the following information is available for market, incorporated and supply, incorporated at december 31: accountsmarket, incorporatedsupply, incorporated accounts receivable$ 58,000$ 80,200 allowance for doubtful accounts2,3482,456 sales revenue656,960877,100 required: what is the accounts receivable turnover for each of the companies? what is the average days to collect the receivables? assuming both companies use the percent of receivables allowance method, what is the estimated percentage of uncollectible accounts for each company?

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Answer 1

To calculate the accounts receivable turnover, average collection period, and estimated percentage of uncollectible accounts for Market, Incorporated, and Supply, Incorporated.

The accounts receivable turnover ratio measures how efficiently a company collects its receivables. It is calculated by dividing the net credit sales by the average accounts receivable. The average collection period is the average number of days it takes for a company to collect its receivables and is calculated by dividing 365 days by the accounts receivable turnover ratio.

To estimate the percentage of uncollectible accounts using the percent of receivables allowance method, we divide the allowance for doubtful accounts by the accounts receivable.

By applying the formulas mentioned above to the given data for Market, Incorporated, and Supply, Incorporated, we can calculate the accounts receivable turnover, average collection period, and estimated percentage of uncollectible accounts for each company.

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Related Questions

Question 4 The expressions in this figure represent the measures of the interior angles. Solve for the value of x.

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The value of x is approximately 31.82 degrees.

The figure represents a polygon with interior angles. To solve for the value of x, we need to apply the property that the sum of the interior angles of a polygon is equal to (n-2) times 180 degrees, where n is the number of sides of the polygon.

Let's analyze the figure. We can see that the polygon has 4 sides, which makes it a quadrilateral.

According to the property mentioned earlier, the sum of the interior angles of a quadrilateral is equal to (4-2) * 180 degrees = 2 * 180 degrees = 360 degrees.

In the figure, we can see that two angles are labeled as 3x degrees, one angle is labeled as (x + 20) degrees, and one angle is labeled as (4x - 10) degrees.

To solve for x, we can set up an equation by adding up the measures of the interior angles:

3x + 3x + (x + 20) + (4x - 10) = 360

Simplifying the equation:

3x + 3x + x + 20 + 4x - 10 = 360

11x + 10 = 360

Subtracting 10 from both sides:

11x = 350

Dividing both sides by 11:

x = 350/11

So, the value of x is approximately 31.82 degrees.



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Answer:

its 15

Explanation:

plato

Many brick and mortar franchisees are using ______ to expand their businesses online to lower costs and better meet the needs of their customers.

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Many brick and mortar franchisees are using eCommerce to expand their businesses online to lower costs and better meet the needs of their customers.

Ecommerce has enabled businesses to grow at an exponential rate. It has given retailers and businesses the ability to connect with a larger customer base and increase their revenue while reducing operational costs. By expanding to an online platform, brick and mortar franchisees can increase their reach and lower the costs associated with operating a physical storefront.

Businesses using ecommerce can sell products directly to their customers. They can take advantage of new marketing channels and improve customer engagement. They can also optimize their supply chain by streamlining inventory management and logistics, allowing them to reduce the time and money spent on fulfilling orders. With eCommerce, businesses can connect with their customers anywhere, anytime, and on any device.

As a result of eCommerce, franchisors are now capable of providing support to franchisees through e-learning platforms. These platforms can provide franchisees with marketing support, store operations training, and much more.

Ecommerce has made it easier than ever for businesses to connect with customers and streamline their operations. It has also given brick and mortar franchisees the opportunity to lower their costs and better meet the needs of their customers.

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Lola, Jacy, and Tate plan to create a company to manufacture bicycles. After reviewing the pros and cons of the various forms of business enterprises, they decide to create a limited liability company. To create a limited liability company:

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Steps to create a limited liability company

1. Choose a business name

2. File articles of organization

3. Pay filing fees

4. Create an operating agreement

5. Obtain necessary licenses and permits

6. Comply with tax obligations

7. Maintain compliance

To create a limited liability company (LLC) to manufacture bicycles, Lola, Jacy, and Tate need to follow these steps:

1. Choose a business name: Select a unique and suitable name for your LLC that reflects your bicycle manufacturing business. Make sure to check if the chosen name is available and complies with the requirements of your local state laws.

2. File articles of organization: Prepare and file the articles of organization with the appropriate state agency. These documents usually include basic information about the LLC, such as its name, address, purpose, and the names of the owners (referred to as members).

3. Pay filing fees: Along with the articles of organization, pay the required filing fees to the state agency. The fees vary by state.

4. Create an operating agreement: Although not always legally required, it is highly recommended to create an operating agreement. This document outlines the ownership and management structure of the LLC, as well as the rights and responsibilities of the members. It can also include provisions on profit sharing, decision-making processes, and the procedures for adding or removing members.

5. Obtain necessary licenses and permits: Research and obtain any required licenses and permits to operate a bicycle manufacturing business in your locality. This may include business licenses, sales tax permits, and zoning permits, among others. Check with your local government or licensing agency for specific requirements.

