a-rod fishing supplies had sales of $2,860,000 and cost of goods sold of $1,930,000. selling and administrative expenses represented 11 percent of sales. depreciation was 6 percent of the total assets of $4,090,000. what was the firm’s operating profit?

Answers

Answer 1

The estimated operational profit for the company is $370,000.

What is included in selling costs?

Selling expenses include things like shipping, insurance, and logistics fees for distribution. expenditure on social media, website upkeep, and advertising are all examples of marketing expenses. Selling costs such as salary, commissions, and petty cash.

What does depreciation mean when it refers to selling and administrative costs?

Depreciation expense for the accounting periods will be recognised for assets used in the business but not directly involved in the production process. Depreciation of these assets will typically be included in a company's selling, general, and administrative costs (SG&A).

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Related Questions

g which of the following statements about the income statement and the balance sheet is true? the income statement and balance sheet both reflect one accounting period at a time. the income statement reflects one accounting period while the balance sheet reflects the life of the business. the income statement and the balance sheet both reflect the life of the business. the balance sheet reflects one accounting period at a time while the income statement reflects the life of the business.

Answers

The income statement reflects one accounting period while the balance sheet reflects the life of the business. This statement is true about the income statement and the balance sheet.

A balance sheet provides information about a company's finances at a certain point in time (end of fiscal year or quarter). An income statement shows a company's operational outcomes over time (a fiscal year or quarter).

The income statement's bottom line, net income, connects to the balance sheet and cash flow statement. It flows into retained earnings on the balance sheet, and on the cash flow statement, it serves as the beginning of the cash from operations column.

An income statement analyses a company's profit or loss over time, whereas a balance sheet depicts the company's financial situation at a particular point in time.

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which of the following correctly explains the crowding-out effect? a. an increase in government expenditures decreases the interest rate and so increases investment spending. b. an increase in government expenditures increases the interest rate and so reduces investment spending. c. a decrease in government expenditures increases the interest rate and so increases investment spending. d. a decrease in government expenditures decreases the interest rate and so reduces investment spending.

Answers

An increase in the government expenditures increases interest rate and so reduces the investment spending correctly explains crowding-out effect.

What is crowding-out?

Crowding out is a phenomenon in economics that happens when increased government involvement in a market economy sector significantly impacts the rest of the market, either on the supply or demand side of the market. When expansive fiscal policy results in less private sector investment spending, this is one type that is frequently discussed. Government spending "crowds out" investment because it requires more loanable funds, raising interest rates in the process and lowering investment spending. A drawback of solutions based on private exchange is the crowding out of intrinsic motivation and prosocial norms in response to the financial incentives of voluntary market exchange, and behavioral economists and other social scientists use the term "crowding out" to describe this.

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Assume the economy is at full employment and that investment spending declines dramatically.If the goal is to restore full employment, government fiscal policy should be directed toward:
A.an equality of tax receipts and government expenditures.
B.an excess of tax receipts over government expenditures.
C.an excess of government expenditures over tax receipts.
D.a reduction of subsidies and transfer payments and an increase in tax rates.

Answers

If the goal is to restore full employment, government fiscal policy should be directed toward C) an excess of government expenditures over tax receipts

Fiscal policy is the use of public expenditure and taxation to affect the economy, particularly macroeconomic conditions. These include employment, inflation, economic expansion, and the total demand for goods and services.

The government may reduce tax rates or boost spending during a recession to boost demand and the economy. On the other hand, it can increase rates or reduce spending to slow down the economy in order to battle inflation.

Government spending can be increased or decreased in response to a decline in private sector spending in order to directly boost aggregate demand. The government can spend less and/or tax more to reduce aggregate demand when the private sector is overly enthusiastic and invests in new projects and consumes too much money too quickly.

