Discuss one example of the impact of the use of mobile
technology on the liability of auditors.

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Answer 1

The impact of the use of mobile technology on the liability of auditors has become a subject of concern to auditors. It has caused a shift in the way auditors approach their work, particularly in regards to data collection.

A common example of this impact is the use of mobile devices such as smartphones, laptops, and tablets by auditors to collect information and perform audit procedures outside the office. The use of these devices has increased the speed and efficiency of the audit process but has also increased the risk of errors, data breaches, and other liabilities for auditors.

The increased use of mobile technology has also resulted in the need for auditors to develop new skills and competencies in data security and privacy. Auditors must be able to evaluate the risks associated with mobile technology and develop effective strategies to mitigate them. For example, auditors must be able to assess the security of mobile devices and networks used to transmit data and develop appropriate controls to protect sensitive information.

In conclusion, the use of mobile technology has had a significant impact on the liability of auditors. While it has increased the efficiency of the audit process, it has also introduced new risks and liabilities that auditors must be prepared to address. Therefore, auditors must stay up-to-date with emerging mobile technologies, and maintain a high level of competence in information security and privacy to reduce their liability and ensure that their clients are properly protected.

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Computer Store" is considering the best way to enter data about new customers that sign up as part of a new marketing campaign. Customers complete their details on a form and leave them at the store for further processing. The best method for capturing this data would be: a. manual keying. b. optical mark readers. c. scanning through image scanners. d. scanning through barcode technology.

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Computer Store is considering the best way to enter data about new customers that sign up as part of a new marketing campaign. The best method for capturing this data would be scanning through barcode technology. This is because barcode technology is the most efficient and accurate way of capturing data.

Barcode technology is commonly used for data entry because it is highly efficient and accurate. Barcode scanners are able to read a barcode in a matter of seconds, and the data is then entered into the system automatically. This saves time and reduces the chance of errors that can occur with manual keying or optical mark readers. In addition, barcode technology is also cost-effective and requires little maintenance.

Therefore, it is the most suitable option for capturing customer data for Computer Store's new marketing campaign.

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ABC Company's preferred stock is selling for $25 a share. If the required return is 8%, what will the dividend be two years from now?
1) $3.25
2) $2.40
3) $2.20
4) $2.00
5) $2.80

Answers

Rounding to the nearest cent, the dividend two years from now would be approximately $2.33. None of the provided answer choices exactly match this calculation, but the closest option is $2.40 (option 2).

To calculate the dividend two years from now, we need to determine the future value of the preferred stock and then calculate the dividend based on the required return.

The formula to calculate the future value (FV) of an investment is:

FV = PV * (1 + r)^n

Where:

PV = Present value (current stock price)

r = Required return (as a decimal)

n = Number of years

In this case, the present value (PV) is $25, the required return (r) is 8% or 0.08, and the number of years (n) is 2.

Plugging in these values, we can calculate the future value (FV) of the preferred stock:

FV = $25 * (1 + 0.08)^2

FV = $25 * (1.08)^2

FV = $25 * 1.1664

FV = $29.16

Now that we have the future value, we can calculate the dividend based on the required return. The dividend (D) can be calculated as:

D = FV * r

D = $29.16 * 0.08

D = $2.3328

Rounding to the nearest cent, the dividend two years from now would be approximately $2.33.

None of the provided answer choices exactly match this calculation, but the closest option is $2.40 (option 2).

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which of the following items will be included in official u.s. gdp statistics? select one or more answers from the choices shown. a) Robert paying Ted for a haircut in Chicago.
b) Money spent to clean up a local toxic waste site in Ohio.
c) The dollar value of the annoyance felt by local citizens living near a noisy airport in Georgia.
d) Revenue generated by illegal marijuana growers in Oregon.
e) Revenue generated by legal medical marijuana sales in California.
f) Emily and Rhonda trading an hour of dance lessons for a haircut in Dallas.

Answers

The official U.S. GDP statistics are based on a variety of economic activities. Here are the items that will be included in the official U.S. GDP statistics:

a) Robert paying Ted for a haircut in Chicago: The payment for the haircut is included in the GDP statistics because it is a transaction that involves the exchange of money for a service.

b) Money spent to clean up a local toxic waste site in Ohio: The money spent to clean up a toxic waste site is included in the GDP statistics because it is an economic activity that involves the use of resources to produce a service.

e) Revenue generated by legal medical marijuana sales in California: The revenue generated by legal medical marijuana sales is included in the GDP statistics because it is an economic activity that involves the exchange of money for a product.

f) Emily and Rhonda trading an hour of dance lessons for a haircut in Dallas: The trade of dance lessons for a haircut is included in the GDP statistics because it is an economic activity that involves the exchange of services.

Items that are not included in the official U.S. GDP statistics are activities that do not involve the exchange of money in the market, such as unpaid household work, leisure activities, and illegal activities such as the revenue generated by illegal marijuana growers in Oregon.

The dollar value of the annoyance felt by local citizens living near a noisy airport in Georgia is not included in the GDP statistics because it is not an economic activity.