6. Comply with tax obligations: Register for an Employer Identification Number (EIN) with the Internal Revenue Service (IRS). This number will be used to identify your LLC for tax purposes. Additionally, familiarize yourself with your state and federal tax obligations, including income taxes and sales taxes, and ensure that you are in compliance.

7. Maintain compliance: To maintain the liability protection offered by the LLC structure, it's important to adhere to the ongoing requirements of your state. This may include filing annual reports, paying annual fees, and conducting regular meetings of the members.

By following these steps, Lola, Jacy, and Tate can create a limited liability company to manufacture bicycles. Remember to consult with legal and tax professionals for guidance specific to your jurisdiction and business needs.

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As a real estate​ speculator, you are planning and able to buy a house that costs​ $200,000, borrowing the full amount with no money down with the goal of selling this same property in exactly one year. Mortgage interest rates are​ 5%, and the expected increase in housing prices is​ 2%.​ (All rates and percentages are annual​ values.)

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The investment would result in a net cost of $6,000, considering the mortgage interest expense and expected increase in housing prices. Other factors and risks should be considered in real estate investments.

As a real estate speculator, your plan is to buy a house for $200,000, borrowing the full amount with no money down, and sell it in exactly one year. The mortgage interest rate is 5%, and the expected increase in housing prices is 2% (all rates and percentages are annual values).

Parameters, let's calculate the potential outcomes of your investment:

1. Mortgage Interest Expense: With a loan amount of $200,000 and an interest rate of 5%, your annual interest expense would be $200,000 * 0.05 = $10,000.

2. Expected Increase in Housing Prices: The expected increase in housing prices is 2%, which means the value of the house is anticipated to rise by $200,000 * 0.02 = $4,000.

Considering these calculations, the total cost of your investment would be the interest expense ($10,000), while the potential gain would be the expected increase in housing prices ($4,000). Therefore, the net result of this investment strategy would be a cost of $10,000 - $4,000 = $6,000.

It's important to note that this analysis only considers the financial aspects and does not take into account other factors such as transaction costs, taxes, maintenance expenses, and market uncertainties. Real estate investments involve risks, and it's advisable to conduct a thorough evaluation and consult with professionals before making investment decisions.

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Good Blank______ management creates a seamless value chain in which merchandise is produced and distributed in the right quantities, to the right locations, and at the right time, while minimizing system-wide costs and maximizing satisfaction of the value required by customers.

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Good inventory management creates a seamless value chain in which merchandise is produced and distributed in the right quantities, to the right locations, and at the right time, while minimizing system-wide costs and maximizing satisfaction of the value required by customers.

What is Inventory Management. Inventory management is the supervision and maintenance of a company's inventory. It entails maintaining and tracking the inventory and monitoring stock levels to avoid stockouts and overstocks.

Inventory management involves ensuring that the right items are in the right quantities, at the right locations, and at the right time. It's all about making the best use of your inventory to improve your company's bottom line.

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4) Economic nationalists in developed countries worry that international trade is destroying the national economy. A common complaint is that trade agreements open the economy to increased trade with countries where workers are paid a fraction of what they earn at home. Explain the faulty logic of this argument.

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The argument put forward by economic nationalists is based on faulty logic. It wrongly assumes that international trade is the primary cause of job losses in the domestic industry, and it wrongly assumes that international trade is a zero-sum game. In reality, international trade can be beneficial for both countries if they specialize in producing the goods and services they can produce most efficiently.

Economic nationalists in developed countries worry that international trade is destroying the national economy.

A common complaint is that trade agreements open the economy to increased trade with countries where workers are paid a fraction of what they earn at home.

Economic nationalists contend that trade agreements lead to job losses in domestic industries as companies close their operations in the United States and move them to countries where wages are lower.

This argument is an example of faulty logic, which means that it is wrong because it is based on incorrect or inaccurate reasoning.

This argument is false because it assumes that trade agreements are the primary cause of job losses in the domestic industry. However, this is not true because many factors contribute to job losses in the domestic industry, including automation, technological change, and shifts in consumer preferences.

Furthermore, it is incorrect to assume that international trade is a zero-sum game, in which one country gains while the other loses. In fact, international trade can benefit both countries if each country specializes in producing the goods and services it can produce most efficiently and then trades with other countries for the goods and services it cannot produce efficiently.

Therefore, the argument put forward by economic nationalists is based on faulty logic. It wrongly assumes that international trade is the primary cause of job losses in the domestic industry, and it wrongly assumes that international trade is a zero-sum game. In reality, international trade can be beneficial for both countries if they specialize in producing the goods and services they can produce most efficiently.

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they experience the highest rate of injuries resulting from workplace violence in all industries. violence affects workers from all disciplines in the healthcare field. duhart (2001)

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According to Duhart (2001), the healthcare industry experiences the highest rate of injuries resulting from workplace violence compared to other industries.

This issue affects workers across various disciplines within the healthcare field, highlighting the widespread impact of violence in healthcare settings.

