Margie takes advantage of the day care services that her company provides to their employees. The value of the day care is $5,000 per year, of which Margie pays $2,000. How much of the benefit is a taxable fringe benefit to Margie and will be reported as income on her Form W-2?
a. $0
b. $2,000
c. $3,000
d. $5,000

Answers

Answer 1

The taxable fringe benefit for Margie in this scenario would be $3,000 (option c).

When an employer provides certain benefits to employees, such as day care services, the value of those benefits may be considered taxable income. In this case, the total value of the day care services provided by Margie's company is $5,000 per year. However, Margie pays $2,000 towards this benefit, which means she is only receiving $3,000 in taxable fringe benefits.

To determine the taxable amount, we subtract the amount paid by the employee from the total value of the benefit. Therefore, Margie will have $3,000 as a taxable fringe benefit, which will be reported as income on her Form W-2.

It's important to note that tax laws and regulations may vary, so it's always advisable to consult with a tax professional or refer to the official IRS guidelines for accurate and up-to-date information.

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Related Questions

of 4 -Book FI 5-57 (LU 5-2) (Algo) [The following information applies to the questions displayed below] George and Weezy received $29,500 of Social Security benefits this year ($11,200 for George: $18

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The benefits which George and Weezy are receiving from Social Security are the sum of their monthly benefits throughout the year, and it is calculated based on the difference between their provisional income and the limit allowed by the IRS. In order to determine if any part of their benefits received is taxable, George and Weezy’s provisional income should be calculated which is $40,200 (which includes half of their Social Security benefits). The combined threshold for married filing jointly for George and Weezy is $32,000, which means that part of their benefits received ($8,200) is taxable.

George and Weezy are receiving a combined amount of $29,500 in Social Security benefits this year, with George receiving $11,200 and Weezy receiving $18,300. To determine whether their Social Security benefits are taxable or not, their provisional income must be calculated, which is calculated based on a combination of their total annual income and the Social Security benefits received. In this case, George and Weezy’s provisional income is $40,200, which includes half of their total Social Security benefits ($14,750) as well as their combined gross income. Because their provisional income is over the threshold of $32,000 for married couples filing jointly, part of their Social Security benefits will be taxed. The next step is to calculate how much of their benefits are taxable. This is determined by taking half of their total Social Security benefits and adding that amount to their other sources of income. In this case, half of their benefits are $14,750 and their other income is $25,450, which brings their provisional income to $40,200.Since their provisional income exceeds the threshold, a portion of their benefits is taxable. In this case, the taxable amount is $8,200, which is calculated by subtracting the base amount of $32,000 from their provisional income of $40,200.

George and Weezy are receiving a combined Social Security benefit of $29,500 this year, with George receiving $11,200 and Weezy receiving $18,300. Since their combined provisional income is $40,200, which is higher than the threshold of $32,000 for married couples filing jointly, they will owe taxes on a portion of their Social Security benefits. In this case, the taxable amount is $8,200, which is calculated by subtracting the base amount of $32,000 from their provisional income of $40,200. Therefore, they will owe taxes on $8,200 of their Social Security benefits.

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Provide a very simple example OF YOUR OWN of a company that diversifies through "internal development'. YQU MUST NOT describe when 'internal development is attractive, etc.' Only provide a very clear, simple example.

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Internal development is a strategic management practice, which entails developing new businesses from within the same company.

An excellent example of a company that has diversified through internal development is Apple, which created the iPod, iPhone, and iPad. The company established a strategy to create new products in different areas, which helped diversify their offerings and grow their brand to become a global force. The strategy allowed the company to take full advantage of their research and development team's talents, who, with every new product they introduced, delivered better technology to their consumers. The company's efforts in product development have helped it grow its market share in various markets, ensuring its success in the competitive technology industry. As a result, the company has continued to produce new products with unique features and improved design. The company has continued to grow and expand its product offerings, thus increasing its competitive edge in the market. Apple is a clear example of how a company can diversify its operations and expand its product offerings by investing in research and development and internal development.