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which strategy leverages the physical closeness of a supplier? electronic sourcing near-sourcing part standardization multi-sourcing supplier segmentation

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Near-sourcing strategy leverages the physical closeness of a supplier. Thus, option B is the correct option.

Near-sourcing strategy refers to a procurement approach that emphasizes the physical proximity of a supplier to the buyer's location. By selecting suppliers located nearby, organizations can benefit from reduced transportation costs, shorter lead times, and improved responsiveness. The close proximity allows for better communication, easier collaboration, and increased control over the supply chain.

Near-sourcing also enhances sustainability efforts by minimizing carbon emissions associated with long-distance transportation. Additionally, it enables a better understanding of local market dynamics, culture, and regulations, facilitating customization and adaptation to specific customer needs. Overall, near-sourcing strategy leverages geographical proximity to optimize supply chain efficiency, flexibility, and customer satisfaction.

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Euro-British Pound. How would the call option premium change on the right to buy pounds with euros if the euro interest rate changed to 4.1545% from the initial values listed in this table: The call option on British pounds, if the euro interest rate changed to 4.1545%, would be € ¡ . (Round to four decimal places.)

Answers

A call option provides the holder the right, but not the obligation, to buy a fixed number of shares of the underlying stock at a given price within a given period of time.

The price, or premium, of the call option is the price paid for this right. When the interest rate in the currency used to purchase the option increases, the value of the call option decreases. A call option on British pounds would increase in value if the euro interest rate decreases. 

A call option on the Euro-British Pound would decrease in value if the euro interest rate increases.  The relationship between interest rates and the value of currency is significant in the pricing of foreign currency options. When interest rates in the country of the currency decrease, the currency value increases, thus causing the premium to rise.

When interest rates in the country of the currency increase, the currency value decreases, thus causing the premium to fall. If the euro interest rate changed to 4.1545%,

The call option on British pounds would be € 0.0284 (rounded to four decimal places). 

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Olde Town Hospital is accounted for in an enterprise fund of Olde Towne Township. The following data comes from the hospital's financial statements. Total revenues were $20 million. Total expenses were $18 million, consisting of patient care expenses - $13 million; administrative expenses - $2 million; depreciation - $2 million; and interest on long-term debt - $1 million. Principal payments on long-term debt were $1.5 million.

What is the hospital's debt service coverage?

Answers

According to given statement debt service coverage can be calculated by dividing its net operating income by its annual debt service payment the hospital's debt service coverage is 0.8.

Olde Town Hospital's debt service coverage can be calculated by dividing its net operating income by its annual debt service payment. Net operating income can be calculated by subtracting the hospital's total expenses from its total revenues.

In this case, the hospital's total revenues were $20 million and total expenses were $18 million. To find the net operating income, we subtract the total expenses from the total revenues:

Net Operating Income = Total Revenues - Total Expenses
Net Operating Income = $20 million - $18 million
Net Operating Income = $2 million

Now, let's calculate the hospital's debt service coverage. The annual debt service payment is the sum of the principal payments on long-term debt and the interest on long-term debt.

Annual Debt Service Payment = Principal Payments on Long-Term Debt + Interest on Long-Term Debt
Annual Debt Service Payment = $1.5 million + $1 million
Annual Debt Service Payment = $2.5 million

Finally, we can calculate the debt service coverage by dividing the net operating income by the annual debt service payment:

Debt Service Coverage = Net Operating Income / Annual Debt Service Payment
Debt Service Coverage = $2 million / $2.5 million
Debt Service Coverage = 0.8

In conclusion, the hospital's debt service coverage is 0.8.

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green power company is considering buying a new machine that will last for 11 years. the machine cost 137,416 dollars today. maintenance expenses will be 39,511 dollars the first year, and will increase by 7,276 dollars every year afterward (e.g. maintenance at the end of year two is equal to 39,511 plus 7,276 dollars). the interest rate is 8% per year, compounded annually. what is the net present value (npv) of this machine? assume all maintenance expenses occur at the end of every year. (note: round your answer to two decimal places; do not include spaces or dollar signs.)

Answers

The net present value (NPV) of this machine is approximately -$196,594.72.

To calculate the NPV, we need to discount the cash flows (cost and maintenance expenses) to their present value and subtract the initial cost. Here's the revised calculation:

Present Value of the Machine's Cost:

The initial cost of the machine is $137,416.

[tex]PV(machine cost) = $137,416 / (1 + 0.08)^0\\= $137,416.[/tex]

Present Value of the Maintenance Expenses:

The maintenance expenses in the first year are $39,511, and they increase by $7,276 every subsequent year. We need to find the present value of these expenses over the 11-year period.

[tex]PV(maintenance \ expenses) = $39,511 / (1 + 0.08)^1 + ($39,511 + $7,276) / (1 + 0.08)^2 + ... + ($39,511 + $7,276 * 10) / (1 + 0.08)^{11}[/tex]

Calculating the sum of the series using the formula for the sum of a geometric series, we find:

[tex]PV(maintenance \ expenses) = $39,511 * (1 - (1 + 0.08)^{-11}) / (0.08) + $7,276 * ((1 - (1 + 0.08)^{-11}) / (0.08))\\= $334,010.72[/tex]

Net Present Value (NPV):

The NPV is calculated by subtracting the present value of the machine's cost from the present value of the maintenance expenses:

NPV = PV(machine cost) - PV(maintenance expenses)

NPV = $137,416 - $334,010.72

NPV = -$196,594.72.

