haylock incorporated bases its manufacturing overhead budget on budgeted direct labor-hours. the direct labor budget indicates that 7,100 direct labor-hours will be required in august. the variable overhead rate is $1.90 per direct labor-hour. the company's budgeted fixed manufacturing overhead is $100,370 per month, which includes depreciation of $8,980. all other fixed manufacturing overhead costs represent current cash flows. the august cash disbursements for manufacturing overhead on the manufacturing overhead budget should be:

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Answer 1

The August cash disbursements for manufacturing overhead on the manufacturing overhead budget should be $104,880.

To calculate the August cash disbursements for manufacturing overhead, we will consider both variable and fixed manufacturing overhead costs, excluding depreciation since it's a non-cash expense.

First, we need to determine the total variable manufacturing overhead cost by multiplying the variable overhead rate by the number of direct labor-hours required in August:

Variable overhead cost = Variable overhead rate × Direct labor-hours
Variable overhead cost = $1.90 × 7,100 hours
Variable overhead cost = $13,490

Next, we will calculate the cash disbursements for fixed manufacturing overhead by subtracting the depreciation expense from the total fixed manufacturing overhead:

Cash disbursements for fixed overhead = Fixed manufacturing overhead - Depreciation
Cash disbursements for fixed overhead = $100,370 - $8,980
Cash disbursements for fixed overhead = $91,390

Finally, we will add the variable overhead cost and cash disbursements for fixed overhead to find the total cash disbursements for manufacturing overhead in August:

August cash disbursements for manufacturing overhead = Variable overhead cost + Cash disbursements for fixed overhead
August cash disbursements for manufacturing overhead = $13,490 + $91,390
August cash disbursements for manufacturing overhead = $104,880

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Related Questions

Received this response on a cash confirmation, "Information is furnished as a matter of courtesy without a duty to do so and without responsibility, liability, or warrant, expressed or implied". The bank balance was correct and matched. Would this confirmation still be persuasive and reliable? why or why not?

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The cash confirmation may still be persuasive and reliable despite the disclaimer because the bank balance was correct and matched. However, the disclaimer indicates that the information provided is done so as a courtesy and without any legal responsibility or liability.

In this context, a cash confirmation is a process where a third party, such as a bank, confirms the amount of cash or cash equivalents held by an entity. This confirmation is often used as evidence in audits or financial statement reviews to provide assurance about the accuracy of financial information.
The disclaimer in the response means that the bank provided the information voluntarily and without any legal obligation to do so. It also states that the bank is not responsible for any errors or omissions in the information provided.
While the disclaimer may reduce the weight given to the confirmation, the fact that the bank balance was correct and matched indicates that the information is likely reliable. However, it is important to consider the context and the purpose of the confirmation when assessing its reliability and persuasiveness.

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gianna and ricardo have been assigned to work on coming up with alternate ways to motivate and reward employees. they have three months to come up with options for top management. gianna and ricardo are part of a(n) .

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Gianna and Ricardo have been given the task to find alternate ways to motivate and reward employees within a time frame of three months.

They are most likely a part of a team or a committee that has been formed to tackle this issue. The team might consist of members from different departments, who will bring their unique perspectives and expertise to the table to find the best solutions.
The task at hand is crucial as employee motivation and rewards are essential to the success of any organization. The team will have to analyze the current system of rewards and motivation in the organization, identify its strengths and weaknesses, and come up with better alternatives.
Gianna and Ricardo will have to brainstorm ideas, conduct research, and gather feedback from employees to understand what motivates them. They will then have to narrow down their options to a few feasible ones and present them to the top management. The team's presentation should include the advantages and disadvantages of each option, the implementation process, and the potential impact it will have on the employees and the organization.
In summary, Gianna and Ricardo are most likely part of a team or committee that has been assigned to find alternate ways to motivate and reward employees. They have a time frame of three months to complete this task, which is critical to the success of the organization. The team will have to analyze the current system, brainstorm ideas, conduct research, gather feedback, and present their options to the top management.

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among other things, recessions are characterized by declining average incomes of the consumers. as a result the level of consumption spending frequently declines negatively affecting all businesses in the economy. question 21 options: true false

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The given statement "Among other things, recessions are characterized by declining average incomes of the consumers. as a result the level of consumption spending frequently declines negatively affecting all businesses in the economy" is True because Recessions are typically characterized by a decrease in economic activity and a decline in the overall level of business activity.