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sprint and t-mobile compete against each other offering wireless service to us customers. the monthly demand curves (with quantities in millions) are

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Sprint and T-Mobile are both major players in the wireless service industry, offering their services to customers in the United States.

To understand their competition and the demand for wireless service, we need to analyze the monthly demand curves. Demand curves illustrate the relationship between the price of a product or service and the quantity demanded by consumers. They provide insights into how changes in price affect consumer behavior. However, without specific information about the demand curves, it is difficult to provide a detailed analysis.

In general, a downward-sloping demand curve indicates that as the price of wireless service decreases, the quantity demanded by customers increases. This reflects the typical inverse relationship between price and demand—consumers are more willing to purchase at lower prices. On the other hand, a flatter demand curve suggests that changes in price have a relatively smaller impact on the quantity demanded.

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T
orF
nts initially collect costs by some natural classificati on such as activities performed Companie s must assign all productio n-related costs to cost objects for external financial reporting purposes.

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Above statement is True. initially collect costs by some natural classification such as activities performed.

Companies must assign all production-related costs to cost objects for external financial reporting purposes. In order to understand costs, companies must classify costs according to their nature and then assign these costs to the cost objects. Initially, costs are collected and grouped based on their natural classification, like the cost of raw materials, labor costs, and other expenses. Later on, companies must assign all production-related costs to cost objects for external financial reporting purposes. This is done to accurately measure the total cost of producing goods or services. Cost objects can be products, departments, jobs, or other activities, and the cost is assigned to the specific object in order to understand the total cost of that object.

In summary, natural classification is used initially to collect costs and companies must assign all production-related costs to cost objects for external financial reporting purposes.

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The market for a good or service Quantity demanded 133.3 126.7 120 113.3 106.7 100 93.3 86.7 80 73.3 Question 12 The legislature imposes a tax of $10 on buyers in the market described above. How much do buyers pay for the good or service, including the tax? Price ($) 0 2 4 6 8 10 12 14 16 18 Quantity supplied 50 60 70 80 90 100 110 120 130 140 1 pts

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To determine buyers pay for the good or service, including the tax, we need to calculate the effective price after the tax is imposed. In this case, the tax is $10 on buyers.

Quantity demanded: 133.3 126.7 120 113.3 106.7 100 93.3 86.7 80 73.3

Price ($): 0 2 4 6 8 10 12 14 16 18

Since the tax is imposed on buyers, we need to add $10 to each price:

New Price ($): 10 12 14 16 18 20 22 24 26 28

Therefore, after the tax is imposed, buyers pay the new prices of $10, $12, $14, $16, $18, $20, $22, $24, $26, and $28 .

A service refers to the act of providing assistance, support, or performing tasks for someone else. It is intangible and typically involves interactions between individuals or businesses to fulfill a specific need or desire. Services can encompass a wide range of industries and sectors, including healthcare, hospitality, transportation, education, professional consulting, and more.

Examples of services include medical care provided by doctors, customer support offered by call centers, transportation services provided by taxi drivers, and legal advice given by lawyers. Unlike physical products, services are not tangible goods but rather activities, experiences, or expertise exchanged for value. They often involve direct or indirect interactions between service providers and customers, with the aim of meeting customer requirements, solving problems, or delivering desired outcomes.

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if a data line on a graph slopes upward as it goes to the right, it is depicting that

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If a data line on a graph slope upward as it goes to the right, it is depicting that the values of the dependent variable are increasing as the values of the independent variable increase.

In other words, there is a positive correlation between the two variables. For example, if we consider a graph depicting the relationship between the number of hours studied and the grades obtained by students in a class, and the line slopes upward as it goes to the right, it means that as the number of hours studied increases, the grades obtained by the students also increase. A positive correlation is one of the two types of correlations that can be observed between two variables, the other being negative correlation. In a positive correlation, as the values of one variable increase, so do the values of the other variable.