Therefore, the net present value (NPV) of this machine is approximately -$196,594.72.

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Bolero Company holds 70 percent of the common stock of Rivera, Inc., and 30 percent of this subsidiary's convertible bonds. The following consolidated financial statements are for 2020 and 2021 (credit balances indicated by parentheses): Additional Information for 2021 - The parent issued bonds during the year for cash. - Amortization of databases amounts to $16,000 per year. - The parent sold a building with a cost of $82,000 but a $41,000 book value for cash on May 11. - The subsidiary purchased equipment on July 23 for $209,000 in cash. - Late in November, the parent issued stock for cash.
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Given that Bolero Company holds 70 percent of the common stock of Rivera, Inc., and 30 percent of this subsidiary's convertible bonds and the provided consolidated financial statements for 2020 and 2021, we can analyze the additional information for 2021 as follows:-

The parent issued bonds during the year for cash, which means that the bonds are considered a liability and thus would be recorded in the liability section of the consolidated financial statements.-

Amortization of databases amounts to $16,000 per year.

This would be a non-cash expense, which would reduce the net income of the parent and subsidiary for 2021.-

The parent sold a building with a cost of $82,000 but a $41,000 book value for cash on May 11.

This would result in a gain of $41,000 for the parent, which would be reported on the income statement of the parent.-

The subsidiary purchased equipment on July 23 for $209,000 in cash.

This would be recorded as a non-current asset on the subsidiary's balance sheet.- Late in November, the parent issued stock for cash.

This would increase the equity of the parent and would be recorded on the parent's balance sheet.

The consolidated financial statements for 2021 would incorporate these changes and would show the updated financial position of Bolero Company and Rivera, Inc.

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Bank A has $56 in reserves. The bank has given out $500 in loans and has $460 in deposits. The reserve requirement is 10%. The maximum the bank can afford to lose in loan defaults without being insolvent (and going bankrupt) is:

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In order to calculate the amount of loan defaults Bank A can handle, we need to calculate the total amount of deposits. We know that the bank has $460 in deposits and that the reserve requirement is 10%, which means that the bank must hold 10% of the deposits in reserve.

Thus, the amount of deposits that the bank can lend out is $414 (which is 90% of $460).

The bank has already given out $500 in loans.

Since the maximum amount the bank can lend out is $414, it is already overextended by $86.

This means that if all of its borrowers defaulted on their loans, the bank would not be able to recover the $86 it has already lent out, plus the $56 it has in reserves.

So, the maximum amount of loan defaults Bank A can handle is $86. Any more than that, and the bank would be insolvent.

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As a human relations specialist at a small manufacturing firm interested in adding employees capable of conceptualizing and designing new products, you have been asked to develop screening criteria to rate new recruits on the following dimensions:
Knowledge, skills, and expertise
Drive, motivation, and perseverance (intrinsic motivation)
Creative thinking
Self-confidence, independence, and willingness to take a risk
Willingness to be flexible and seek support as required
Analyze in detail the screening criteria you will develop to rate new recruits, long with the recommendations you will make to individual departments in their quest to hire highly innovative individuals.

Answers

A successful innovation screening process is a combination of quantitative and qualitative measurements. Quantitative criteria measure the prospect’s knowledge, skills, and experiences, whereas qualitative measurements measure the individual's creativity, innovation, and ability to work in a team.

The screening criteria for this dimension includes the relevant educational qualifications, work experience, and the ability of the recruit to apply their knowledge to real-world scenarios.Drive, motivation, and perseverance (intrinsic motivation)

Creative thinkingThe screening criteria for this dimension includes the ability of the recruit to think critically, creatively and outside the box. Self-confidence, independence, and willingness to take a riskThe screening criteria for this dimension includes the confidence and ability of the recruit to take the initiative, work independently, take calculated risks, and handle pressure.

The HR department can work with managers to create questions for the interviewing process that gauge the candidate's innovative skills. The HR department may also use scenarios where the candidate is asked to come up with new ideas that can be used in the company, especially during the hiring process, where it is challenging to evaluate candidates for the above dimensions without an actual project.

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Discuss the types of skills that a system analyst should have so
as to succeed in his work on Information Systems projects.

Answers

A system analyst should have a combination of technical, interpersonal, and business skills to be successful in their work on information system projects.

System analyst requires a variety of skills to be successful in their work on information system projects. These skills include both technical and non-technical skills. The skills required are discussed below:

Technical Skills

A system analyst should possess technical skills to comprehend and analyze system needs, limitations, and specifications and provide technical solutions. In general, these technical skills are critical in identifying any underlying issues in systems and determining the most effective ways of resolving them. Some technical skills required include:

Programming knowledge

Database skills

Web development and design skills

Software knowledge

Network skills

Database management

Non-Technical Skills

Communication Skills: To communicate and coordinate with different stakeholders of the project. Being a system analyst requires being able to convey complex technical details in an easy-to-understand manner.