The statement suggests that the healthcare industry has the highest occurrence of workplace violence-related injuries compared to other industries.

This means that healthcare workers are more likely to be victims of violent incidents while on the job.

The reference to Duhart (2001) implies that this information is based on a study or research conducted by Duhart in that year.

It further emphasizes that workplace violence in healthcare is not limited to specific job roles or departments

but affects workers across various disciplines within the healthcare field.

This highlights the widespread nature of the issue and the need for measures to address and prevent workplace violence in healthcare

settings.

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Ow much of the first payment goes to interest expense and how much goes to reducing the carrying value of the loan? (round your answers to 2 decimal places.)

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So, in this example, $41.67 of the first payment goes towards interest expense, and $158.33 goes towards reducing the carrying value of the loan.


To determine how much of the first payment goes to interest expense and how much goes to reducing the carrying value of the loan, we need some additional information. Specifically, we need the interest rate on the loan and the loan amount.
Let's assume that the interest rate on the loan is 5% and the loan amount is $10,000.
First, we need to calculate the interest expense. Multiply the loan amount by the interest rate to find the annual interest expense. In this case, it would be $10,000 * 0.05 = $500.

Next, divide the annual interest expense by the number of payment periods in a year to find the interest expense for each payment. If there are monthly payments, for example, divide the annual interest expense by 12. Assuming monthly payments, the interest expense per payment would be $500 / 12 = $41.67.

To determine how much of the payment goes towards reducing the carrying value of the loan, subtract the interest expense from the total payment. Let's say the total payment is $200. Subtracting the interest expense of $41.67 from $200 gives us $200 - $41.67 = $158.33.

So, in this example, $41.67 of the first payment goes towards interest expense, and $158.33 goes towards reducing the carrying value of the loan.

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The rate of economic growth, given flexible prices and the existing real factors of capital, labor, and technology, is known as the:

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The rate of economic growth, given flexible prices and the existing real factors of capital, labor, and technology, is known as the "potential growth rate" or "long-run growth rate."

This concept represents the maximum sustainable rate at which an economy can expand over an extended period, taking into account its available resources and technological advancements. Potential growth is determined by factors such as the growth of the labor force, productivity gains resulting from technological advancements, and increases in capital stock. It is influenced by various macroeconomic factors, including investment levels, educational attainment, innovation, infrastructure development, and institutional factors that promote economic efficiency.

The potential growth rate serves as a benchmark for policymakers and analysts to assess the economy's capacity to generate sustainable output growth in the long term. It provides insights into an economy's underlying growth potential and helps shape economic policies aimed at fostering productivity, investment, and human capital development.

It's important to note that the actual growth rate of an economy can deviate from its potential growth rate in the short term due to factors like business cycles, demand fluctuations, policy interventions, or external shocks. However, over the long run, an economy's actual growth rate tends to converge towards its potential growth rate as imbalances are corrected and resources are efficiently allocated.

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assuming that there are no other revenues and gains amount reported for other expenses and losses is

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Assuming that there are no other revenues and gains amount reported for other expenses and losses is a scenario that can happen in a business.

A company's income statement reports all revenue and expenses that it incurs over a given period. It begins with the company's revenue, which is the total amount of money it receives from selling goods or services.

The company's expenses are then deducted from its revenue to determine its net income. In some cases, companies may have additional sources of revenue and gains beyond their primary business activities.

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Even though titan has liquid methane on its surface, some internal heat, and plenty of carbon-containing compounds, it is not a suitable place for life because?

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Even though Titan has liquid methane on its surface, some internal heat, and plenty of carbon-containing compounds, it is not a suitable place for life because of several reasons:
1. Extremely cold temperatures: Titan is known for its extremely cold temperatures, averaging around -290 degrees Fahrenheit (-179 degrees Celsius). Such low temperatures make it challenging for life as we know it to survive or thrive.
2. Lack of liquid water: Water is a fundamental requirement for life as we know it. While Titan does have liquid on its surface, it is not water but liquid methane and ethane. Water, with its unique properties, is essential for many biological processes, and the absence of liquid water makes it unlikely for life to exist on Titan.
3. Limited energy sources: Life on Earth relies on the Sun's energy for photosynthesis and other metabolic processes. Titan, being much further from the Sun, receives only a small fraction of the sunlight that reaches Earth. The limited sunlight and the absence of other significant energy sources make it challenging for life to sustain itself on Titan.
4. Lack of a suitable atmosphere: Titan's atmosphere mainly consists of nitrogen, with some methane and trace amounts of other gases. This composition, combined with the thick haze of hydrocarbons, creates a hostile environment for life. The lack of oxygen and the presence of toxic compounds further make it inhospitable for life as we know it.

In summary, while Titan has certain conditions like liquid methane and carbon-containing compounds, it lacks vital elements like liquid water, suitable temperatures, and a hospitable atmosphere, making it an unsuitable place for life as we currently understand it.

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Where has the theory of multidisciplinary collaboration in design thinking originated from?.

