a clear indication of their dissatisfaction with the president's actions. This scenario is not uncommon in politics, as it is often the case that the two branches of government disagree on how to allocate resources.

In such situations, the constitution provides for a system of checks and balances that ensures no branch of government becomes too powerful. In this case, Congress is exercising its power of the purse, which is a critical tool for maintaining a balance of power between the executive and legislative branches.

Ultimately, this scenario underscores the importance of respecting the constitutional authority of each branch of government and the need for cooperation and compromise to ensure the effective functioning of the government.

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in design view, a gray bar in a form or report that identifies and separates one section from another; used to select the section and to change the size of the section is called?

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The gray bar in a form or report that identifies and separates one section from another in Design view is called a "section bar."

It is used to select the section and change its size by clicking and dragging the bar up or down. The section bar can be found in the Navigation pane in Access and is also visible in the Design view of the form or report. In Microsoft Access, a form or report is divided into different sections, such as the Detail section, Header section, Footer section, etc. Each section serves a specific purpose and displays different types of information. The section bar is a vertical bar that appears on the left side of each section in Design view, and it separates one section from another.

To select a section using the section bar, you can simply click on the bar. When a section is selected, it will have a darker background, and you can perform various actions on it, such as resizing the section, adding or deleting controls, changing the section's properties, and more.

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In design view, the gray bar in a form or report that identifies and separates one section from another is called a "section bar". This section bar can be used to select the section and to change the size of the section.

It is a useful tool for organizing and structuring forms and reports, allowing designers to easily differentiate between different sections and adjust their layout accordingly. With the section bar, designers can create clear and visually appealing forms and reports that effectively communicate important information to users. In summary, the section bar is an essential feature of the design view that helps designers create well-structured and organized forms and reports in an efficient manner.

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You open a retirement savings account where you deposit $300 per month in an account earning 8% interest (compounded monthly). You plan to retire in 30 years. How much will have in the account when you retire?
A. $447,107
B. $411,367
C. $499,998
D. $543,787
E. $528,235

Answers

I opened a retirement savings account where you deposit $300 per month in an account earning 8% interest (compounded monthly). I planned to retire in 30 years. The amount I will have in the account when I retire is $543,787

To answer this question, we need to use the compound interest formula:
[tex]A = P(1 + r/n)^{nt}[/tex]

Where:

A = the amount in the retirement savings account when you retire
P = the initial deposit ($300 per month)
r = the interest rate (8%)
n = the number of times the interest is compounded in a year (12 for monthly)
t = the number of years you are saving (30)

Plugging in these values, we get:
[tex]A = 300(1 + 0.08/12)^{(12\times30)}[/tex]

Simplifying this equation, we get:
[tex]A = 300(1.00667)^{(360)}[/tex]
A = 300(6.621)
A = $1,986.30

However, this is only the amount in the account after one year. To find out how much you will have in the account when you retire in 30 years, we need to multiply this amount by the number of months in 30 years (360):
A = $1,986.30 * 360
A = $715,668.00

Therefore, the answer is D. $543,787. This is the closest option to the calculated value of $715,668.00.

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You are considering an investment in Justus Corporation's stock, which is expected to pay a dividend of $1.75 a share at the end of the year (D1 = $1.75) and has a beta of 0.9. The risk-free rate is 3.2%, and the market risk premium is 6.0%. Justus currently sells for $33.00 a share, and its dividend is expected to grow at some constant rate, g. Assuming the market is in equilibrium, what does the market believe will be the stock price at the end of 3 years? (That is, what is P3 ?) Round your answer to two decimal places. Do not round your intermediate calculations.

Answers

The market believes that the stock price will be $40.34 at the end of three years.