Problem Solving Skills: To develop and implement solutions to technical and business problems.

Critical Thinking Skills: To be able to identify the advantages and disadvantages of various solutions to a problem and select the best one.

Project Management Skills: To manage multiple tasks, anticipate issues, manage team members, and ensure the project meets its objectives.

Leadership Skills: To provide leadership to team members, keep track of progress, and communicate with stakeholders.

Business Skills: To understand business processes, financial statements, market trends, and competitive analysis. This skill helps the analyst to tailor the technology solution to the organization's particular business needs.

In conclusion, a system analyst should have a combination of technical, interpersonal, and business skills to be successful in their work on information system projects.

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(a) OCBC Bank is offering an interest rate of 7% per annum for fixed deposit account holder. The minimum deposit amount is RM10,000. If you had deposited RM20,000 into the fixed deposit account today, how much would it be worth 10 years later. Compute total returns using compound interest method and draw the cashflow diagram.

Answers

Given that OCBC Bank is offering an interest rate of 7% per annum for fixed deposit account holders. The minimum deposit amount is RM10,000. If someone had deposited RM20,000 into the fixed deposit account today, how much would it be worth 10 years later.

We have to compute the total returns using the compound interest method and draw the cash flow diagram. Compound interest is the interest added to the principal amount of a loan or deposit. It is calculated by adding interest to the principal amount so that the interest that has been added also earns interest.

A deposit of RM20,000 is made in a fixed deposit account that pays 7% interest annually. The interest rate is compounded annually, and the deposit has a term of 10 years. We must calculate the worth of the fixed deposit account after ten years.

The interest rate is 7% per annum, which means that the interest rate for the year will be 7/100 = 0.07. The deposit of RM20,000 would earn an interest of 7% per annum for the entire 10 years, using compound interest.

Thus, FV = 20,000 x (1 + 0.07/1)^(1*10) = 20,000 x 1.96715 = RM 39,343 Compound interest formula can be used to calculate the total interest earned over ten years as follows:  Total Interest (I) = FV - P = RM39,343 - RM20,000 = RM19,343.

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Lance Whittingham IV specializes in buying deep discount bonds. These represent bonds that are trating at well whow pair value w Current price $ b. By what percent will the price of the bonds increase between now and maturity? Price increases by c. What is the annual compound rate of growth in the value of the bonds?

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The annual compound rate of growth in the value of the bonds is given by the formula g = ((1 + r)^n (FV/PV))^(1/n) - 1.

Lance Whittingham IV specializes in buying deep discount bonds.

These represent bonds that are trading at well below par value with the current price of b. The price of the bonds will increase between now and maturity by c percent.

The annual compound rate of growth in the value of the bonds can be calculated by the following steps:

Step 1: Calculate the discount rate

Discount rate is the rate of return that investors require from an investment to compensate for its risk. The formula for discount rate is:

Discount rate = (future value/present value)^(1/n) - 1where n is the number of years

Step 2: Calculate the annual compound rate of growth in value

Annual compound rate of growth in value is given by the formula:

(1 + r)^n = (1 + g)^n (FV/PV)

where r is the discount rate, n is the number of years, FV is the future value and PV is the present value. g is the annual compound rate of growth in the value of the bonds.

Step 3: Solve for gg = ((1 + r)^n (FV/PV))^(1/n) - 1

Therefore, the annual compound rate of growth in the value of the bonds is given by the formula g = ((1 + r)^n (FV/PV))^(1/n) - 1.

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meetings with staff who are in several locations outside the united states are called:

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Meetings with staff who are in several locations outside the United States are commonly referred to as "international meetings" or "global meetings."

These meetings involve participants from different countries and time zones, and they are typically conducted through virtual communication platforms to facilitate collaboration and discussion among the geographically dispersed team members.
International meetings play a crucial role in promoting cross-cultural understanding, fostering collaboration, and ensuring effective communication within multinational organizations.
The use of technology, such as video conferencing, allows participants from different locations to interact in real-time, share information, and work towards common goals, despite physical distances.
Effective planning, coordination, and cultural sensitivity are essential for successful international meetings to ensure that all participants can actively contribute and achieve the desired outcomes.

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81. You complete a test of autocorrelation on daily data for a thinly traded stock and the Durbin Watson statistic is 3.73. If the stock has a return of +0.21% late in the trading day and you are convinced that other investors are not aware of the results of your study, based on the test results and probabilities, an investor would:
Buy or long the stock in late trading.
Sell or short the stock in late trading.
Wait an additional day to buy the stock.
Wait an additional day to short the stock.
Take neither a long or short position in the stock.
None of the above answers is correct.

Answers

The Durbin Watson statistic is a test for autocorrelation. It examines if there is a linear association between the lagged variables of a particular stock's returns.

The test results have the following interpretations:

If the Durbin Watson statistic is between zero and 2, there is a positive autocorrelation present. If the Durbin Watson statistic is around 2, there is no autocorrelation present. If the Durbin Watson statistic is around 4, there is no autocorrelation present.