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After years of struggling with weight management, a middle-age man is evaluated for gastroplasty. He has experienced difficulty with managing his diabetes mellitus and hypertension, but he is approved for surgery. Which intervention is most important for the nurse to include in this client's plan ?A) Monitor for urinary incontinence B) Provide a wide variety of meal choices C) Observe for signs of depression D) Apply sequencial compression stockings

Answers

B) Providing a wide variety of meal choices is the correct answer.

In the current situation, a middle-aged man has a hard time controlling his hypertension, diabetes, and weight. He has also had a hard time controlling his weight for a long time. He has been given the go-ahead for weight-loss surgery using gastroplasty.

If he was accepted for the procedure as well, he had a history of hypertension and non-controllable diabetes. We must provide sufficient instruction about the guided weight loss program through food and lifestyle adjustment before the surgery itself.

Beginning nutritional education before surgery enables the patient to get ready for recovery and make a commitment to dietary limitations.

The gastroplasty treatment is strongly recommended for patients who have trouble controlling their weight when they have chronic diabetes and hypertension.

Therefore, a structured weight loss program is required before the procedure itself in order to improve the results of the procedure, ensure that the patient has followed the new dietary guidelines, and help him get ready for the procedure. As a result, consider a wide range of food options when arranging treatment for a patient who is having a gastroplasty and has unmanageable weight, chronic diabetes, and hypertension.

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the company's credit-adjusted risk-free interest rate is 10%. during 2024, the company extracted 18,000 tons of ore from the mine. how much accretion expense will the company record in its income statement for the 2024 calendar year?

Answers

Employers who pay more than the required amount of unemployment insurance tax for a quarter may apply for a credit adjustment within four years after the original due date. A refund will be given if a credit cannot be used.

What do you mean by Company's credit-adjusted ?

A short-term loan given by a Federal Reserve Bank to a smaller commercial bank in order to help it meet reserve requirements and encourage short-term lending is referred to as a "adjustment credit." Adjustment credits are a typical type of borrowing between commercial banks and Federal Reserve Banks.

After account balances have been updated to reflect adjusting entries, an adjusted trial balance is utilized to confirm that total debits and total credits balance each other out.

The adjusted trial balance will now be created to reflect both the total debit balances and the total credit balance after errors have been fixed or all necessary adjusting entries have been made.

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brooke owns a sole proprietorship in which she works as a management consultant. she maintains an office in her home where she meets with clients, prepares bills, and performs other work-related tasks. the home office is 300 square feet, and the entire house is 4,500 square feet. brooke incurred the following home-related expenses during the year. brooke itemizes her deductions, and her itemized deduction for non–home business taxes is less than $10,000 by more than the real property taxes allocated to business use of the home. unless indicated otherwise, assume brooke uses the actual expense method to compute home office expenses. real property taxes $ 3,600 interest on home mortgage 14,000 operating expenses of home 5,000 depreciation 12,000 repairs to home theater room 1,000 required: what amount of each of these expenses is allocated to the home office? what are the total amounts of tier 1, tier 2, and tier 3 expenses, respectively, allocated to the home office? if brooke reported $2,000 of schedule c net income before the home office expense deduction, what is the amount of her home office expense deduction, and what home office expenses, if any, would she carry over to next year? e. assume that brooke uses the simplified method for computing home office expenses. if brooke reported $2,000 of schedule c net income before the home office expense deduction, what is the amount of her home office expense deduction, and what home office expenses, if any, would she carry over to next year? note: leave no answer blank. enter zero if applicable.

Answers

To compute Brooke's total home office deduction, we must divide proportionately the related expenses of the house based on the area which is $6,973.33. The total adjusted gross income is $43,026.67

How does adjusted gross income compare to net income?

An individual's taxable income is their adjusted gross income (AGI), which takes deductions and other adjustments into account. Net income, also known as net profit or after-tax income, is the profit for businesses after all costs and taxes are taken into consideration.

What does the adjusted gross income exclude?

Tax deductions for self-employment. Contributions to health insurance or retirement plans for independent contractors. Penalties for early savings withdrawals. Paying alimony.