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The theory of multidisciplinary collaboration in design thinking originated from a combination of influences and practices across various fields and disciplines. However, it can be traced back to the field of design and the emergence of design thinking as a problem-solving approach.

Design thinking, as a methodology, emphasizes a human-centered approach to problem-solving and innovation. It draws inspiration from fields such as industrial design, architecture, engineering, and cognitive psychology. The concept of multidisciplinary collaboration within design thinking recognizes that complex problems often require diverse perspectives, expertise, and skills to generate innovative solutions.

Additionally, the concept of multidisciplinary collaboration is influenced by the broader shift towards interdisciplinary approaches in research, education, and practice. As the recognition grew that many challenges cannot be adequately addressed within the boundaries of a single discipline, the importance of collaboration and integration of knowledge from multiple fields became more prominent.

Overall, the theory of multidisciplinary collaboration in design thinking has evolved through the integration of ideas and practices from design, various disciplines, and the growing understanding of the value of diverse perspectives in problem-solving and innovation.

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U.S. oil production ________. will peak out in 2100, requiring for the first time imports to meet growing demand is sufficient to meet national needs thanks to major conservation efforts has to fit the quotas imposed by OPEC is now high enough for us to export nearly 50% falls far short of U.S. oil consumption

Answers

U.S. oil production falls far short of U.S. oil consumption. This could be due to various factors such as increasing population, industrial growth, and transportation

Based on the options provided, the main answer is that U.S. oil production falls far short of U.S. oil consumption. This means that the amount of oil being produced within the United States is not enough to meet the country's demand for oil. As a result, the United States has to rely on imports to meet the growing demand for oil.

This situation highlights the fact that the United States is consuming more oil than it is producing. This could be due to various factors such as increasing population, industrial growth, and transportation needshis could be due to various factors such as increasing population, industrial growth, and transportation needs. To ensure that the demand for oil is met, the United States has to import oil from other countries.It's important to note that this answer is based on the given options and the assumption that all the options are mutually exclusive. In reality, the U.S. oil production and consumption dynamics are more complex and can vary over time.

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Decisions that relate to the design of the processes and the infrastructure needed to support these processes relate to which oscm concept?

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The decisions that relate to the design of processes and the infrastructure needed to support these processes are related to the concept of Operations and Supply Chain Management (OSCM). In OSCM, these decisions are known as process design decisions.


Process design decisions involve determining how tasks are organized, the sequence of tasks, and the resources needed to carry out the tasks efficiently. These decisions are crucial in achieving operational efficiency and effectiveness.

Here is a step-by-step explanation of how process design decisions relate to the concept of OSCM:

1. OSCM focuses on managing the entire process of converting inputs into outputs, which includes designing and managing the processes involved.

2. Process design decisions involve determining the best way to organize and structure these processes to achieve the desired outcomes. This includes decisions on the flow of materials, information, and resources through the process.

3. These decisions also involve designing the infrastructure needed to support the processes. This may include decisions on the layout of facilities, the selection of equipment, and the implementation of technology to facilitate efficient operations.

4. Process design decisions have a direct impact on various aspects of OSCM, such as cost, quality, speed, flexibility, and customer satisfaction.

In conclusion, the decisions that relate to the design of processes and the infrastructure needed to support these processes are an integral part of the concept of OSCM. These decisions, known as process design decisions, play a crucial role in achieving operational efficiency and effectiveness.

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On December 1, Tom's House of Dollhouses increased the price of all its dolls by 25%. In January, Tom is having a sale where all the dolls are priced 20% off the December prices. For any doll, is the January price higher than, lower than, or the same as the November price for that same doll

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For any doll, the January price is the same as the November price for the doll.

Tom’s House of Dollhouses is a business that deals in dollhouses. The price of its dolls was increased by 25% on December 1. In January, Tom will have a sale where all the dolls will be priced 20% off the December prices.

To calculate if the January price of any doll is higher than, lower than, or the same as the November price for that same doll, we need to consider the following information:

Let's assume that the original price of the doll in November was $100. After a 25% increase, the price of the doll becomes:

$100 + 25% of $100

= $100 + $25

= $125

Therefore, in December, the price of the doll was $125.

The sale in January offers a discount of 20% on the December price of the doll.

The January price of the doll is:

$125 – 20% of $125

= $125 – $25

= $100

We can see that the January price of the doll is the same as the November price.

So, the January price is the same as the November price for any doll.

We can justify by noticing that when the December price was increased by 25%, the price increased by 1/4th of the original price. This means that the price of the doll was multiplied by 1.25. Here, the commutative property of multiplication is used.

When the January price is calculated, the price is decreased by 20%, which is 1/5th of the December price. This means that the December price is multiplied by 0.8. Multiplying these factors gives 1.25 × 0.8 = 1, which means that the January price is the same as the November price.

Therefore, the January price is the same as the November price for the doll.