As a result of this decline, the incomes and wages of consumers generally decrease. With lower incomes, consumers have less money available to spend on goods and services, leading to a decrease in consumption spending. This decrease in consumption spending can have a negative impact on all businesses in the economy, not just those in specific industries or sectors.

The decline in consumer spending can lead to a decrease in demand for goods and services, which can lead to lower revenues and profits for businesses. This, in turn, can lead to lower levels of investment and hiring, creating a negative feedback loop that can deepen the recession. The decline in demand can also lead to excess inventory and production, further reducing profits and potentially leading to layoffs or business closures.

In summary, the declining average incomes of consumers during recessions can have a significant negative impact on businesses in the economy, leading to decreased consumer spending, lower revenues and profits, and potentially worsening the overall economic situation.

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you deposit $4000 each year into an account earning 3% interest compounded annually. how much will you have in the account in 30 years?

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You will have approximately $190,280 in your account in 30 years after depositing $4,000 each year with 3% interest compounded annually.

To determine how much you will have in your account in 30 years after depositing $4,000 each year with 3% interest compounded annually, we can use the Future Value of Annuity formula:

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

Where:
FV = Future Value of the annuity
P = Periodic deposit (in your case, $4,000)
r = Interest rate per period (3% or 0.03 as a decimal)
t = Number of periods (30 years in your case)

Step 1: Plug in the values into the formula
FV = 4000 * [(1 + 0.03)³⁰ - 1] / 0.03

Step 2: Calculate (1 + 0.03)³⁰
(1.03)³⁰ ≈ 2.427

Step 3: Subtract 1 from the result in Step 2
2.427 - 1 = 1.427

Step 4: Divide the result in Step 3 by the interest rate
1.427 / 0.03 ≈ 47.57

Step 5: Multiply the result in Step 4 by the periodic deposit
4000 * 47.57 ≈ 190,280

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electronic superstore's inventory increases during the year by $5 million, and its accounts payable to suppliers increases by $7 million during the same period. what is the amount of cash paid to suppliers of merchandise during the reporting period if its cost of goods sold is $45 million?

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Answer: To determine the amount of cash paid to suppliers of merchandise during the reporting period, we need to consider the change in inventory and accounts payable.

Explanation: The formula to calculate cash paid to suppliers is:

Cash Paid to Suppliers = Cost of Goods Sold + Increase in Inventory - Increase in Accounts Payable

Given the information provided:

Cost of Goods Sold = $45 million

Increase in Inventory = $5 million (inventory increases during the year)

Increase in Accounts Payable = $7 million (accounts payable to suppliers increases during the year)

Let's calculate the cash paid to suppliers:

Cash Paid to Suppliers = $45 million + $5 million - $7 million

Cash Paid to Suppliers = $43 million

Therefore, the amount of cash paid to suppliers of merchandise during the reporting period is $43 million.

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the difference in the calculation of the cost-to-retail percentage applying the conventional retail method and the average cost method is that the average cost method:

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The difference in the calculation of the cost-to-retail percentage applying the conventional retail method and the average cost method is that the average cost method takes into account the cost of the product, the markup, and the retail price, while the conventional retail method only takes into account the retail price and the markup.

Under the conventional retail method, the cost-to-retail percentage is calculated by taking the markup percentage and multiplying it by the difference between the cost of the product and the retail price. The average cost method, on the other hand, calculates the cost-to-retail percentage by taking the average of the cost of the product, the markup, and the retail price, and then applying the markup percentage to the average cost.

Therefore, the main difference between the two methods is that the average cost method takes into account all three of these factors (cost, markup, and retail price) in the calculation of the cost-to-retail percentage, while the conventional retail method only takes into account the retail price and the markup. This can result in slightly different cost-to-retail percentages depending on the specific circumstances.  

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a service provider suggests that their service recovery will be within 24 hours in the event of a disaster. what is that an example of?

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This is an example of a service level agreement (SLA). The SLA provides a measure of accountability and helps ensure that the provider meets the expectations of their customers.

An SLA is a contract between a service provider and their customers that specifies the level of service that the provider will deliver, including metrics such as response time, uptime, and resolution time in case of service disruptions or outages.In this case, the service provider is specifying that they will recover their service within 24 hours in the event of a disaster, which is a metric that has been agreed upon in the SLA.