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exchange is necessary in an economy if a. individuals are self-sufficient. b. labor is specialized. c. output is to be produced. d. output is to be consumed. e. families are self-sufficient.

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Exchange is necessary in an economy if individuals are self-sufficient. The decisions made by people, corporations, and the government are impacted by changes in the currency rate.

This has an impact on the balance of payments, inflation, and economic activity all together. The rate at which one currency can be exchanged for another between countries or economic zones is known as an exchange rate. It is crucial in determining the dynamics of commerce and capital flow since it is used to calculate the worth of various currencies in comparison to one another. Changes in the demand for exports and imports are the primary way that the exchange rate has an impact on the real economy.

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The purpose of closing entries is to:
1. update the retained earnings account on a daily basis.
2. update a periodic inventory account for credit sales.
3. reduce all temporary accounts to zero.
4. apportion prepaid expenses and unearned revenues to bring the accounts up to date.

Answers

Option (3), which states that closing entries are made to make all temporary accounts zero.

What purpose serve the final entries?

The closing entry is used to reset the temporary account balances to zero in the general ledger, which is how a company's financial data is kept track of. Temporary accounts are used to track accounting activity over a specific time frame.

Why do closing entries for retained earnings need to be made?

Closing entries are used to move funds from temporary to permanent accounts at the end of an accounting period. Due to the consolidation of your accounts brought on by these journal entries, you will be able to determine your retained earnings, or the amount remaining after expenses and dividends have been paid.

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Compound interest is calculated on the principal, as well as on any interest already earned. Use compound interest when the question explicitly uses the term "Compound".
Example:
John takes out a $10,000 loan at an annual interest of 12%, compounded semiannually. what will be the balance of the loan at the end of the year?
Notice the following:
1) Interest rate = 12% annual
2) Time - 1 year
3) Compound - semiannually. Interest is calculated after six months, then again at the end of the year.

Answers

John interest after 6 months = $10,600 and balance at the end of year = $11,236 .

Compound interest :

Compound interest is adding interest to the principal of a loan or deposit, i.e. principal plus interest. This can be done by reinvesting the interest, adding it to the principal borrowed instead of repaying it, or requiring the borrower to pay and earn interest on the principal plus previously accrued interest in the next period. Compound interest is the norm in finance and economics.

Calculating the interest amount :

Six months later, John's loan has reached half the annual interest rate, or 6%.

The balance of the loan after six months would be :

                         $10,000 + 10,000·6%

                                         = 10,600.

The remaining interest accrues on this balance at the end of the year. Another 6%.

The year-end balance sheet is as follows:

                                10,600 + 10,600·6%

                                            = $11,236.

Consider that the interest rate for every 6-month period is 6% - half of the 12% annual rate.

Interest....6%

Principal= $10,600....

                       $10,600(1+6%)

                         $10,600 + 636

                       =$11,236

Compound interest is in contrast to simple interest. With simple interest, there is no compound interest because previously accrued interest is not added to the principal for the current period. APR is the amount of interest per period multiplied by the number of periods per year.

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ryan deposited $8,000 at national bank at 6% interest compounded quarterly. what was the effective rate (apy)?

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Jim Ryan placed $8,000 at a bank with 6% interest compounded quarterly, which resulted in an effective yearly rate of 6.14%.

What is the annual effective rate?

When the effects of compounding over time are taken into account, it represents the actual return on a savings account or any investment that pays interest. It also displays the actual percentage rate of interest owed on any outstanding debts, including credit card debt and loans.

What exactly are the nominal rate and effective rate?

Said interest rate is another term for nominal interest rate. Simple interest is used to calculate this interest; compounding periods are not taken into account. The effective interest rate is the one that takes into account the compounding times throughout a payment schedule.

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specialization will increase output when it is based on: who can produce the fastest. who can produce at the least comparative cost. absolute advantage. comparative advantage.

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Specialization will increase output when it is based on who can produce at the least comparative cost.