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Roberto Designers was organized on January 1, 2021. The firm was authorized to issue 130,000 shares of $7 par value common stock. During 2021, Roberto had the following transactions relating to stockholders' equity: Issued 13,000 shares of common stock at $9 per share. Issued 26,000 shares of common stock at $10 per share. Reported a net income of $130,000. Paid dividends of $65,000. Purchased 3,000 shares of treasury stock at $12 (part of the 26,000 shares issued at $10). What is total stockholders' equity at the end of 2021

Answers

The total stockholders' equity at the end of 2021 for Roberto Designers is $406,000. This includes common stock, paid-in capital in excess of par value, retained earnings, and treasury stock.

To calculate the total stockholders' equity at the end of 2021, we need to consider the various transactions and events that occurred during the year. Let's break down each transaction and calculate the effect on stockholders' equity:

13,000 shares of common stock, priced at $9 each, were issued:

This transaction increases the common stock account and the paid-in capital in excess of par value. Since the par value is $7 per share, the increase in common stock is 13,000 shares * $7 = $91,000. The excess of the issue price over the par value is 13,000 shares * ($9 - $7) = $26,000.

Common Stock: $91,000

Paid-in Capital in Excess of Par Value: $26,000

26,000 shares of common stock, priced at $10 each, were issued:

Similar to the previous transaction, this increases the common stock and paid-in capital in excess of par value. The increase in common stock is 26,000 shares * $7 = $182,000, and the excess of the issue price over the par value is 26,000 shares * ($10 - $7) = $78,000.

Common Stock: $182,000

Excess of paid-in capital over par value: $78,000

Reported a net income of $130,000:

Retained earnings, which are a part of stockholders' equity, rise as a result of net income.

Retained Earnings: $130,000

Paid dividends of $65,000:

Dividends decrease retained earnings.

Retained Earnings: -$65,000

3,000 shares of treasury stock, out of the 26,000 issued at $10, were bought for $12:

A contra-equity account, such as Treasury stock, lowers stockholders' equity. The cost of the treasury stock is 3,000 shares * $12 = $36,000.

Treasury Stock: -$36,000

Now, let's calculate the total stockholders' equity by summing up the individual components:

Common Stock: $91,000 + $182,000 = $273,000

Paid-in Capital in Excess of Par Value: $26,000 + $78,000 = $104,000

Retained Earnings: $130,000 - $65,000 = $65,000

Treasury Stock: -$36,000

Total Stockholders' Equity: $273,000 + $104,000 + $65,000 - $36,000 = $406,000

Therefore, the total stockholders' equity at the end of 2021 is $406,000.

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Medical Savings Accounts (MSAs) are available to small business employees and self-employed individuals who have

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Medical Savings Accounts (MSAs) are available to small business employees and self-employed individuals who have a high-deductible health plan (HDHP).

Medical Savings Accounts (MSAs) are a type of tax-advantaged savings account that is used in conjunction with high-deductible health plans (HDHPs). The MSA can be used to pay for qualified medical expenses, and funds that are contributed to the account are tax-deductible. MSAs are designed to help small business employees and self-employed individuals pay for healthcare expenses while minimizing their tax liability. MSAs are only available to individuals who have a high-deductible health plan (HDHP).

An HDHP is a health insurance plan with a high deductible, which means that the insured must pay a certain amount out of pocket before their insurance kicks in. The idea behind HDHPs is that they provide individuals with a way to save money on their health insurance premiums while still being covered for catastrophic medical events.MSAs work in a similar way to traditional health savings accounts (HSAs). Like HSAs, MSAs are tax-advantaged, meaning that funds contributed to the account are tax-deductible. However, unlike HSAs, MSAs are only available to small business employees and self-employed individuals who have an HDHP. Additionally, MSAs have a lower contribution limit than HSAs, and funds in the account cannot be rolled over from year to year.Another difference between MSAs and HSAs is that MSAs are owned by the employer, whereas HSAs are owned by the individual. This means that if an individual leaves their employer, they cannot take their MSA with them. However, if an individual leaves their employer and has an HSA, they can take their account with them and continue to use it for qualified medical expenses.Explanation:Medical Savings Accounts (MSAs) are a type of tax-advantaged savings account that is used in conjunction with high-deductible health plans (HDHPs). The MSA can be used to pay for qualified medical expenses, and funds that are contributed to the account are tax-deductible. MSAs are designed to help small business employees and self-employed individuals pay for healthcare expenses while minimizing their tax liability.MSAs are only available to individuals who have a high-deductible health plan (HDHP). An HDHP is a health insurance plan with a high deductible, which means that the insured must pay a certain amount out of pocket before their insurance kicks in.

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A group of buyers and sellers with a potential to trade is known as a(an): Question 22 options: Trading block Cartel Market Sector

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A group of buyers and sellers with a potential to trade is known as a market.

A market refers to the interaction between buyers and sellers where goods, services, or assets are exchanged. It is a platform or system where buyers and sellers come together to engage in buying and selling activities.

A trading block refers to a group of countries that form a trade agreement to promote economic cooperation and reduce trade barriers among themselves.