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you are considering purchasing a used car for $9,000. records for other vehicles show that the costs for oil, tires, and repairs are about equal to the cost for fuel. fuel costs are $990 per year if the truck is driven 16,000 kilometers per year. the salvage value after 5 years of use drops about 5% per kilometer. (a) find the equivalent uniform annual cost if the interest rate is 8%. how much does this change if the annual mileage is 50% greater? how much does this change if the annual mileage is 50% lower? (b) if these three estimates are the mo

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The equivalent uniform annual cost, with an interest rate of 8%, is $2,365.42. If the annual mileage is 50% greater, the equivalent uniform annual cost will increase to $2,747.47. If the annual mileage is 50% lower, the equivalent uniform annual cost will decrease to $1,983.37.

To calculate the equivalent uniform annual cost, we consider the initial purchase price, annual fuel costs, and salvage value. Given that the truck is purchased for $9,000 and the fuel costs are $990 per year for 16,000 kilometers of driving, we can calculate the equivalent uniform annual cost using the Present Worth (PW) formula.

Using the PW formula with an interest rate of 8% and a 5-year time period, we can calculate the equivalent uniform annual cost to be $2,365.42.

To determine how the equivalent uniform annual cost changes with a 50% increase in annual mileage, we multiply the fuel costs by 1.5. This results in an equivalent uniform annual cost of $2,747.47.

Conversely, for a 50% decrease in annual mileage, we multiply the fuel costs by 0.5, resulting in an equivalent uniform annual cost of $1,983.37.

Therefore, increasing or decreasing the annual mileage by 50% has a significant impact on the equivalent uniform annual cost due to the proportionate change in fuel costs.

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Complete Question

You are considering purchasing a used car for $9,000. records for other vehicles show that the costs for oil, tires, and repairs are about equal to the cost for fuel. fuel costs are $990 per year if the truck is driven 16,000 kilometers per year. the salvage value after 5 years of use drops about 5% per kilometer. (a) find the equivalent uniform annual cost if the interest rate is 8%. how much does this change if the annual mileage is 50% greater? how much does this change if the annual mileage is 50% lower?

Which of the following sentences use correct capitalization? Check all that apply.When Doctor Smith, President of Smithman Medical Group, spoke to our organization last Fall, we were all impressed with his speaking skills.Professor Lopez, chair of the Management and Organizations Department, teaches Management 391 in the fall and a business ethics course in the spring.Governor Richards directed the committee’s attention to Exhibit A.

Answers

"When Doctor Smith, President of Smithman Medical Group, spoke to our organization last Fall, we were all impressed with his speaking skills." This sentence correctly capitalizes the titles "Doctor" and "President," as well as the proper noun "Smithman Medical Group." However, the word "Fall" should be lowercase, making it "fall."

The sentences that use correct capitalization are:

1. "Governor Richards directed the committee’s attention to Exhibit A." This sentence correctly capitalizes the title "Governor" and the proper noun "Richards." Additionally, "Exhibit A" is appropriately capitalized as it refers to a specific document.

The sentence with incorrect capitalization is:

1. "Professor Lopez, chair of the Management and Organizations Department, teaches Management 391 in the fall and a business ethics course in the spring." In this sentence, the word "chair" should be capitalized as "Chair" since it is part of the title. Additionally, the words "fall" and "spring" are correctly written in lowercase as they are not proper nouns.

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Dan signs a check payable to Ed, who indorses the back, gives it to Foodway Market, and receives cash. The transfer of the check from Dan to Ed is
a. an assignment.
b. a negotiation.
c. none of the choices.
d. a sale.

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Dan signs a check payable to Ed, who indorses the back, gives it to Foodway Market, and receives cash. The transfer of the check from Dan to Ed is a negotiation.

In the context of checks, a negotiation refers to the transfer of a negotiable instrument, such as a check, from one party to another in a way that gives the transferee (the new holder) the right to enforce payment from the issuer. The negotiation of a check typically involves the indorsement of the check by the payee, which signifies their intention to transfer the check to another party.

In the given scenario, Dan signs a check payable to Ed. When Ed indorses the back of the check, he is effectively transferring ownership of the check to Foodway Market. By giving the check to Foodway Market and receiving cash in return, Ed has negotiated the check by transferring it to a new party in exchange for value.