Comparative advantage refers to an economy's capacity to produce a certain item or service at a lower opportunity cost than its trade counterparts. The notion of comparative advantage presents opportunity cost as a consideration to consider when deciding between several manufacturing possibilities.

Comparative advantage refers to an economy's capacity to produce a certain item or service at a lower opportunity cost than its trade counterparts. The notion of comparative advantage presents opportunity cost as a consideration to consider when deciding between several manufacturing possibilities.

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"tuition at state university this year is $8,000. " which function of money does this statement best illustrate?.

Answers

This statement best illustrates unit of account function of money.

What is unit of account?

Unit of account is one of the money functions in economics. The market worth of commodities, services, and other transactions is measured using a standard numerical monetary unit known as an account. Money serves as a common commercial denomination and a measure of standardization. It serves as a basis for price quoting and haggling as a result. For the creation of effective accounting systems, it is essential. In order for a company to evaluate its own performance, the unit of account in economics enables a largely meaningful interpretation of prices, costs, and profits. It enables investors to understand the company's past success and get a sense of its potential profitability. Market economies can tend to move toward efficiency when money is used as a relatively constant unit of measurement.

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Exercise 18-10 In the month of March, Style Salon services 560 clients at an average price of $120. During the month, fixed costs were $21,024 and variable costs were 60% of sales. (a) Determine the contribution margin in dollars, per unit, and as a ratio. Contribution margin $ Contribution margin per unit $ Contribution margin ratio % (b) Using the contribution margin technique, compute the break-even point in dollars and in units. Break-even sales $ Break-even sales units

Answers

The contribution margin in dollars, per unit, is $40. The contribution margin in variable costing is calculated by deducting variable costs from sales.

The contribution margin in variable costing is calculated by deducting variable costs from sales. Sales minus variable costs equals contribution margin. The break-even point refers to the sales level at which a corporation does not make a profit or a loss (BEP). Sales below the BEP will result in losses for the business, while sales above the BEP will result in profits. Fixed costs x Contribution margin per unit equals BEP.

Total sales = $120 x 560= $67,200

Variable cost = Total sales x 60%= $67,200 x .60= $40,320.

Contribution margin (in dollars)= Total sales - Variable cost per unit

                                                = $120-$120x60%

                                                = $120-$72

                                                = $48

Contribution margin ratio= contribution margin per unit / selling price per                    

                                                                                        unit

                                                = $48/$120

                                                = $48.

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If you buy the toaster pastries at a discount store, you will pay about for each package. in this case, the lowest price per package is offered by the .

Answers

The best deal will be to purchase the item from the discount shop, according to the information provided.

The definition of a discount shop

A discount store is a type of retail business that sells things for less than what similar businesses would typically charge. Some cheap shops are analogous to department stores because of the wide range of goods they offer; in fact, some are known as discount department shops.

In the first statement, it is stated that we must pay a certain amount for each package of toaster pastries if we purchase them from a cheap retailer. The possibilities given are $0.44, $0.54, and $0.88.

The least expensive of them is $0.44.

We are questioned about who is providing the lowest price per package in the second statement.

The bargain shop

It should be obvious that the proper choices are $0.44 for the first blank and discount store for the second blank since both blanks compliment one another.

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The correct question is:

If you buy the toaster pastries at a discount store, you  will pay about _____for each package.

In this case, the lowest price per package is offered by  the______

The options for the first blank are:

$0.44, $0.54, $0.88

Options for the second black are:

vending machine, discount store, bulk warehouse store

excerpts from colter corporation's most recent balance sheet appear below: year 2 year 1 current assets: cash $ 97 $ 127 accounts receivable, net 114 124 inventory 191 181 prepaid expenses 47 47 total current assets 449 479 total current liabilities $ 348 $ 325 sales on account in year 2 amounted to $1,385 and the cost of goods sold was $825. the acid-test (quick) ratio at the end of year 2 is closest to: multiple choice 0.74 0.90 0.61 1.29

Answers

Excerpts from colter organization's latest balance sheet is the present day Ratio for the yr 2 is closest to = current property/present-day Liab.