The current price of the stock, P0, can be calculated using the dividend discount model:

P0 = D1 / (r - g)

where r is the required rate of return and g is the expected constant growth rate of dividends. We are given D1, and we can calculate r as follows:

r = rf + β (rm - rf)

= 0.032 + 0.9 * 0.06

= 0.086

So, P0 = 1.75 / (0.086 - g)

We are also given that P0 = $33.00, so we can solve for g:

33 = 1.75 / (0.086 - g)

g = 0.035

Therefore, the expected constant growth rate of dividends is 3.5%. We can use the constant growth version of the dividend discount model to find P3:

P3 = D4 / (r - g)

= D1 * (1 + g)^3 / (r - g)

= 1.75 * (1.035)^3 / (0.086 - 0.035)

= $40.34

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be 9 yes Financial results may a misleading indicator of strategic health of a company do you agree with this statement? Explain start with with this statement or agree I do not agree Strictly one page: Strateg-effectiveness effia oncy - financial is operations : *Machoki - Readings FOC FIDEL MWAKI 4 COMPANY ADVOCATES$

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I agree with the statement that financial results may be a misleading indicator of the strategic health of a company. While financial performance is undoubtedly important, it cannot be the only metric for evaluating a company's overall success.

A company may have strong financial results but still struggle with operational efficiency, or its strategic goals may not align with its financial performance.

For example, a company may have achieved high profitability through cost-cutting measures, but at the expense of investing in long-term growth opportunities.

Alternatively, a company may have incurred short-term losses in pursuit of a strategic shift that will position it for long-term success.

Therefore, it is essential to evaluate a company's overall strategy, effectiveness, efficiency, and operations alongside financial performance to gain a comprehensive understanding of its strategic health. Focusing solely on financial results can lead to a short-sighted view of a company's long-term prospects.

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a fixed set of characteristics we apply to all members of a group is called (a/n)

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A fixed set of characteristics we apply to all members of a group is called a "stereotype."

A stereotype is a simplified and generalized belief about the traits and behaviors of a certain group, where the same characteristics are assigned to all members of that group.

A decent arrangement of qualities that we will generally credit to all gathering individuals is known as a generalization. Preconceptions or beliefs about a group of people based on how they are perceived to belong to that group are called stereotypes. Age, gender, race, ethnicity, religion, profession, or social class are just a few of the many characteristics that can serve as the foundation for these beliefs. Both positive and negative stereotypes are frequently oversimplified, exaggerated, or inaccurate. They can be unsafe on the grounds that they can prompt segregation, bias, and inclination against people dependent exclusively upon their gathering enrollment, as opposed to their singular characteristics and activities.

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if you were to create a new stock index for a particular market, how would you design it? how is the nikkei weighted, what does that mean?

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To create a new stock index for a particular market, you would first need to define the scope of the market, such as a specific industry or geographical region.

Next, select a group of representative stocks that best capture the performance of the market. Then, decide on a weighting method to assign importance to each stock in the index.

The Nikkei, for example, is a price-weighted index, which means that stocks with higher prices have a greater impact on the index's value. To calculate the index, you would sum up the stock prices and divide by a divisor that adjusts for stock splits and other factors.

Finally, regularly review and update the stock selection and weightings to ensure the index accurately reflects the market's performance.

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Deposits of P are placed into a fund at the end of each year for 10 years. At an effective annual interest rate is 7%, the accumulated value of the series of payments at the end of the 10th year is 1084.31. Find P. a. 73.35 b. 78.48 c. 93.88 d. 88.61 e. 88.75

Answers

The answer is (b) 78.48.

How to calculate the value of an annuity deposit based on its accumulated value and the interest rate.?

We can use the formula for the future value of an annuity to solve this problem:

FV =[tex]P * (\frac{(1 + r)^{n - 1}} { r})[/tex]

where:

FV is the future value of the annuityP is the annual paymentr is the effective annual interest raten is the number of payments

In this case, we know that:

FV = 1084.31

r = 7% = 0.07

n = 10

Substituting these values into the formula, we get:

1084.31 = P * [tex](\frac{(1 + 0.07)^{10 - 1)} }{ 0.07})[/tex]

Solving for P, we get:

P = 1084.31 * [tex](\frac{0.07 } {((1 + 0.07)^{10 - 1}})[/tex] ≈ 78.48

Therefore, the answer is (b) 78.48.

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the future value of an ordinary annuity table is used when calculating multiple choice question. the present value of a series of payments. the present value of a single amount. the future value of a series of payments.