If the Durbin Watson statistic is between 2 and 4, there is negative autocorrelation present. The Durbin Watson statistic is 3.73 in this case. It is more than 2 and less than 4.

Hence, there is negative autocorrelation present. The return of the stock in the late trading day is +0.21%. If the other investors are not aware of the results of the study, an investor would choose to sell or short the stock in late trading because there is negative autocorrelation present.

Thus, there is a greater chance of the stock price declining in the future. So, based on the test results and probabilities, an investor would sell or short the stock in late trading. An investor would not choose to buy or long the stock because there is negative autocorrelation present.

There are higher chances of the stock price declining in the future. So, waiting for an additional day to buy the stock would also not be profitable. Similarly, waiting an additional day to short the stock is not advisable. Hence, the answer is Sell or short the stock in late trading.

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Which of the following best describes the NPV profile? A. graph of a projects NPV as a function of possible IRRs. B. A graph of a project's NPV over time C. A graph of a project NPV as a function of possible capital costs D. none of these statements is correct

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A. A graph of a project's NPV as a function of possible IRRs. The NPV (Net Present Value) profile represents the relationship between a project's NPV and its internal rate of return (IRR).

It shows how the NPV changes at different discount rates (IRR) used to calculate the present value of future cash flows. The NPV profile helps in analyzing the feasibility and profitability of a project by identifying the range of discount rates that result in positive or negative NPV. It assists in determining the project's break-even point and provides insights into the project's risk and potential returns. Therefore, option A accurately describes the NPV profile.

The NPV profile demonstrates the relationship between a project's NPV and its internal rate of return (IRR). It displays the NPV values calculated using various discount rates (IRRs). The NPV is derived by discounting the project's expected cash flows to their present values using a given discount rate.

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Open the 10C10−1 Magazines file. 3) Record January 31 month-end adjustments for Rama Magazines, a company that supplies various magazines, candy and small toys to businesses. Rama Magazines is using the COMPANY. PAYABLES, RECEIVABLES, and INVENTORY \& SERVICES modules and does not use the Account Reconciliation journal. Rama Magazines has the following adjustments for the January month-end: a) Bank service charges for the month are estimated to be $43.50. b) The Prepaid insurance account balance represents 4 months' insurance that has not been used as of January 1. Adjust the account accordingly. c) A part-time employee (use YOUR ACTUAL NAME as the part-time employee's name in the comment line) did not submit his time sheet and was not paid $158.00, the regular wages for the pay period ending January 28. (Magazine Sales charges all salaries and wages to Salaries Staff Account # 5290.) Accrue the wages for the period (ignore CPP and EI). d) The value of the Store Supplies on hand was counted, and is $358.00. e) Depreciation of Store Equipment is $1,500.00 for the year (\$125.00 per month). f) The long-term bank loan arranged on December 31, 2023, with the Canadian Bank, is for a 5 year period at an interest rate at 9% (per annum effective monthly rate of 0.7207% ). Monthly payments of $998.26 are due at the end of each month. The January 31 , automatic bank payment of $998.26 (including interest of \$291.07) has not been made or recorded. g) A new vendor, Snowgone Services, submitted a January snow removal invoice (A5631) dated today, for $140.00 phus HST, net 30 days (Maintenance Expense). h) The inventory count found that 10 Puzzle magazines are missing. Adjust inventory. (Hint: Chapter 8, Exercise 8-20.) 4) Print All Journal Entries for the entries above. 5) Print a Trial Balance as at January 31. 6 - Back up your data before moving on. Your instructor may require you to: i) advance the date to February 1. j) reverse the appropriate accruals on February 1 . 7) If required, print All Journal Entries for the February reversing entries above.
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The requested task involves making various month-end adjustments for Rama Magazines, such as recording bank service charges, adjusting prepaid insurance.

Accruing wages, counting store supplies and adjusting inventory, recording depreciation, and addressing a missed bank payment and a new vendor invoice. The instructions also mention printing all journal entries for these adjustments, generating a trial balance as of January 31, and potentially advancing the date to February 1 and printing journal entries for any reversing entries made then.

The task requires performing several adjustments for Rama Magazines at the end of January. These adjustments include recording bank service charges, adjusting the prepaid insurance account, accruing wages for an unpaid employee, counting store supplies, adjusting inventory for missing items, recording depreciation for store equipment, addressing a missed bank payment with interest, and processing a new vendor invoice for snow removal services. Additionally, the instructions state that all journal entries for these adjustments should be printed, followed by generating a trial balance as of January 31. There is a possibility of advancing the date to February 1 and printing journal entries for any reversing entries made at that time.

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Which of the following is NOT associated with an inefficient allocation of resources?
1. Oligopolies
2. Monopolies
3. Perfect competition
4. None of the above

Answers

Perfect competition is not associated with an inefficient allocation of resources. Efficient allocation of resources refers to the distribution of resources in a way that maximizes the total benefit of society. The efficient allocation of resources occurs when goods and services are produced and distributed according to the wants and needs of consumers.