                       = $449/$348 = 1.29

A stability sheet is a financial statement that reports an organization's property, liabilities, and shareholder equity. The stability sheet is one of the three middle financial statements which are used to assess a commercial enterprise. It offers a picture of an organization's finances (what it owns and owes) as of the date of the guide.

In economic accounting, a balance sheet is a summary of the financial balances of a character or corporation, whether or not it's a sole proprietorship, an enterprise partnership, a business enterprise, a privately constrained organization, or another employer which includes authorities or not-for-earnings entity.

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under sec rules, which relationships between a covered person and an sec audit client are not prohibited? a. joint business ventures.

Answers

Sec regulations did not forbid immaterial landlord-tenant relationships between a covered person and a Sec audit client.

What is joint business venture?

A joint venture is a partnership between two or more people that aims to develop one business or project for profit while splitting the associated risks. Participants in the joint venture must be at least two different natural people or entities. Although some legal characteristics of a joint venture (such as how it is treated for income tax purposes) may be governed by partnership regulations, a joint venture is not a partnership or a corporation. Joint ventures are frequently employed to enter international markets. Foreign companies create joint ventures with domestic companies already active in the markets they want to enter.

What are the advantages of joint venture business?

The ability to accelerate corporate growth, boost productivity, and boost profits is one of the most significant benefits of joint ventures. Other advantages of joint ventures include: access to new markets and distribution networks; increased capacity; sharing of risks and expenses (i.e. liability); access to new knowledge and expertise, including specialized staff; access to more resources, such as technology and finance; and increased capacity. Growth is frequently made possible by joint ventures without the need for borrowing money or finding outside investors.

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An agent of a broker-dealer is currently doing business in one state and would like to conduct business in another state. When checking with the firm's compliance department, the agent would be told which of the following?A)If the agent is a partner, officer, or director and held that position at the time the broker-dealer was registered in that state, the individual need not register separately.B)Registration is required only if an offer is directed, accepted, and paid for in that state.C)No registration is necessary if no commission or other remuneration is paid or given directly or indirectly.D)No registration is necessary in the other state provided the agent's activities are limited exclusively to effecting transactions in certain exempted securities.

Answers

If the agent is a partner officer or director and held that position at the time the broker-dealer was registered in that state the individual need not register separately. Option A.

This rule requires a broker-dealer to own or control all full or excess margin securities held in a customer's account. A broker-dealer must periodically determine the amount of money it receives from using a client's money or securities.

Broker-Dealers perform several important functions in the financial industry. This includes providing investment advice to clients, providing liquidity through market-making activities, facilitating trading activity, issuing investment research, and raising capital for companies. Dual-registered investment advisors/brokers/dealers are common in the industry.

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when sponsors enter into partnerships with sport organizations, they must realize that additional activation spending will be required to leverage the sponsorship effectively. group of answer choices true false

Answers

When sponsors enter into partnerships with sport organizations, they must realize that additional activation spending will be required to leverage the sponsorship effectively. So, the given statement is True.

The act of monetarily or by the giving of goods or services supporting an occasion, activity, person, or organisation is known as sponsoring something (or someone). The sponsor is the person or entity that offers the support; it functions similarly to a benefactor. Sponsorship is the payment of money or goods in exchange for access to a property's commercially exploitable potential (usually in the fields of sports, the arts, entertainment, or charitable causes).

Contrary to generosity, sponsorship is carried out with the hopes of generating a financial profit, even when the sponsoree (the item being sponsored) may be a nonprofit.

While sponsorship can boost brand recognition, purchasing propensity, and awareness, it differs from advertising in these ways. Sponsorship cannot convey specific product features, in contrast to advertising. It also cannot serve as sponsorship on its own.