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The future value of an ordinary annuity table is a tool used to calculate the future value of a series of payments made at the end of each period over a certain number of periods.

This table helps individuals determine the amount they will have in the future based on their current investment or savings plan. By using the table, investors can estimate the value of their investment at the end of the investment period, assuming they make regular, equal payments.

The table is also useful in calculating the present value of a series of payments. By taking the future value of these payments and discounting it back to the present, individuals can determine the amount they would need to invest today to achieve their desired future value. This is known as the present value of an ordinary annuity.

The present value of a single amount is also important to consider when investing. This refers to the value of a lump sum payment today that will grow over time, assuming a certain rate of return. By understanding the present value of a single amount, investors can better determine how much they need to invest to reach their financial goals.

In summary, the future value of an ordinary annuity table is a valuable tool for investors to determine the future value of their investments and savings plans. It can also be used to calculate the present value of a series of payments and a single lump sum payment.

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martha stewart employs a(n) style of leadership for her lifestyle brand martha stewart living. she makes every decision, no matter how small. martha is able to make quick decisions due to her consistent vision.her style can be described as:

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Martha stewart employs style of leadership for her lifestyle brand martha stewart living. Because to crisis management, the company had limited harm. Martha Stewart committed her crimes while conducting her usual business.

A crime is an illegal conduct that is subject to governmental or other punishment. Modern criminal law lacks a clear and widely agreed definition of what constitutes a crime, despite the fact that legislative definitions have been established.

Crime is the deliberate performance of an act that is generally regarded as socially destructive or dangerous and is expressly banned by, and subject to, criminal sanctions.The process by which an organisation handles unforeseen events that could hurt the organisation or its stakeholders is known as crisis management. If damage control is not done right away, Brand value can be easily destroyed. When a firm is facing a crisis, crisis management enables the creation of a system that is effectively coordinated, has good internal and external communication, and is simple to use.

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___________ occurs when a supervisor earns less than his or her subordinates
a) Role conflict
b) Role ambiguity
c) status incongruence
d) informal status

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The "status incongruence" occurs when a supervisor earns less than his or her subordinates. The correct option is C.

Status incongruence is a term used to describe a situation where an individual's position or rank within a social hierarchy is incongruent or inconsistent with their income, power or prestige.

In the workplace, the supervisor earns less than subordinates, that can lead to low job satisfaction, low morale, and decreased productivity. There are several supervisor role like counselor, director, and sponsor.

Therefore, the correct option is C, which is status incongruence.

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instead of highly predatory behaviors i marketing channel relationships in the 21st-century, value chain relationships are characterized by:

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Value chain relationships are built on a foundation of trust and cooperation. Members of the value chain work together to share information, coordinate activities, and solve problems.

In the 21st century, value chain relationships are characterized by collaborative and cooperative behaviors rather than highly predatory behaviors in marketing channel relationships. Value chain relationships focus on mutual benefit for all parties involved. Value chain relationships are typically long-term, strategic partnerships that focus on creating and sustaining value over time.  

Value chain relationships are built on a foundation of trust and cooperation. Members of the value chain work together to share information, coordinate activities, and solve problems.  Value chain relationships rely on open communication between all parties involved. This means that information is shared freely and transparently to help ensure that everyone is working toward the same goals.

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After deducting the 20.10% withholding tax on interest
income, a 110,000 time deposit for 31 days earns 890.41 at
maturity. Calculate the annual interest rate.

Answers

The annual interest rate can be calculated by applying the following formula:

Annual Interest Rate = (890.41/110,000) x (1 - 0.201) x (365/31)

The answer is 7.11%.

This calculation assumes that interest is paid at the end of the period, which is why we are dividing the final amount by the initial amount. The withholding tax of 20.10% is subtracted from this amount as it is not part of the interest income. The 365 days in a year is divided by the number of days in the deposit period to get the daily rate. This rate is then multiplied by the amount remaining after the withholding tax to get the annual rate.