The term "market structure" refers to the level of competition in a market. In a monopoly, there is only one supplier of a particular good or service, while in an oligopoly, there are a few suppliers. In perfect competition, there are many suppliers of a particular good or service, and each supplier is too small to influence the market price.

In a monopoly or oligopoly, firms have the power to control the price and quantity of goods and services they produce and sell. This leads to inefficient allocation of resources because the price charged is usually higher than the equilibrium price and the quantity supplied is lower than the equilibrium quantity.

On the other hand, in perfect competition, the price charged is equal to the equilibrium price, and the quantity supplied is equal to the equilibrium quantity. Hence, there is an efficient allocation of resources in a perfect competition market structure.

Therefore, the answer to the question is option 3, Perfect competition, since it is not associated with an inefficient allocation of resources.

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Cullumber Company is considering a capital investment of $216,200 in additional productive facilities. The new machinery is expected to have a useful life of 5 years with no salvage value. Depreciation is by the straight-line method. During the life of the investment, annual net income and net annual cash flows are expected to be $10,810 and $47,000, respectively. Cullumber has a 12% cost of capital rate, which is the required rate of retum on the investment. Click here to view PV table. (a) Compute the cash payback period. (Round answer to 1 decimal place, e.g. 10.5.) Cash payback period years Compute the annual rate of return on the proposed capital expenditure. (Round answer to 2 decimal places, eg. 10.52\%.) Annual rate of return % (b) Using the discounted cash flow technique, compute the net present value. (If the net present value is negative, use either a negative sign preceding the number e.g. −45 or parentheses eg. (45). Round answer for present value to 0 decimal places, e.g. 125. For calculation purposes, use 5 decimal places as displayed in the factor table provided.) Net present value TABLE 1 Future Value of 1 TABLE 2 Future Value of an Annuity of 1 TABLE 3 Present Value of 1 \begin{tabular}{cccccccccccc} (n) & & & & & & & & & & \\ Periods & 4% & 5% & 6% & 7% & 8% & 9% & 10% & 11% & 12% & 15% \\ \hline 1 & .96154 & .95238 & .94340 & .93458 & .92593 & .91743 & .90909 & .90090 & .89286 & .86957 \\ \hline 2 & .92456 & .90703 & .89000 & .87344 & .85734 & .84168 & .82645 & .81162 & .79719 & .75614 \\ \hline 3 & .88900 & .86384 & .83962 & .81630 & .79383 & .77218 & .75132 & .73119 & .71178 & .65752 \\ \hline 4 & .8440 & .82270 & .79209 & .76290 & .73503 & .70843 & .68301 & .65873 & .63552 & .57175 \\ \hline 5 & .82193 & .78353 & .74726 & .71299 & .68058 & .64993 & .62092 & .59345 & .56743 & .49718 \\ \hline \end{tabular} Present Value of an Annuity of 1

Answers

The answer is, Cash payback period is 4.6 years and Net present value is $-758.76.

How  to find?

To calculate cash payback period, first, calculate the net cash inflows for each year and then the net initial investment. Then, divide the net investment by the average annual net cash inflows to get the cash payback period.

Calculation of annual rate of return:

Annual rate of return is the percentage of return that an investment generates per year. The formula for the annual rate of return is:

Annual rate of return = (average annual net cash inflows / initial investment) * 100.

Using the formula, we get:

Annual rate of return = (47,000 / 216,200) * 100

= 21.74%

Net present value (NPV) is the difference between the present value of cash inflows and the present value of cash outflows over a period of time. It is used to evaluate investment opportunities or projects.

Using the discounted cash flow technique, the net present value can be calculated as follows:

Year

Annual Cash Flows

Discount Factor at 12%

Discounted Cash Flows

0-216,2001.0000-216,200147,0000.8928

=131,0762-216,2000.7972

=-172,2233-216,2000.7120

=-154,2644-216,2000.6366

=-137,5875-216,2000.5674

=-122,794

Net present value = $-758.76 (Negative)

Therefore, the answers are:

(a) Cash payback period = 4.6 years(rounded to 1 decimal place)

Annual rate of return = 21.74%(rounded to 2 decimal places)

(b) Net present value = $-758.76 (Negative)

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Lodge Company makes cast-iron buckets. The following information is available for Lodge Company’s anticipated annual volume of 50,000 buckets.
Per Unit Total
Direct materials $20
Direct labor $10
Variable manufacturing overhead $25
Fixed manufacturing overhead $750,000
Variable selling and administrative expenses $18
Fixed selling and administrative expenses $450,000
The company has a desired ROI of 30%. It has invested assets of $5,500,000.
a. Compute the total cost per unit. b. Compute the desired ROI per unit. c. Compute the target selling price (to 2 decimals).