An assignment refers to the transfer of a non-negotiable right or claim, and a sale typically involves the transfer of ownership of a tangible or intangible asset in exchange for consideration. In this case, the transfer of the check is not an assignment because it involves a negotiable instrument, and it is not a sale because it does not involve the transfer of ownership of an asset.

The transfer of the check from Dan to Ed is considered a negotiation, as Ed indorses the check and transfers it to Foodway Market, giving them the right to enforce payment from the issuer.

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If annual demand is 6,000, ordering cost is $45, and holding cost is $20, what is EOQ? a. 0.5 b. 164.3 c. 73.1 d. 9.5 e. 79.6

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The Economic Order Quantity (EOQ) is a formula used in inventory management to determine the optimal order quantity that minimizes the total inventory costs. It helps businesses find the right balance between ordering costs and holding costs.

To calculate the Economic Order Quantity (EOQ), we can use the formula:

EOQ = √[(2 * annual demand * ordering cost) / holding cost]

Given the following values:

Annual demand = 6,000

Ordering cost = $45

Holding cost = $20

Substituting these values into the formula:

EOQ = √[(2 * 6,000 * $45) / $20]

EOQ = √[(2 * 270,000) / $20]

EOQ = √[13,500]

EOQ ≈ 116.2

Therefore, the EOQ is approximately 116.2. None of the provided answer choices (a, b, c, d, e) matches the calculated EOQ value.

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A sole proprietorship is a
Group of answer choices

form of business owned by one person.

form of business whose profits are exempt from federal tax laws.

business which is exempt from zoning requirements.

business that does not require a license to operate.

Answers

A sole proprietorship is a *form of business owned by one person*

Have a good day ^^

Yuma, Arizona resident Rosalind Setchfield won $1.3 million in an Arizona lottery drawing, to be paid in 20 installments of $65,277. However, her husband, a construction worker, suffered serious injuries when a crane dropped a heavy beam on him. The couple’s medical expenses and debt mounted. Six years later, in early 2015, a prize broker from Singer Asset Financing Company telephoned Mrs. Setchfield with a promising offer. Singer would immediately give her $140,000 for one-half of each of her next nine prize checks (1/2 * 9 * $65,277 = $293,746), an amount close to 48% of the $293,746, she had coming over that period. A big lump sum had obvious appeal to Mrs. Setchfield at that time, and she ended up signing a contract with Singer. Did she make the right decision? The following table gives the details. Beginning of YearYear Installment Proposal2008 $65,277 $65,2772009 $65,277 $65,2772010 $65,277 $65,2772011 $65,277 $65,2772012 $65,277 $65,2772013 $65,277 $65,2772014 $65,277 $65,2772015 $65,277 $32,638.502016 $65,277 $32,638.502017 $65,277 $32,638.502018 $65,277 $32,638.502019 $65,277 $32,638.502020 $65,277 $32,638.502021 $65,277 $32,638.502022 $65,277 $32,638.502023 $65,277 $32,638.502024 $65,277 $65,2772025 $65,277 $65,2772026 $65,277 $65,2772027 $65,277 $65,277Please use excel to solve

Answers

Therefore, from a financial standpoint, it seems that Mrs. Setchfield did not make the right decision as she took a significantly lower amount than the present value of the remaining payments from the lottery company.

This is a problem related to time value of money and evaluating the present value of the future cash flows. To calculate the present value of the future cash flows, you can use the financial function called "Present Value" or PV in Excel.

To calculate the present value of the 9 payments of $32,638.50, you can use the PV function in Excel as follows:

1. In cell B2, enter "=PV(0.1/2,9,-32638.50*0.5)"

2. This will result in a present value of $125,528.69.

To calculate the present value of the remaining 11 payments of $65,277, you can use the PV function in Excel as follows:

1. In cell B18, enter "=PV(0.1/2,11,-65277)"

2. This will result in a present value of $423,768.99.

Thus, the total present value of all the future cash flows is the sum of these two present values, which is $549,297.68. This means that Singer Asset Financing Company paid Mrs. Setchfield $140,000 for an amount that was worth $549,297.68 at the time of the agreement. Therefore, from a financial standpoint, it seems that Mrs. Setchfield did not make the right decision as she took a significantly lower amount than the present value of the remaining payments from the lottery company.

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a project has an initial cash outfiow of $48,000 and produces cash inflows of $19,000 $22,000, and $18,000 for years 1 through 3, respectively what is the npv at a discount rate of 12 percent?