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complete your slideshow and share it with your team. once it is approved by your supervisor, you begin preparing to give your presentation. you consider maintaining good posture, being aware of nervous habits, and making eye contact. in addition, you think about how you will speak. what strategies can help you speak effectively? select all that apply. 1 point speaking quickly so you are sure to have time to include all important data points building in intentional pauses to give your audience time to think about what you have just said keeping the pitch of your sentences level so that your statements are not confused for questions using short words and sentences

Answers

Some strategies you can use to help you speak effectively include:

building in intentional pauses to give your audience time to think about what you have just said keeping the pitch of your sentences level so that your statements are not confused for questions using short words and sentences

How to speak effectively in presentations?

When presenting, there is no need to rush through as your audience might not understand. Rather, speak at a moderate pace, build in intentional pauses. This allows your audience time to think of what you said.

You should also keep the pitch of your sentence level so that you won't confuse your audience by making them wonder if you're asking a question.

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seamus industries inc. buys and sells investments as part of its ongoing cash management. the following investment transactions were completed during the year: feb. 24 acquired 1,200 shares of tett co. stock for $82 per share plus a $140 brokerage commission. may 16 acquired 2,600 shares of issacson co. stock for $35 per share plus a $105 commission. july 14 sold 400 shares of tett co. stock for $100 per share less a $80 brokerage commission. aug. 12 sold 710 shares of issacson co. stock for $33.00 per share less an $85 brokerage commission. oct. 31 received dividends of $0.40 per share on tett co. stock.
ournalize the entries for the transactions. Refer to the Chart of Accounts for exact wording of account titles. When required, round your answers to the nearest dollar.
PAGE 10
JOURNAL
ACCOUNTING EQUATION
DATE DESCRIPTION POST. REF. DEBIT CREDIT ASSETS LIABILITIES EQUITY
1
2
3
4
5
6
7
8
9
10
11
12

Answers

The entries for the transactions, Investment-Company and divedends.

A dividend is a distribution of profits via a corporation to its shareholders. while a organisation earns a income or surplus, it is able to pay a part of the income as a dividend to shareholders. Any amount now not allotted is taken to be re-invested in the commercial enterprise.

Date          Accounts and Titles Explanation               Debit            Credit

Feb. 24      Investment-Company T                            98,540

                 Cash (1,200 * $82 + $140)                                               98,540

May 16        Investment-Company |                             91,105

                 Cash (2,600 * $35 + $105)                                               91,105

July 14           Cash (400 * $100 - $80)                         39,920

              Investment NO Variable ($98,540 * 400 / 1,200)           32,846.67

                    Gain on Sale of Investment                                        7,073.33

‘Aug. 12       Cash (710 *$33 - $85)                               23,345

                  Loss on Sale of Investment                       1,533.67

                  Investment No Variable ($91,105 * 710 / 2,600)          24,878.67

Oct. 31                  Cash [(1,200 - 400) * $0.40]               320

                                Dividend Income                                             320

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neubert enterprises recently issued $1,000 par value 15-year bonds with a 7% coupon paid annually and warrants attached. these bonds are currently trading for $1,000. neubert also has outstanding $1,000 par value 15-year straight debt with a 9% coupon paid annually, also trading for $1,000. what is the implied value of the warrants attached to each bond? do not round intermediate calculations. round your answer to the nearest cent.

Answers

The implied value of the warrants affixed to each bond is 128.35.

How is the implied value determined?

Par value equals $1000

Bonds' coupon rate is 6%.

The straight debt's coupon rate is 9%.

9% interest rate

15 years are a period.

Price equals (Coupon1(1+r)nr)nr).

Value(1 + r) +Par

Coupon = (Coupon 1 (1 + r) n r) n Price Added Value (1 plus r) n

Bond price is (Cn / (1+YTM)n) + P / (1+i)n price,

Bond price is (Cn / (1+YTM)n) + P / (1+i)n price,

Price = 128.35

Why are bonds and warrants issued together?

Warrants are frequently attached to bonds or preferred shares as a sweetener, allowing the issuer to lower dividend or interest payments. They can be used to improve the yield on the bond and make it more appealing to potential buyers. Warrants can also be used in private equity agreements.