A cartel refers to a group of companies or producers that collaborate to control prices, production, and market share in order to maximize their profits.

A market sector refers to a specific segment or industry within the overall market, such as the technology sector, healthcare sector, or financial sector.

Among the given options, the correct term for a group of buyers and sellers with a potential to trade is a market.

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A financial manager is evaluating a project which is expected to generate profits of $100,000 per year for the next 10 years. the project should be accepted if:_______

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The financial manager should accept the project if the present value of the project's expected profits exceeds the initial investment or if the project's net present value (NPV) is positive.

To determine whether the project should be accepted, the financial manager needs to calculate the NPV of the project. The NPV takes into account the time value of money by discounting future cash flows back to their present value. The formula for calculating NPV is:

NPV = CF₁ / (1 + r)¹ + CF₂ / (1 + r)² + ... + CFₙ / (1 + r)ⁿ - Initial Investment

Where:

CF₁, CF₂, ..., CFₙ represents the expected cash flows in each year (profits in this case).

r is the discount rate, which reflects the risk and opportunity cost of the investment.

Initial Investment represents the upfront cost or investment required for the project.

If the NPV is positive, it means that the present value of the project's expected profits exceeds the initial investment, indicating that the project is expected to generate a positive return and create value for the company. Therefore, the project should be accepted. Conversely, if the NPV is negative, it indicates that the project is not expected to generate sufficient returns to cover the initial investment and may result in a loss, making it less desirable to pursue.

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heat-em-up is the only firm producing grills. it costs $430 to produce a grill, and heat-em-up sells each grill for $950. after well done, a new firm with the same costs as heat-em-up, enters the market for grills, heat-em-up starts selling its grills for a price of $330.

Answers

In the given scenario, Heat-em-up is the only firm producing grills, and it costs them $430 to produce each grill. They sell each grill for $950.

However, after a new firm with the same costs as Heat-em-up enters the market, Heat-em-up reduces its price to $330 per grill.

To analyze the situation, we can compare the costs and revenues of Heat-em-up before and after the new firm enters the market.

Before the new firm entered the market:

- Cost to produce each grill: $430

- Selling price per grill: $950

Profit per grill = Selling price per grill - Cost to produce each grill

Profit per grill = $950 - $430 = $520

After the new firm entered the market:

- Cost to produce each grill: $430

- Selling price per grill: $330

Profit per grill = Selling price per grill - Cost to produce each grill

Profit per grill = $330 - $430 = -$100

As we can see, after the new firm entered the market and Heat-em-up reduced its price, the profit per grill became negative, indicating a loss of $100 per grill. Heat-em-up may have reduced the price in order to compete with the new firm and maintain its market share.

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A law firm received $2080 cash for legal services to be rendered in the future. The full amount was credited to the liability account Unearned Service Revenue. If the legal services have been rendered at the end of the accounting period and no adjusting entry is made, this would cause: revenues to be understated. liabilities to be understated. expenses to be overstated. net income to be overstated.

Answers

If the law firm received $2080 cash for legal services to be rendered in the future but did not make an adjusting entry after rendering the services, this would cause revenues to be understated in the accounting period. The correct opyion is that revenues would be understated.

If the law firm received $2080 cash for legal services to be rendered in the future and credited the full amount to the liability account Unearned Service Revenue, it means that they have received advance payment for services that have not yet been provided.

If no adjusting entry is made to recognize the revenue earned at the end of the accounting period, it would cause revenues to be understated.
Since the services have already been rendered, the law firm should recognize the revenue earned in the current accounting period by debiting the liability account Unearned Service Revenue and crediting the revenue account (e.g., Service Revenue).

Failure to make this adjusting entry would result in the revenue not being properly recognized, leading to an understatement of revenues.
Liabilities would not be understated because the amount has already been credited to the liability account. Expenses would not be overstated because the cash received is not related to any expenses incurred.

Net income would not be overstated because the revenue earned from the services has not been properly recognized. Therefore, the correct answer is that revenues would be understated.

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How will a new law mandating an increase in required levels of automobile insurance affect the equilibrium price and quantity in the market for new automobiles (note that cars and car insurance are complement goods)

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The introduction of a new law mandating an increase in the required levels of automobile insurance would lead to a decrease in the equilibrium price and quantity in the market for new automobiles, due to the complementary nature of cars and car insurance.

The introduction of a new law mandating an increase in the required levels of automobile insurance is bound to affect the equilibrium price and quantity in the market for new automobiles.

Below is an explanation

:Explanation

The new law mandating an increase in the required levels of automobile insurance would imply that consumers would be paying more money for their insurance premiums. This increase in price would most likely lead to a decrease in the demand for cars. This is because the increase in the price of automobile insurance would lead to a decrease in the demand for complement goods like cars.

Consequently, this decrease in demand would lead to a leftward shift of the demand curve. The outcome of this leftward shift would be a decrease in both the equilibrium price and quantity in the market for new automobiles.