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Your broker charges $0.0013 per share per trade. The exchange charges $0.0077 per share per trade for removing liquidity and credits $0.0059 per share per trade for adding liquidity. The current best BID price for stock XYZ is $64.97 per share, while the current best ASK price is $64.98 per share. You post an order to buy XYZ at the current best ASK price, and your buy order is executed. Shortly after, the best BID and ASK prices move lower (down) by one cent each. Immediately, you post an order to sell XYZ at the new best ASK price and wait. Shortly after, the best BID and ASK prices move higher (up) by one cent each. Your sell order is executed. What will be your net loss per share to buy and sell XYZ after considering the commissions and any exchange fees or credits?

Answers

Your net loss per share to buy and sell XYZ after considering the commissions and any exchange fees or credits is $0.0144.

To calculate the net loss per share, follow these steps:

1. Buy XYZ at the best ASK price: $64.98 per share.

Broker's fee: $0.0013 per share.

Exchange fee for removing liquidity: $0.0077 per share.

Total cost to buy one share: $64.98 + $0.0013 + $0.0077 = $64.989 per share.

2. The best BID and ASK prices move lower by one cent each.

New best ASK price: $64.97 per share.

3. Post an order to sell XYZ at the new best ASK price: $64.97 per share.

Exchange credit for adding liquidity: $0.0059 per share.

4. The best BID and ASK prices move higher by one cent each.

Your sell order is executed at the previous ASK price: $64.97 per share.

Broker's fee: $0.0013 per share.

Total amount received for selling one share: $64.97 - $0.0013 + $0.0059 = $64.9746 per share.

5. Calculate the net loss per share.

Net loss = Total cost to buy one share - Total amount received for selling one share

Net loss = $64.989 - $64.9746 = $0.0144 per share.

Your net loss per share to buy and sell XYZ is $0.0144.

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Assign numMatches with the number of elements in userValues that equal matchValue. userValues has NUM_VALS elements. Ex: If userValues is {2, 1, 2, 2} and matchValue is 2, then numMatches should be 3.Your code will be tested with the following values:matchValue: 2, userValues: {2, 1, 2, 2} (as in the example program above)matchValue: 0, userValues: {0, 0, 0, 0}matchValue: 10, userValues: {20, 50, 70, 100} 2. Which sequence of transformations takes the graph of y = k(x) to the graph of y=-k(x + 1)? A. Translate 1 to the right, reflect over the x-axis, then scale vertically by a factor of 1/2B. Translate 1 to the left, scale vertically by 1/2 , then reflect over the y-axis. C. Translate left by 1/2, then translate up 1. D. Scale vertically by 1/2, reflect over the x-axis, then translate up 1. how long will it take for vermont to double its economy if it maintains this growth rate? give your answer to two decimals. 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Due to his concentrated position, he wants to hedge against the price of XYZ stock falling more than 20%. He can do this by buying put options with a strike price of $36.1. Assume that Mr. Smith does not have the necessary amount of liquid assets (other than his stock which he cannot sell) to be able to purchase these put options so he will have to enter into an equity collar. At what strike price should he strike the corresponding call options?2. If Mr. Smith decides that he can raise enough cash to put up $200,000 to pay for some of the puts, how will it affect the strike price on the call?3. If instead of three months, the restriction on his stock is six months, how will this change the hedge? Solve for the appropriate put and call strikes.4. Using your answers from a) above, assume that after one month, the stock price goes up to $70 and Mr. Smith wants to unwind his hedge. Describe how you would go about terminating this hedge. 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If the bond has 10 years left to maturity and it is currently quoted at 10What is the annual coupon income on a $1000 par value bond that pays a 5% coupon rate? 1. estonia was an independent country until 1939 when stalin and hitler signed the molotov-ribbentrop pact that had a secret clause dividing europe between the two nations. soviet troops soon occupied estonia as a result of this pact. after the soviet troops invaded estonia there was one soviet solider for about how many estonians? group of answer choices 1 soviet solider for every 5 estonian 1 soviet solider for every 18 estonian 1 soviet solider for every 12 estonian 1 soviet solider for every 10 estonian