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Georgina, Inc. makes one product and it provided the following information to help prepare the master budget for the next three months of operations: - The budgeted selling price per unit is $130. - Budgeted unit sales are: - April - 10,200 units - May - 12,600 units - June - 8,600 units - The ending finished goods inventory equals 20\% of the following month's sales. - The ending raw materials inventory equals 15% of the following month's raw materials production needs. Each unit of finished goods requires 3 pounds of raw materials. The raw materials cost $5.00 per pound. - June's total pounds required for production is 20,200 . (Hint: you need this to compute desired ending inventory for Direct Materials Budget) Prepare a sales budget, production budget, direct materials budget for the month of May. (Enter only numbers, do not include any words, such as 'units'. Use \$ for amounts in dollars, and do not use a \$ for amounts in units. And use only whole dollars, no cents. Also, include the comma for to separate the thousands, i.e. 20,000) Sales Budget - May
Expected sales (units)
Sales price per unit
Total sales revenue
Production Budget - May
Expected sales (in units)
Desired ending inventory
Total required units
Beginning inventory
Required production
Direct Material Budgets - May
Units to be produced
Direct material per unit
Total pounds needed for production
Desired ending inventory
Total material required
Beginning inventory
Pounds of direct material purchaser requirements
Cost per pound
Total cost of direct material purchase

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June sales:    $ 8,600 × 20%= $ 1720May  sales:    $ 12,600× 15%  =189 Total cash collections $ 1909.

Total Cash is the sum of all cash and cash equivalents held by the Consolidated Group, whether they are held as collateral, in escrow, or were acquired through like-kind exchanges (including cash from like-kind exchanges on deposit with a qualified intermediary). In order to calculate cash per share, a company's cash flow must be divided by the total number of outstanding equity shares. Cash per share tells us how much of a company's stock price is available for shareholder dividends, corporate growth, debt reduction, and other advantageous projects.

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if a company is being outcompeted by various rival companies in the latin american market for branded footwear and consequently has an unappealingly low branded market share in latin america, then company managers should

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Because every strategy moves a company makes to outcompete rivals and gain a competitive advantage

Because every strategy moves a company makes to outcompete rivals and gain a competitive advantage is not apparent from information contained in the FIR and the competitive intelligence report, managers need to do a better job than rivals in identifying and implementing ways to become very cost efficient in producing and marketing 350 to 500 models/styles of branded footwear that also have the highest  S/Q rating in the industry if they want to succeed in creating a differentiation based on competitive advantage (and a potential cost advantage in achieving this differentiation.)

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Karen is buying a new laptop. She is looking for a light-weight computer. The laptop she purchases is a little heavier than she had originally hoped, but she was willing to accept the extra weight for a computer with a bigger, clearer screen. Karen made her purchase decision using a(n) ________.

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Karen made her purchase decision using a(n) Rule of compensatory judgment.

What precisely is compensatory judgment?

If you prevail in court, you might be entitled to compensation known as "damages" in the legal community. Punitive and compensatory damages are the two main types of damages that are frequently awarded. Punitive damages aim to hold a person accountable for their wrongdoing. Comparatively, compensatory damages are only meant to compensate the injured party.

The reply is almost anything. If the plaintiff (the person who filed the lawsuit) suffered a physical injury, compensatory damages might also include his medical expenses, lost wages from taking too many sick days, and lost future wages due to a diminished ability to work.

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Marcy charges $575 per month to rent a room at her eight-room apartment complex. running the complex costs marcy $9,880 per year in upkeep. assuming that all of the rooms are rented out, how much does marcy make from her apartment complex every year? a. $55,200 b. $45,320 c. $65,080 d. $16,780 please select the best answer from the choices provided a b c d

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Option (b), assuming that all of the rooms are rented out, would see Marcy's apartment building generate $45,320 annually.

Renting is what?