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Assignment 1: Study Projects (4%) 1. Define the project management triple constraint and explain its significance to IT project managers. (10 Points) 2. The Department of Health and Human Services (HHS) has awarded the Agency for Healthcare Research and Quality (AHRQ) $17 million to fund projects to fight costly and dangerous healthcare-associated infections (HAIs). Infections are one of the most common complications of hospital care. Nearly 2 million patients develop HAIs, which contribute to 99,000 deaths each year and $28 billion to $33 billion in healthcare costs. HAIs are caused by different types of bacteria that infect patients being treated in a hospital or healthcare setting for other conditions. Of the $17 million allocated, $8 million was funded for a national expansion of the project called Keystone Project, which within 18 months successfully reduced the rate of central-line blood stream infections in more than 100 Michigan intensive care units (ICUS) and saved 1,500 lives and $200 million. The project, to implement a comprehensive unit-based safety program, was originally started by Johns Hopkins University in Baltimore and the Michigan Health & Hospital Association. The program involved using a checklist of evidence-based safety practices, staff training, and other tools for preventing infections that can be implemented in hospital units; standard and consistent measurement of infection rates; and tools to improve teamwork among doctors, nurses, and hospital leaders. a) What are the success factors for Keystone Project? (10 Points) b) What difficulties do you envision in this project? (10 Points) c) What is the value of this project? (5 Points) d) What is the average cost of healthcare to treat patients with HAI? (5 Points)

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1. The project management triple constraint refers to the three factors (scope, cost, and time) that influence the outcome of a project. The project manager's job is to ensure that the project stays within these constraints. This is significant to IT project managers because it helps them stay on track and deliver the project within the given time frame and budget.

2a. The success factors for Keystone Project are:
Evidence-based safety practices: The use of evidence-based safety practices contributed to the reduction of central-line bloodstream infections. This method allowed the project to use proven safety practices that have been shown to work.
Teamwork: The project focused on improving teamwork among doctors, nurses, and hospital leaders. This resulted in a better understanding of how to prevent HAIs and how to manage them when they occur.
Consistent measurement of infection rates: Standard and consistent measurement of infection rates helped the project to track progress and determine what was working and what was not.
2b. The difficulties that could arise from the project are:
Resistance to change: The implementation of a new system may be met with resistance, particularly among staff who have been in the field for a long time.
Lack of resources: The project requires significant resources, including staff training and investment in technology. A lack of resources may impact the project's ability to meet its objectives.
2c. The value of the project is that it reduces the rate of central-line bloodstream infections, which can save lives and reduce healthcare costs. The use of evidence-based safety practices, staff training, and other tools for preventing infections that can be implemented in hospital units, combined with teamwork among doctors, nurses, and hospital leaders, results in a better understanding of how to prevent HAIs.
2d. The average cost of healthcare to treat patients with HAI is $28 billion to $33 billion.

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A friend of yours just inherited 1 million Dirhams after taxes. As he wants to start a small business and knowing you are going to a business school, he comes to you for advice. Your friend's attitude towards HR: "Employees are the most expensive cost to any business. if I don't control them, they will get me to go bankrupt. So zero tolerance right from the beginning. I am the boss, all goes through me! My way or the highway!"
a) What's wrong with your friend's attitude towards Human capital? Is he right or wrong? Justify and correct if necessary
b) As you remember all the discussion you had in Human Resources class, how could you advise your friend? Please elaborate a roadmap for him so that he approaches his human management journey in the best way possible. (APA Style, 2/3 Pages single space, with introduction and a conclusion

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This helps to increase morale and job satisfaction, which in turn leads to a more productive and profitable business.