Answers

At a discount rate of 12 percent, the NPV of the project is negative, which suggests that the project is not profitable and may not be worth pursuing.

To calculate the NPV of the project, we need to discount the cash inflows by the discount rate of 12 percent.

Year 1:

$19,000 / (1 + 0.12)¹ = $16,964.29

Year 2:

$22,000 / (1 + 0.12)² = $17,941.76

Year 3:

$18,000 / (1 + 0.12)³ = $12,990.58

Now we can calculate the NPV by summing the present values of the cash inflows and subtracting the initial cash outflow:

NPV = -$48,000 + $16,964.29 + $17,941.76 + $12,990.58

NPV = $-308.37

Therefore, at a discount rate of 12 percent, the NPV of the project is negative, which suggests that the project is not profitable and may not be worth pursuing.

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__________ is something valuable that a lender would have a right to________________ if the loan is not repaid.
A. Collateral; sue for
B. A guarantee; seize and retain
C. A guarantee; sell
D. Collateral; seize and sell

Answers

D. Collateral; seize and sell; In the case of non-repayment, the lender has the right to seize and sell the collateral provided by the borrower as security for the loan.

In lending and borrowing scenarios, collateral refers to something of value that a borrower provides as security for a loan. If the borrower fails to repay the loan, the lender has the right to seize and sell the collateral to recover the outstanding debt. This process is known as repossession.

Option D correctly states that collateral can be seized and sold by the lender in the event of non-repayment. This is a common practice in secured loans where the borrower pledges an asset (such as a car, house, or valuable item) as collateral.

Option A is incorrect because the lender does not necessarily have to sue for the collateral. Instead, they can exercise their right to seize it if the loan is not repaid.

Option B is incorrect because a guarantee is a promise or assurance made by a third party to assume responsibility for the loan if the borrower defaults. In such cases, the lender would typically pursue the guarantor for repayment rather than seizing and retaining assets.

Option C is also incorrect because a guarantee does not involve selling collateral. Instead, the guarantor becomes liable for the loan if the borrower fails to repay.

The correct answer is D. In the case of non-repayment, the lender has the right to seize and sell the collateral provided by the borrower as security for the loan. It is essential for borrowers to understand the terms and conditions associated with collateralized loans to avoid the potential loss of assets in the event of default.

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financial, hr, and operations management are the core erp modules. True/False

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True. Financial, HR, and operations management are considered the core ERP modules.

These modules help organizations to manage their financials, human resources, and operations efficiently. The financial module helps to manage accounting, budgeting, and financial reporting, while the HR module helps to manage employee data, payroll, and benefits. Finally, the operations management module helps to manage production, inventory, and supply chain management. These three modules are considered the foundation of any ERP system and are essential for any organization to run efficiently. However, depending on the specific needs of an organization, there may be additional ERP modules required to fully support their operations. In conclusion, ERP systems are designed to streamline and integrate business processes across the organization, and the financial, HR, and operations management modules are at the core of this functionality.

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kyra is a middle manager for her firm and just finished comparing the results of a promotional campaign with the company's outcome expectations. the next step in the control process is

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The next step in the control process for Kyra is to take corrective action if the promotional campaign did not meet the company's outcome expectations.

The control process is an essential function of management that involves setting standards, measuring performance, comparing results to expectations, and taking corrective action if necessary. In this case, Kyra has just completed the step of comparing the results of the promotional campaign with the company's outcome expectations. If the results are consistent with expectations, Kyra can move on to the next step of the control process, which involves maintaining performance and making adjustments as needed. However, if the results are not consistent with expectations, Kyra must take corrective action to bring performance back in line with expectations.

Corrective action can take many forms depending on the nature of the problem. For example, Kyra may need to revise the promotional campaign to better align with the company's goals, increase resources allocated to the campaign, or change the performance expectations for the campaign. Kyra may also need to provide additional training or resources to employees involved in the campaign to improve performance. Whatever the corrective action may be, it is essential to take action promptly to ensure that the company's goals are met.

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Based on the following information, compute cash flows from investing activities under GAAP.Cash collections from customers $800Purchase of used equipment 200Depreciation expense 200Sale of investments 450Dividends received 100Interest received 200

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The net cash inflow from investing activities is $250. Cash flows from investing activities are important to investors and analysts as they indicate a company's ability to invest in long-term assets to generate future growth and earnings.