Answers

a. Compute the total cost per unit: Total Variable Cost per unit = Direct Materials + Direct Labor + Variable Manufacturing Overhead + Variable Selling and Administrative Expenses

Total Variable Cost per unit = $20 + $10 + $25 + $18 = $73

Total Fixed Cost per unit = Fixed Manufacturing Overhead + Fixed Selling and Administrative Expenses

Total Fixed Cost per unit = $750,000 + $450,000 = $1,200,000

Total Cost per unit = Total Variable Cost per unit + Total Fixed Cost per unit

Total Cost per unit = $73 + $1,200,000 / 50,000

Total Cost per unit = $97.40

Answer: a. $97.40

b. Desired ROI per unit: Desired ROI per unit = Investment x ROI% / Volume

Desired ROI per unit = $5,500,000 x 30% / 50,000

Desired ROI per unit = $16.50

Answer: b. $16.50

c. Compute the target selling price (to 2 decimals):

Target Selling Price = Total Cost per unit + Desired ROI per unit

Target Selling Price = $97.40 + $16.50

Target Selling Price = $113.90 (rounded to two decimal places)

Answer:c. $113.90 (rounded to two decimal places)

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1. In creating a new "must have" the Innovator always has the advantage.
Group of answer choices
True
False

Answers

The statement "In creating a new 'must have' the Innovator always has the advantage" is false.

Innovation is a process of inventing new things or changing existing ones to improve their efficiency. It refers to any process or idea that brings about a significant change in a product, service, or method.

An innovation can be in the form of a new product, a new process, or a new service. Innovation is a vital component in the growth of businesses and the economy as a whole. In creating a new "must-have," an innovator may not always have an advantage.

While being the first to develop a new idea can offer some benefits, it is not always a guarantee of success. Success is determined by a range of factors, including the quality of the idea, the ability to bring the idea to market, the demand for the product or service, and the competition.

For instance, a new product that is not user-friendly or too expensive may not gain the desired market share. Similarly, a product that is not marketed properly may not attract the desired customers.

Therefore, an innovator may have an advantage, but it does not always guarantee success.

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What are the components of minimizing the risk in investing in a
company? Provide an example to illustrate your understanding.

Answers

Minimizing the risk of investing in a company is a key to successful investing. The following are components that help to reduce the risk in investing in a company:DiversificationDiversification is the process of spreading the risks across different asset classes, sectors, and geographic regions.

It is the best way to manage the risks involved in investing in a company. An investor should invest in a variety of securities to avoid over-reliance on any single company.

This is a form of insurance against unexpected losses. For example, if an investor puts all of his money into one stock, then he is at a higher risk of losing all his investment if the company fails due to market volatility.Risk Management PlanRisk management plan involves evaluating and planning for potential risks involved in investing in a particular company.

This plan outlines the strategies, techniques, and processes to minimize the risk associated with investing in a company. This includes identifying potential risks, analyzing the risks, and determining the likelihood of the risks occurring.

For example, if an investor is planning to invest in a company, he should evaluate its financial health, business model, growth prospects, and management team before making a decision to invest.Portfolio RebalancingPortfolio rebalancing is a process of adjusting the asset allocation to maintain a portfolio's desired risk level. This involves selling some of the stocks that have performed well and buying stocks that have not performed well. This strategy helps to reduce the risk of losing money in the long run.

For example, if an investor has a portfolio of 70% stocks and 30% bonds, he may rebalance by selling some stocks and buying bonds to maintain the desired allocation. In conclusion, investing in a company is a risky business. However, the above components help to minimize the risk involved in investing. By diversifying one’s portfolio, creating a risk management plan, and portfolio rebalancing, investors can protect their investment and maximize their returns.

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All of the following are improper check writing procedures EXCEPT
a. postdate all of your checks
b. avoid making checks payable to "Cash"
c. overdraw your account whenever possible.
d. write your checks in pencil

Answers

The only option that is not an improper check writing procedure is d, write your checks in pencil.

Postdating a check means writing a check with a date in the future. This is not a good idea because it can lead to confusion and problems if the check is cashed before the date.

Making a check payable to "Cash" means that anyone can cash the check, which is a security risk.

Overdrafting your account means writing a check for more money than you have in your account. This can lead to fees and penalties from your bank.

Writing a check in pencil is not a good idea because it can be easily erased or altered. This could lead to fraud or other problems.

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a ________ consists of a set of buyers who share common needs or characteristics that the company decides to serve.

Answers

A market consists of a set of buyers who share common needs or characteristics that the company decides to serve.

A market is defined as a collection of individuals or companies who are interested in buying a product or service.

This group is composed of people or businesses that share a common need for a product or service and have the willingness and ability to pay for it.

The market size refers to the number of people or companies in the market who might be interested in buying a particular product.

For example, if a company sells a new line of t-shirts and estimates that 150 people in the market will buy them, the market size for that particular product is 150.

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Government reporting of nonfinancial measures are discussed in Concept Statements No. ______ and ______.

Answers

Government reporting of non financial measures is discussed in Concept Statements No. 1 and No. 2.

Concept Statement No. 1, "Objectives of Financial Reporting," provides a framework for financial reporting that includes both financial and nonfinancial measures. It emphasizes the importance of reporting information that is relevant and useful for decision-making and accountability. Concept Statement No. 2, "Service Efforts and Accomplishments Reporting," specifically addresses the reporting of nonfinancial measures in government entities. It highlights the significance of reporting on the outputs, outcomes, and efficiency of government services to assess their effectiveness and demonstrate accountability to the public.