a) Your friend's attitude towards human capital is negative and not right. Such an attitude is often referred to as a "Theory X" management style. This style assumes that people are lazy, don't like work, and are only motivated by money and punishment. A Theory X manager often micromanages employees, and morale is usually low as a result. Such an attitude can lead to a toxic work environment, high turnover rates, and ultimately a lack of profitability in the company. Therefore, it is not recommended to adopt this management style. b) As a new business owner, your friend must adopt a management style that recognizes and values the role of employees in the success of the company. A positive and more suitable management style is known as "Theory Y." This approach to management recognizes that employees are motivated by more than just money and punishment. Instead, employees are looking for work that is fulfilling and meaningful. The management style should be such that it supports and encourages employees to be innovative, creative, and responsible for their work. The following steps should be taken:1. Hire the right people: In order to have an efficient team, the right people should be hired for the job. It's important to look for people with the right experience, skills, and attitude. 2. Provide proper training: Employees should be provided with the necessary training so that they can perform their jobs effectively. 3. Set achievable goals: The management should set clear and achievable goals for the employees to work towards. 4. Encourage collaboration: Collaboration among team members can lead to better decision making, innovation, and creativity. 5. Provide feedback: Regular feedback helps employees to understand what they're doing right and what they need to improve upon.6. Offer employee benefits and incentives: Offering benefits and incentives to employees can help to retain them and motivate them to work harder.7. Employee empowerment: The management should empower employees by giving them the autonomy to make decisions and take ownership of their work. This helps to increase morale and job satisfaction, which in turn leads to a more productive and profitable business. In conclusion, it's important to recognize that employees are a valuable asset to any business. By adopting a positive management style and taking steps to support and empower employees, your friend can create a successful and profitable business.

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Suppose a company has two machining departments - Mixing and
then Ignition.
Explain 2-3 pages about the Ignition Department and what costs
it can add to the Work in Progress account

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The Ignition Department is responsible for operations related to the ignition system of the products being manufactured, adding costs to the Work in Progress account.

The Ignition Department is a specialized machining department that focuses on the ignition systems of the products being manufactured. This department is responsible for tasks such as installing ignition components, testing ignition systems, and ensuring their proper functionality. It plays a critical role in ensuring that the products operate efficiently and reliably.

In terms of costs, the Ignition Department incurs various expenses that are added to the Work in Progress account. These costs can be categorized into three main components: direct materials, direct labor, and overhead expenses.

Direct materials: The Ignition Department utilizes specific materials required for the ignition systems, such as ignition coils, spark plugs, wiring, and connectors. The cost of these materials, including their acquisition, storage, and usage, is recorded in the Work in Progress account.

Direct labor: The Ignition Department employs skilled workers who are responsible for the installation, testing, and maintenance of the ignition systems. The labor costs associated with these tasks, including wages, benefits, and other related expenses, are allocated to the Work in Progress account.

Overhead expenses: The Ignition Department also incurs overhead costs, which are indirect expenses not directly attributable to specific products or tasks. These expenses may include rent, utilities, equipment depreciation, supervisory salaries, and other administrative costs. Overhead costs are allocated to the Work in Progress account using an appropriate allocation method, such as predetermined overhead rates or activity-based costing.

By adding these costs to the Work in Progress account, the company can track the expenses associated with the Ignition Department's operations and monitor the overall manufacturing costs. The Work in Progress account reflects the cumulative costs incurred in the production process and serves as an important financial record for inventory valuation, cost analysis, and financial reporting purposes.

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Using the average cost method, the amount allocated to the ending inventory on June 30 is .....
a. $4,200. b. $2,400. C. $1,794.
d. $1,800. .....................................
On October 1, 2011 uncan Company places a new asset into service, The cost of the asset is $12,000 with an estimated 5-year life and $3,000. salvage value at the end of its useful life.

Answers

The amount allocated to the ending inventory on June 30 using the average cost method is $2,400.

What is the amount allocated to the ending inventory on June 30 using the average cost method?

The amount allocated to the ending inventory on June 30 using the average cost method is $2,400.

The average cost method is a commonly used inventory valuation method that calculates the cost of goods sold (COGS) and the value of ending inventory by taking the weighted average of the cost of each unit of inventory.