The cash flows from investing activities under GAAP can be computed as follows:
Cash inflow from the sale of investments is $450.
Cash outflow from the purchase of used equipment is $200.
Depreciation expense is a non-cash item and is not included in cash flows from investing activities.
Cash inflow from dividends received is $100.
Cash inflow from interest received is $200.


Therefore, the net cash inflow from investing activities is $250 ($450 - $200). This represents the change in cash resulting from the purchase and sale of long-term assets such as property, plant, and equipment, as well as investments.

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jill is selling her property to carl. after they agreed upon a sale price they both signed the sales contract. carl is reviewing the disclosure form, which shows the septic system is in the process of being repaired. there is a waiver attached to the property due to the failed septic system. what options does carl have regarding the purchase of jill's property? select one: a. carl is allowed to back out of the contract and get his full deposit refunded b. carl is obligated by the sales contract to buy jill's property c. carl can ask to back out of the sales contract but he risks a breach and loss of his deposit d. carl will have to take the matter to court

Answers

Regarding the purchase of jill's property the correct answer is (C) - Carl can ask to back out of the sales contract but he risks a breach and loss of his deposit.

When purchasing a property, it is common for the seller to provide a disclosure form to the buyer. The disclosure form provides information about the condition of the property, including any repairs or maintenance that have been made or are in progress. In this case, the disclosure form shows that the septic system is in the process of being repaired and there is a waiver attached to the property due to the failed septic system.

After signing the sales contract, Carl has the option to back out of the contract if he discovers something about the property that he is not comfortable with. However, if he chooses to do so, he risks breaching the contract and losing his deposit. The terms of the sales contract will determine the amount of the deposit and the circumstances under which it can be forfeited.

If Carl believes that the information in the disclosure form was not provided in good faith or that Jill misrepresented the condition of the property, he may have grounds for legal action. However, in most cases, it is best to try to resolve any issues through negotiation or mediation before resorting to legal action..

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what can a manager do to discourage social loafing in a group?a) create large groups with a high degree of diversityb) focus on recognizing the group's performance as a wholec) downplay individual contributions by splitting bonuses equally among all team membersd) assign tasks to group members and hold them accountable for their performance

Answers

To discourage social loafing, a manager can d) assign tasks to group members and hold them accountable for their performance.

What is social loafing ?

Social loafing can occur when group members feel that their contributions will not be recognized or valued, leading to a decrease in efforts. To mitigate this phenomenon, allocating specific assignments to each individual while holding them accountable for their performance serves as an effective deterrent.

By ensuring that every member owns a particular task, they become more responsible for their workload and less reliant on others within the group to carry out assigned duties.

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the is a living document in which the results of risk analysis and risk response planning are recorded.

Answers

The living document that records the results of risk analysis and risk response planning is known as the risk register.

This document is an important tool in project management as it allows stakeholders to keep track of identified risks, the likelihood of occurrence, potential impact, and the response strategies in place. A detailed risk register should include a description of the risk, its potential impact, the likelihood of occurrence, the risk owner, and the response strategy. Regular updates to the risk register throughout the project ensure that the team is aware of any changes to the risk landscape and can take appropriate action. The Risk Register is a living document in which the results of risk analysis and risk response planning are recorded. It serves as a tool for project management and helps in identifying, assessing, and mitigating risks throughout the project lifecycle.

1. Identify risks: List all potential risks that could impact the project.

2. Analyze risks: Assess the probability and impact of each risk on the project objectives.

3. Plan risk responses: Develop strategies to address each identified risk, such as avoidance, mitigation, transfer, or acceptance.

4. Monitor and control risks: Regularly review and update the Risk Register to track the effectiveness of risk responses and identify any new risks that may emerge during the project.

5. Communicate risks: Share the Risk Register with relevant stakeholders to ensure awareness and proper decision-making.

Remember to continuously update the Risk Register as the project progresses, keeping it a living document.

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Despite the various countries of origin of Hispanic Americans, this subcultural group is often considered by some people as a single market based on ________. A. age B. nationality C. language D. religion E. geographic location

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Hispanic Americans are often considered as a single market based on their language. The term "Hispanic" refers to people who speak Spanish and/or have cultural ties to Spanish-speaking countries.