A contract for the temporary use of a good, service, or piece of property that belongs to someone else is referred to as renting, also known as hiring or letting. In a gross lease, all regular property expenses incurred by the owner are covered by the landlord in addition to the tenant's regular monthly rent payment.

The most popular approach is to multiply the amount of the weekly rental by the 52.14 weeks in a calendar year, then divide the result by the number of months in the year.

Charges (per month)= $575

Apartments= 8

Complex cost= $9,880

Rent of 8 months (per month)= 575 x 8 = 4600

Rent (per year)= 4600 x 12 = 55200

Total she get= Rent (per year) + Complex cost

                      = 55200 - 9880 = 45320

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question: if an analyst used nominal values to calculate gdp, that number would correct for the effects of inflation. true false

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if an analyst used nominal values to calculate GDP, that number would correct for the effects of inflation. This statement is false.

What is used to correct the nominal GDP for inflation?

We must separate the effects of rising pricing on nominal GDP in order to determine how much production has actually increased. The GDP deflator can be used to achieve this. A price index used to determine the average cost of all the goods and services used by the economy is the GDP deflator.

Relative to GDP from the previous year, the GDP growth rate is calculated. The growth figures that make headlines in the news are often those of "Real GDP," which is GDP that has already been adjusted for price adjustments (inflation).

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standard neoclassical labor supply and demand, what will be the effect on the wages of california dishwashers if civil strife drives uneducated workers to leave central america for the united states?

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The effect on wages of California dishwashers if civil strife drives the uneducated workers to leave central America for United Statesan is increase in wage paid to workers in competitive market.

What is competitive market?

Consumer demands for goods and services result in the formation of a competitive market. Because of the rivalry it fosters, businesses are forced to consider their costs of production, pricing policies, and product output. In competitive marketplaces and in the idea of perfect competition, buyer and seller are taken into account equally and strategies are developed based on supply and demand dynamics at time. In this article, we define competitive marketplaces, discuss their traits, and clarify their functions and distinctions. The supply curve, which depicts a product's quantity, changes in response to supply and demand. Supply curves change to maintain the producer's expenses in relation to its sales because a producer must be willing to sell a product for what the market will pay in a competitive market.

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identify with demand and supply shifts the impact of the following events on stock prices: a. a federal court finds guilty of antitrust violations. which way (right or left) did g

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The event of a federal court finding guilty of antitrust violations could potentially have a negative impact on stock prices.

This is because the guilty verdict could result in fines and other penalties being imposed on the company, which could potentially reduce its profitability and lower its stock prices.

Additionally, the negative publicity surrounding the event could lead to a decrease in investor confidence in the company, leading to decreased demand and lower stock prices.

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which group exploits workers by taking more of the value of the work of laborers than they repay in wages?

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Bourgeoisie group exploits workers by taking more of the value of the work of laborers than they repay in wages.

What is the bourgeois group?

The socioeconomic structure that is dominated by the so-called middle class is referred to as the bourgeoisie. Karl Marx and those who were influenced by him were significantly responsible for constructing the idea of the bourgeoisie in social and political philosophy.

The bourgeoisie consisted of what kinds of people?

The term "bourgeoisie" is used to refer to a society's middle and upper classes. These individuals often hold highly lucrative positions and are educated. Frequently, they lead comfortable lives filled with plenty of material goods. It says upper and middle on this one.

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which type of distribution channels are most likely in place when it is difficult for new firms to gain access to retail space?

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Exclusive distribution channels are most likely in place when it is difficult for new firms to gain access to retail space.

What are the benefits of distribution channels?

The key advantages of a distribution network include lower costs, increased collaboration and transparency, a broader client base, and quicker expansion. The process of joining a distribution network may appear to be onerous and complicated.

It might make it simpler to gain access to a premium channel. When the retail industry is highly fragmented, selling expenses are reduced. Consumers gain from distribution channels because they have access to a wider range of goods. Without these channels, consumers would only be able to purchase goods directly from manufacturers, which is not a realistic option. Although not always, channels may bring down the cost of consumer goods.

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