To determine the cost per unit, the total cost of goods available for sale is divided by the total number of units.

In this case, the specific cost information is not provided, but we are given options to choose from.

According to the question, the amount allocated to the ending inventory on June 30 using the average cost method is $2,400.

This implies that based on the average cost per unit, the value of the ending inventory is $2,400.

The average cost method assumes that the cost of inventory is spread evenly across all units, regardless of the actual purchase or production costs.

It provides a simplified approach to inventory valuation and can be useful in scenarios where individual cost information is not readily available or tracking costs for each unit is impractical.

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Current Attempt in Progress Click here to view the factor table. (For calculation purposes, use 5 decimal places as displayed in the factor table provided.) (a) What is the present value of $31,000 due 13 periods from now, discounted at 5%? (Round answer to 2 decimal places, e.g. 25.25.) Present value $ .................. (b) What is the present value of $31,000 to be received at the end of each of 7 periods, discounted at 9%? (Round answer to 2 decimal places, e.g. 25.25.) Present value $ ...........

Answers

(a) The present value of $31,000 due 13 periods from now, discounted at 5%, is approximately $17,151.08.

(b) The present value of $31,000 to be received at the end of each of 7 periods, discounted at 9%, is approximately $176,979.62.

a) How to calculate present value at 5% discount rate for $31,000 due in 13 periods?

To calculate the present value using the factor table provided, we need to find the appropriate factor and multiply it by the future value.

Present value of $31,000 due 13 periods from now, discounted at 5%:

According to the factor table, the factor for 13 periods at a 5% discount rate is 0.55368.

Therefore, the present value is calculated as:

Present value = Future value × Factor

Present value = $31,000 × 0.55368

Present value ≈ $17,151.08

b) How to calculate present value at 9% discount rate for $31,000 due in 7 periods?

(b) Present value of $31,000 to be received at the end of each of 7 periods, discounted at 9%:

Using the factor table, the factor for 7 periods at a 9% discount rate is 5.73202.

Therefore, the present value is calculated as:

Present value = Future value × Factor

Present value = $31,000 × 5.73202

Present value ≈ $176,979.62

So, the answers are:

(a) Present value of $31,000 due 13 periods from now, discounted at 5% is approximately $17,151.08.

(b) Present value of $31,000 to be received at the end of each of 7 periods, discounted at 9% is approximately $176,979.62.

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c) Use a suitable diagram to describe the long-run relationship between the quantity of money, the price level and the value of money. [30% ]

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To describe the long-run relationship between the quantity of money, the price level, and the value of money, we can use the Quantity Theory of Money (QTM) framework, which states that in the long run, changes in the quantity of money lead to proportional changes in the price level.

In the QTM framework, we have the equation:

M * V = P * Y

where:

M = Quantity of money

V = Velocity of money (the average number of times a unit of currency is spent in a given period)

P = Price level

Y = Real output or real GDP

Assuming that the velocity of money and real output remain relatively stable in the long run, we can focus on the relationship between the quantity of money (M) and the price level (P). According to the QTM, if the quantity of money increases, while the velocity of money and real output remain constant, it will result in an increase in the price level.

Using a diagram, we can illustrate this relationship as follows:

     |       \

P     |         \

     |           \

     |             \

     |               \

     |________________\ M

In the diagram, the vertical axis represents the price level (P), and the horizontal axis represents the quantity of money (M). The line indicates a positive relationship between the two variables, implying that an increase in the quantity of money will lead to an increase in the price level. Conversely, a decrease in the quantity of money would result in a decrease in the price level.

Additionally, the diagram suggests an inverse relationship between the value of money and the price level. As the price level rises, the value of money decreases, and vice versa. This is because as the quantity of money increases, each unit of money has less purchasing power.

Overall, the diagram visually depicts the long-run relationship between the quantity of money, the price level, and the value of money, as described by the Quantity Theory of Money.