In conclusion, the introduction of a new law mandating an increase in the required levels of automobile insurance would lead to a decrease in the equilibrium price and quantity in the market for new automobiles, due to the complementary nature of cars and car insurance.

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State whether each situation is a prepaid expense (PE), unearned revenue (UR), accrued revenue (AR) or an accrued expense (AE). 1. Unrecorded interest on savings bonds is $221. 2. Property taxes that have been incurred but that have not yet been paid or recorded amount to $342. 3. Legal fees of $1,140 were collected in advance. By year end 60 percent were still unearned. 4. Prepaid insurance had a $570 balance prior to adjustment. By year end, 40 percent was still unexpired. 5. Unpaid salaries earned by year end but not yet paid or recorded amounted to $984.

Answers

1. Situation 1: Unrecorded interest on savings bonds is $221.

This situation represents an accrued revenue (AR). Accrued revenue occurs when revenue has been earned but not yet recorded. In this case, the interest on savings bonds has been earned but not yet recorded. To record this accrued revenue, an adjusting entry will be made to recognize the revenue and increase the appropriate revenue account by $221.

2. Situation 2: Property taxes that have been incurred but not yet paid or recorded amount to $342.

This situation represents an accrued expense (AE). Accrued expenses occur when expenses have been incurred but not yet paid or recorded. In this case, the property taxes have been incurred but not yet paid or recorded. An adjusting entry will be made to recognize the expense and increase the appropriate expense account by $342.

3. Situation 3: Legal fees of $1,140 were collected in advance. By year-end, 60% were still unearned.

This situation represents unearned revenue (UR). Unearned revenue occurs when cash is received in advance for goods or services that have not yet been provided. In this case, legal fees of $1,140 were collected in advance, but by year-end, 60% of those fees were still unearned. To record this, an adjusting entry will be made to decrease the unearned revenue account by 40% of $1,140 and increase the appropriate revenue account by the same amount.

4. Situation 4: Prepaid insurance had a $570 balance prior to adjustment. By year-end, 40% was still unexpired.

This situation represents a prepaid expense (PE). Prepaid expenses occur when expenses are paid in advance and recorded as assets before they are used or consumed. In this case, prepaid insurance had a balance of $570 prior to adjustment, and by year-end, 40% of that amount was still unexpired. An adjusting entry will be made to decrease the prepaid insurance account by 60% of $570 and increase the appropriate expense account by the same amount.

5. Situation 5: Unpaid salaries earned by year-end but not yet paid or recorded amounted to $984.

This situation represents an accrued expense (AE). Accrued expenses occur when expenses have been incurred but not yet paid or recorded. In this case, the unpaid salaries have been earned by year-end but not yet paid or recorded. An adjusting entry will be made to recognize the expense and increase the appropriate expense account by $984.

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According to ___________ theory, each successive immigrant group experienced

strain to which some members reacted by innovating in accord with a tradition that

had been established by earlier American entrepreneurs.

a. Ethnic succession

b. Strain

c. Social control

d. Differential association

Answers

According to Ethnic succession theory, each successive immigrant group experienced strain to which some members reacted by innovating in accord with a tradition that had been established by earlier American entrepreneurs. The Correct option is A.

Ethnic succession theory is a theory that aims to explain the ethnic and racial succession of dominance that is often seen in American cities. In essence, the theory argues that different immigrant groups will compete with one another in the labor market and in the competition for other resources.

Over time, as one group becomes more dominant and successful, other groups will arrive and take their place.What is Strain Theory?Strain theory is a sociological theory that attempts to explain why people engage in criminal behavior. According to this theory, people who experience strain or stress are more likely to engage in criminal activity than those who do not.

Strain can come from a variety of sources, such as poverty, discrimination, and other social problems.Social control theory is a sociological theory that attempts to explain why people obey laws and other social norms. According to this theory, people are more likely to obey laws and social norms when they feel that they are being watched and that there will be consequences for their actions.

Differential association theory is a sociological theory that attempts to explain why people engage in criminal behavior. According to this theory, people learn how to commit crimes from their interactions with other people. If a person spends time with others who engage in criminal activity, they are more likely to engage in criminal activity themselves. The Correct option is A.

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An economic model is defined as: a. a presentation of all possible relevant real-world variables. b. a simplified representation of the way in which facts are related. c. a value judgment. d. data adjusted for irrational actions.

Answers

An economic model is defined as b. a simplified representation of the way in which facts are related. Thus, option B is correct.

An economic model is a simplified framework for illustrating complex economic relationships, concepts, or systems.

An economic model is a theoretical construct that is utilized to help explain real-world economic behavior.

An economic model typically incorporates a variety of variables, such as production, consumption, savings, and investment, as well as the economic agents involved in those activities, such as consumers, businesses, and governments. These variables and agents are used to construct a simplified version of a more complicated, real-world situation.

Thus, option B is correct.