While Hispanic Americans come from various countries of origin, they share a common language, which is Spanish. This language serves as a unifying factor that allows them to communicate and share cultural traditions. As a result, many businesses and marketers target Hispanic Americans as a single market based on their language, assuming that they share similar values, interests, and needs.
In conclusion, while other factors such as age, nationality, religion, and geographic location may also play a role in shaping the experiences and identities of Hispanic Americans, language is often the most salient characteristic that unites them as a subcultural group. Understanding the role of language in shaping the Hispanic American identity is essential for businesses and marketers who seek to reach this market effectively.

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Beck Company has just billed a customer for $1,400, an amount that includes a eight percent excise tax and a four percent state sales tax. a. What amount of revenue is recorded? b. Prepare a journal entry to record the transaction on the books of Beck Company Round all answers to the nearest dollar.

Answers

The customer's debt is recorded as a negative against the Accounts Receivable account, and Beck Company's revenue is recorded as a credit against the Revenue account. To reflect the amount of tax that the business is in charge of collecting and remitting to the appropriate authorities, credits are made to the Excise Tax Payable and State Sales Tax Payable accounts.

Based on the information provided, we can calculate the amount of revenue recorded by Beck Company as follows:

Total amount billed = $1,400
Excise tax (8%) = $112
State sales tax (4%) = $56

Revenue = Total amount billed - Excise tax - State sales tax
Revenue = $1,400 - $112 - $56
Revenue = $1,232

Therefore, the amount of revenue recorded by Beck Company is $1,232.

To record the transaction on the books of Beck Company, we would need to make a journal entry. Since the company has just billed the customer, we would record the following:

Debit Accounts Receivable for $1,400
Credit Revenue for $1,232
Credit Excise Tax Payable for $112
Credit State Sales Tax Payable for $56

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what is the difference between the industry demand curve for a typical good and the demand curve for an individual firm in the market assuming the market is in perfect

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The difference between the industry demand curve for a typical good and the demand curve for an individual firm in the market, assuming the market is in perfect competition, lies in the scope and level of influence.

The industry demand curve represents the total quantity of a good or service that all consumers in the market are willing and able to buy at different price levels. It is downward-sloping, illustrating the inverse relationship between price and quantity demanded. This curve is determined by aggregating the demand curves of all individual consumers in the market.

On the other hand, the demand curve for an individual firm in a perfectly competitive market is horizontal, meaning it is perfectly elastic. This is because the firm is a price-taker, meaning it has no control over the market price and must accept the equilibrium price determined by the market supply and demand forces. In perfect competition, the products offered by each firm are identical, so consumers have no preference among suppliers, and the firm cannot charge a higher price than its competitors without losing all its customers.

In summary, the industry demand curve shows the overall market demand for a typical good, whereas the demand curve for an individual firm in a perfectly competitive market reflects the firm's ability to sell its product at the prevailing market price without influencing the price itself.

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A company paid $500 by check for office supplies that it had previously purchased on credit. This transaction would debit the ________ ________,account, and credit the ________account.

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This transaction would debit the Accounts Payable account and credit the Cash account.

The transaction of a company paying $500 by check for office supplies previously purchased on credit would debit the Accounts Payable account and credit the Cash or Checking account.

When a company purchases supplies on credit, it records the transaction by debiting the Office Supplies account and crediting the Accounts Payable account. This increases the company's liabilities because it owes the amount to the supplier.

When the company pays for those supplies by check, it reduces the amount owed in the Accounts Payable account and decreases its liabilities. The transaction is recorded by debiting the Accounts Payable account and crediting the Cash or Checking account.

The journal entry for this transaction would be as follows:

Debit: Accounts Payable $500

Credit: Cash or Checking $500

In summary, when a company pays for office supplies previously purchased on credit, it debits the Accounts Payable account to reduce its liabilities and credits the Cash or Checking account to reflect the payment made. This transaction ensures accurate record-keeping of the company's financial transactions and helps maintain proper accounting balances.

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which of the following is a common driver of international expansion? question 3 options: going to a foreign market to serve a major customer exporting to get more revenue avoiding risk in international markets establishing a new brand to replace a brand in the home market

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Exporting to get more revenue is a common driver of international expansion. When a company seeks to expand internationally, one of the primary motivations is to tap into new markets and increase their revenue streams. By exporting products or services to foreign markets, businesses can reach a larger customer base, potentially accessing untapped demand and generating additional sales and profits.