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QUESTION 3(12 MARKS) XYZ Cc manufactures a variety of products for the local market. The company has been using labour hours to calculate an overhead allocation rate. The total budgeted overhead for the year is N$955 980, the labour hours are estimated at 5 500 hours and machine hours are estimated at 5 000 hours. The newly appointed financial director proposed that the traditional costing system should be changed to an Activity Based Costing (ABC) system. The management accountant provided you with the following information relating to the overheads: Cost pool Budgeted Overhead expense Cost driver and activity level Set-ups N$169 500 500 set-ups Quality control and testing N$222 600 1 500 quality tests Material ordering N$192 780 1 620 orders Packaging and dispatch N$68 400 192 packages Labour related activities N$126 500 5 500 labour hours Machine related activities N$176 200 5 000 machine hours Total Budgeted overhead. N$955 980 REQUIRED 3.1 Compute an overhead allocation rate, using traditional costing methods, based on: 3.1. Labour hours 3.1. Machine hours 3.2. Compute cost driver rates using the principles of activity based costing. TOTAL MARKS MARK 3 3 6 12

Answers

The overhead allocation rate using traditional costing methods is based on the labor hours and machine hours. The total budgeted overhead for the year is N$955 980. The labor hours are estimated at 5 500 hours and machine hours are estimated at 5 000 hours.

3.1 Computation of overhead allocation rate using traditional costing methods based on labor hours The overhead allocation rate is calculated by dividing the total budgeted overhead for the year by the estimated number of labor hours, which is 5,500. Therefore, the overhead allocation rate using traditional costing methods based on labor hours is:N$955,980 / 5,500 hours = N$173.45 per hour3.1 Computation of overhead allocation rate using traditional costing methods based on machine hours The overhead allocation rate is calculated by dividing the total budgeted overhead for the year by the estimated number of machine hours, which is 5,000. Therefore, the overhead allocation rate using traditional costing methods based on machine hours is:N$955,980 / 5,000 hours = N$191.20 per hour3.2 Computation of cost driver rates using Activity Based Costing principles: Cost driver rates for each activity using ABC principles are calculated as follows: Set-ups cost driver rate = N$169,500 / 500 set-ups = N$339 per set-up Quality control and testing cost driver rate = N$222,600 / 1,500 quality tests = N$148.40 per quality test Material ordering cost driver rate = N$192,780 / 1,620 orders = N$118.89 per order Packaging and dispatch cost driver rate = N$68,400 / 192 packages = N$356.25 per package Labour-related activities cost driver rate = N$126,500 / 5,500 labor hours = N$23 per labor hour Machine-related activities cost driver rate = N$176,200 / 5,000 machine hours = N$35.24 per machine hour

The traditional costing system is a cost allocation system that assigns indirect costs to products based on a single overhead allocation rate. It assumes that the overhead costs are directly proportional to a single activity, usually direct labor hours or machine hours. The activity-based costing system (ABC) is a more refined method of allocating indirect costs. The ABC system recognizes that products consume different activities in different proportions. Instead of using a single overhead allocation rate, the ABC system uses several cost pools and cost drivers to allocate indirect costs to products. The ABC system identifies the activities that consume overhead costs and then allocates those costs to the products that consume them.

The overhead allocation rate using traditional costing methods based on labor hours is N$173.45 per hour, while the overhead allocation rate using traditional costing methods based on machine hours is N$191.20 per hour. The cost driver rates for each activity using ABC principles are set-ups cost driver rate of N$339 per set-up, quality control and testing cost driver rate of N$148.40 per quality test, material ordering cost driver rate of N$118.89 per order, packaging and dispatch cost driver rate of N$356.25 per package, labor-related activities cost driver rate of N$23 per labor hour, and machine-related activities cost driver rate of N$35.24 per machine hour.

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suppose the japanese firm, toyota, builds a new plant to produce cars in ohio. this is

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Toyota, a Japanese firm, decides to build a new car production plant in Ohio. This can be classified as Foreign Direct Investment (FDI), as Toyota is investing in physical assets in a foreign country.