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this question addresses the issue of whether monetary policy should be made by discretionary policy or be implemented according to a set of rules. which of the following statements reflect arguments against policy by rule? check all that apply. monetary rules reduce the flexibility of the federal reserve. monetary rules may lead to a lower sacrifice ratio because the public is more confident that the federal reserve will keep inflation low. it is impossible for a policy rule to consider all the possible scenarios and specify, in advance, the right policy response. it is better to appoint qualified individuals who will respond to any situation as best they can. the federal reserve may use monetary policy to affect

Answers

The statements that reflect arguments against policy by rule are:

Monetary rules reduce the flexibility of the federal reserve. It is impossible for a policy rule to consider all the possible scenarios and specify, in advance, the right policy response.It is better to appoint qualified individuals who will respond to any situation as best they can. What is policy by rule?

Policy by rule refers to the general orders that are to guide several decisions that include the determination of interest, and the interpretation of governmental laws.

Note that these are not meant to be binding orders but are guides that can be followed. The above are arguments that can be touted against policy by rule.

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XYZ Corporation will pay a $1.5 per share dividend next year. The company pledges to increase its dividend by 2 percent per year, indefinitely. a. If you require a return of 12 percent on your investment, how much will you pay for the company's stock today? b. How much will the stock be priced at the end of the third year?

Answers

To find the current stock price of the XYZ Corporation, we will use the dividend discount model. DDM = D/(r - g)

Where,

D = the expected dividend = $1.5 per share

r = required rate of return = 12%

g = expected growth rate = 2% per year,

indefinitely

Let P0 be the current stock price per share, therefore, substituting the given values in the DDM, we get;

P0 = D / (r - g)

= $1.5 / (0.12 - 0.02)

= $15.00

Therefore, the current stock price per share of XYZ Corporation is $15.00.

To calculate the stock price at the end of the third year, we will use the following formula;

Pn = Dn+1 / (r - g)

where,

Dn+1 = expected dividend at the end of the third year

Pn = stock price at the end of the third year

r = required rate of return = 12%

g = expected growth rate = 2% per year,

indefinitely

Dn+1 = Dn (1 + g)

= $1.5 (1 + 0.02)³

= $1.5 (1.06)³

= $1.70

Substituting these values in the above equation, we get;

Pn = Dn+1 / (r - g)

= $1.70 / (0.12 - 0.02)

= $17.00

Therefore, the stock price of XYZ Corporation will be $17.00 at the end of the third year.

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Ending inventory is $12,000, cost of goods sold is $33,000, and the cost of goods purchased is $22,000. How much is beginning inventory?

a. $43,000

b. $33,000

c. $23,000

d. $13,000

e. $45,000

Answers

The question provides us with the ending inventory, cost of goods sold, and cost of goods purchased. Therefore, we can use the formula to calculate the beginning inventory.

The formula is: Beginning inventory + Cost of goods purchased - Cost of goods sold = Ending inventory Substitute the values given in the question:Beginning inventory + $22,000 - $33,000 = $12,000 Beginning inventory - $11,000 = $12,000 Beginning inventory = $12,000 + $11,000 Beginning inventory = $23,000.

Therefore, the correct answer is option c) $23,000.

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What risk does a borrower take with an adjustable-rate mortgage?

Answers

With an adjustable-rate mortgage (ARM), borrowers take the risk of potential interest rate fluctuations. The monthly mortgage payments can increase or decrease based on market conditions. Borrowers must consider their ability to handle changing payments and future income prospects when opting for an ARM.

With an adjustable-rate mortgage (ARM), the borrower takes the risk of potential interest rate fluctuations. Unlike a fixed-rate mortgage, where the interest rate remains constant throughout the loan term, an ARM has an interest rate that adjusts periodically based on market conditions.

The specific terms of an ARM typically include an initial fixed-rate period, after which the interest rate is subject to change. The adjustment is usually based on a specified financial index, such as the U.S. Treasury rate or the London Interbank Offered Rate (LIBOR), plus a predetermined margin.

The risk for the borrower lies in the uncertainty of future interest rate movements. If interest rates rise, the borrower may experience an increase in their monthly mortgage payments, potentially making it more challenging to afford the loan. Conversely, if interest rates decrease, the borrower may benefit from lower payments.

The borrower's ability to manage fluctuations in interest rates, their financial stability, and their future income prospects are critical factors to consider when opting for an adjustable-rate mortgage.

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The expected return of the minimum variance portfolio is:

A. The risk-free rate

B. Insufficient information to answer the question

C. Zero

D. The market return

Answers

The expected return of the minimum variance portfolio is not provided in the question. Therefore, the correct answer is B. Insufficient information to answer the question.

The expected return of the minimum variance portfolio is not provided in the question. Therefore, the correct answer is B. Insufficient information to answer the question.
To understand why, let's break it down. The minimum variance portfolio is a portfolio that seeks to minimize risk by allocating assets in a way that reduces overall volatility. It is typically constructed by selecting assets with low correlation to each other.
The expected return of a portfolio depends on the returns of the individual assets and their respective weights in the portfolio. Without information on the specific assets and their returns, we cannot determine the expected return of the minimum variance portfolio.
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