While the other options may also be factors considered in international expansion strategies, they are not as commonly cited as the pursuit of increased revenue through exporting. Going to a foreign market to serve a major customer can be a specific case where expansion is driven by the opportunity to cater to a significant client's needs. Avoiding risk in international markets is more of a defensive approach rather than a driving force for expansion. Establishing a new brand to replace a brand in the home market focuses on rebranding and market positioning rather than directly driving international expansion.

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If households and firms decide to hold less of their money in checking account deposits and more in currency, then the economy's money supply:
A. will increase.
B. will decrease.
C. will not change.
D. may increase, decrease, or not change.

Answers

If households and firms decide to hold less of their money in checking account deposits and more in currency, then the economy's money supply may increase, decrease, or not change.

The money supply is determined by the amount of currency and checking account deposits in circulation. If households and firms hold more currency and less checking account deposits, the amount of currency in circulation will increase while the amount of checking account deposits will decrease. This will result in a decrease in the money supply.

However, if the banks respond to this shift in behavior by reducing their reserves and making more loans, then the money supply may increase. The banks may do this because they still need to meet the demand for loans despite the decrease in checking account deposits.

On the other hand, if the banks do not respond to the shift in behavior, then the money supply will not change. This is because the decrease in checking account deposits will be offset by the increase in currency in circulation.

In summary, the effect on the money supply will depend on how the banks respond to the shift in behavior by households and firms.

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What does the APT say about alpha? a. Alpha is zero for well-diversified portfolios. b. Alpha is zero for all securities. c. Alpha equals the risk-free rate. d. Alpha is irrelevant.

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According to the APT, alpha is irrelevant because any abnormal return can be explained by exposure to one or more macroeconomic factors.

The Capital Asset Pricing Model (CAPM) describes the expected return of a security as a function of its beta and the expected market return. The difference between the actual return and the expected return is called alpha. The APT, or Arbitrage Pricing Theory, is an alternative asset pricing model that suggests that the expected return of a security is a function of multiple macroeconomic factors, rather than just the market return. Therefore, a security with positive alpha is simply a reflection of the fact that it is sensitive to certain macroeconomic variables that are not included in the APT model.

The APT theory suggests that alpha is irrelevant because it can be explained by exposure to macroeconomic factors. Therefore, investors should focus on selecting securities that have exposure to the most relevant macroeconomic factors for their investment strategy.

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alesha has a gift for thinking of new and innovative ideas. as a child, she would sell lemonade for $0.50 and use the money to buy other ingredients to expand her offerings. she has now started her own fruit juice business after graduating from college with a finance degree. what would we call alesha?

Answers

Alesha can be described as an entrepreneur with a knack for innovation. As a child, she demonstrated business acumen by selling lemonade and using the profits to expand her product range. Her creativity in developing new ideas and taking calculated risks set her apart.

Based on the information provided, Alesha can be described as an entrepreneur. An entrepreneur is an individual who takes initiative to start and manage their own business venture, often with innovative ideas and a willingness to take risks. Alesha's early efforts of selling lemonade and using the profits to expand her offerings demonstrate her entrepreneurial mindset. Additionally, her decision to start a fruit juice business after completing her finance degree further supports her status as an entrepreneur.

As an entrepreneur, Alesha is likely driven by a desire to succeed and create something new, which is evident in her ability to think of new and innovative ideas. Her entrepreneurial spirit may also lead her to take calculated risks in order to achieve her goals and grow her business. Overall, Alesha's background and current endeavors make her a strong example of an entrepreneur. Alesha's journey showcases her ability to identify opportunities, innovate, and successfully establish a venture.

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13) Which of the following steps in the systems definition process aims to eliminate obviously nonsensible projects?
A) defining the system goals and scope
B) forming the project team
C) assessing the project feasibility
D) planning the project

Answers

The correct answer is: C) assessing the project feasibility

Assessing the project feasibility is the step in the systems definition process that aims to eliminate obviously nonsensible projects. During this phase, the project team evaluates the project's feasibility in terms of technical, economic, operational, schedule, and legal aspects. The purpose is to determine whether the project is viable and aligns with the organization's goals and resources. By assessing feasibility, obviously nonsensible projects that lack the necessary requirements or have insurmountable challenges can be identified and eliminated early on. This step helps ensure that only feasible and worthwhile projects move forward in the systems development process.

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