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a standard operating procedure (sop) is a brief but detailed document describing hazards, risks, controls and emergency procedure for handling highly hazardous tasks, substances, equipment, and processes. a sop is required for the following activities (select one or more):

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A standard operating procedure (SOP) is a brief but detailed document describing hazards, risks, controls, and emergency procedures for handling highly hazardous tasks, substances, equipment, and processes.
SOPs are required for the following activities:
1. Handling highly hazardous tasks:

SOPs are necessary to ensure that employees are aware of the hazards associated with specific tasks and know the proper procedures to follow to minimize risks.
2. Handling hazardous substances:

SOPs are crucial for handling hazardous substances safely. They outline the necessary precautions, protective measures, and emergency procedures to be followed when working with such substances.
3. Handling hazardous equipment:

SOPs are essential for operating hazardous equipment safely. They provide step-by-step instructions on how to operate, maintain, and troubleshoot the equipment, reducing the risk of accidents or damage.
4. Handling hazardous processes:

SOPs are required for handling hazardous processes to ensure that employees understand the potential risks and know the appropriate procedures to follow for safe execution.

In summary, SOPs are necessary for activities involving highly hazardous tasks, substances, equipment, and processes. They provide detailed instructions to mitigate risks, promote safety, and ensure compliance with established procedures.

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worldcom improperly capitalized costs that should have been expensed. the effect of this fraud on its accounting equation resulted in blank . (check all that apply.)

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The effect of WorldCom improperly capitalizing costs that should have been expensed had several impacts  its accounting equation. Specifically, it resulted in an overstatement of assets and equity and an understatement of expenses and liabilities.

When WorldCom improperly capitalized costs that should have been expensed, it means that they recorded those costs as assets on their balance sheet instead of recognizing them as expenses in their income statement. This was done to make their financial position look better than it actually was.

By capitalizing these costs, WorldCom increased their assets because the capitalized costs were recorded as long-term assets on the balance sheet. However, this was not accurate since these costs should have been recognized as expenses in the period they were incurred.

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Companies like Dole create requests for proposal (RFPs) primarily so that they can __________ potential suppliers.

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Companies like Dole create RFPs to evaluate potential suppliers and select the most suitable one for their specific needs.

The RFP process allows Dole and similar companies to compare and evaluate potential suppliers based on several factors, including their capabilities, experience, pricing, delivery timelines, and quality standards.

The RFP responses provide valuable insights into each supplier's ability to meet the company's specific needs and objectives. Through a structured evaluation process, Dole can objectively assess and select the most qualified supplier that aligns with their requirements, budget, and overall strategic goals.

In conclusion, issuing RFPs enables companies like Dole to solicit proposals from potential suppliers, evaluate their capabilities, and make informed decisions about supplier selection.

It ensures a fair and transparent procurement process, ultimately leading to the identification of the most suitable supplier for a given project or procurement opportunity.

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John Sky's first decision as the new vice-president and manager of the Mountain West Division of Rapid Canoes, Inc. was to hire Victoria Laksay as the manager for the Colorado location. Ms. Laksay is excepted to make the Colorado location profitable. She will have no authority to make investment decisions, but will be responsible for the day to day operational decisions of the Colorado location. Any requests for capital improvements or expansion will need Mr. Sky's approval. The Colorado location will be treated as a(n) ______ center.

Answers

The Colorado location will be treated as a cost center. A cost center is a division or department within a company that incurs costs but does not directly generate revenue.

In this case, the Colorado location will be responsible for the day-to-day operational decisions, but will not have authority to make investment decisions. Any requests for capital improvements or expansion will require Mr. Sky's approval.

The focus of the Colorado location will be on controlling costs and optimizing efficiency to make it profitable. As a cost centre, its performance will be evaluated based on its ability to manage expenses effectively while still meeting operational goals.

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Of the eight categories in the cpi market basket, which three categories make up the largest percent of the basket?

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The Consumer Price Index (CPI) is a measure of inflation that tracks the average change over time in the prices paid by urban consumers for a market basket of consumer goods and services. The market basket consists of various categories that reflect the typical spending patterns of households.

Out of the eight categories in the CPI market basket, the three categories that make up the largest percent of the basket can vary depending on the specific time period and geographical location. However, I will provide you with some common examples of categories that tend to have a significant weight in the CPI market basket.
1. Housing: This category usually accounts for a substantial portion of the CPI market basket. It includes expenses related to rent, homeownership costs (such as mortgage interest, property taxes, and maintenance), and utility bills.
2. Transportation: The transportation category is another significant component of the CPI market basket. It encompasses expenses associated with vehicles, gasoline, public transportation fares, and vehicle insurance.
3. Food and beverages: This category typically has a notable weight in the CPI market basket. It includes both food at home (groceries) and food away from home (restaurant meals and takeout).

Please keep in mind that the relative weights of these categories can vary over time due to changes in consumer spending patterns and the overall economy. Additionally, there may be other categories, such as healthcare, education, and apparel, that also have a significant impact on the CPI market basket, but their weight may be lower compared to the three categories mentioned above.

Overall, the specific composition of the CPI market basket can change, and it's crucial to refer to the official CPI reports or sources for the most up-to-date information regarding the relative weights of each category.

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