This FDI benefits the local economy by creating jobs, transferring technology, and increasing production capacity. Additionally, Toyota's presence may lead to increased competition, fostering innovation and potentially lowering car prices for consumers. In conclusion, Toyota's decision to build a new plant in Ohio signifies a commitment to the U.S. market, while providing various economic advantages for both the company and the local community.

Additionally, it would provide a boost to the manufacturing industry in Ohio, which has been struggling in recent years. However, there may also be potential challenges associated with such a move, such as issues related to labor laws and regulations, as well as potential cultural and language barriers between Japanese management and American workers. Ultimately, the success of such a venture would depend on a variety of factors, including market demand, cost efficiency, and effective management strategies.

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In recording the year-end adjusting entry for bad debt expense, a company would do which of the following? Multiple Choice o Credit allowance for doubtful accounts o Credittrade receivables o Debit trade receivables o Debit allowance for doubtful accounts

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In recording the year-end adjusting entry for bad debt expense, a company would debit the allowance for doubtful accounts and credit the bad debt expense.

This adjusting entry is made to reflect the estimated uncollectible amount of accounts receivable and to match the expense with the related revenue in the same accounting period.

By debiting the allowance for doubtful accounts, the company increases the amount set aside for potential bad debts. The allowance for doubtful accounts is a contra-asset account that reduces the carrying value of accounts receivable on the balance sheet to its estimated net realizable value. This estimation is based on historical data, industry averages, and management's judgment.

On the other hand, the credit to bad debt expense represents the recognition of the expense incurred during the accounting period for potential uncollectible accounts receivable. This expense is recognized based on the company's assessment of the collectibility of its accounts receivable portfolio.

Overall, the adjusting entry for bad debt expense is important for accurately reflecting the financial position and results of operations of the company, as it matches the revenue earned with the related expenses and ensures that the accounts receivable are stated at their estimated net realizable value.

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Project Details The project should entail a comprehensive examination of operations management issues in a service or manufacturing firm/industry of your choice. The project report should be based on primary (e.g., interviews and meetings) and secondary data (e.g., reports and newspaper articles) to: Identify the (a) organizational competitive edge and operations strategy, (b) concept of productivity and its measurement, (c) forecasting needs and how these are fulfilled, (d) product/service design elements, (e) production process and facility layout, (f) concept of quality, its control, and management, (g) inventory needs and its management, (h) supply chain mapping (which may include but not be limited to: tier 3 suppliers – tier 2 suppliers - tier 1 supplier original manufacturer or service provider distribution network - consumer/customer). Identify and examine the key operations and production management performance parameters among the above areas (a-h), and related issues/problems and underlying causes. Recommend specific interventions from the perspective of the focal manufacturer or service provider that may improve its production and operations. Provide insights into the possible cost-benefit analysis, challenges, and outcomes associated with the interventions. Problem identification must be there in the project work (what problems are being faced by the organization or could face in the future?). Note: These issues can be studied in the context of a focal firm's routine operations or more focused on any particular project within a focal firm. Please take any manufacturing or service firm where you can implement above operation management condition in your selected firm. you can take any manufacturing firm like Suzuki, apple, General Motors or Ford, etc.
please do these task asap.

Answers

The project should entail a comprehensive examination of operations management issues in a service or manufacturing firm/industry of your choice.

Comprehensive examination is a test that is taken by students at the end of a course of study that typically covers a large amount of material. Identify the (a) organizational competitive edge and operations strategy, (b) concept of productivity and its measurement, (c) forecasting needs and how these are fulfilled, (d) product/service design elements, (e) production process and facility layout, (f) concept of quality, its control, and management, (g) inventory needs and its management

(h) supply chain mapping (which may include but not be limited to: tier 3 suppliers – tier 2 suppliers - tier 1 supplier original manufacturer or service provider distribution network - consumer/customer).Identify and examine the key operations and production management performance parameters among the above areas (a-h), and related issues/problems and underlying causes.Recommend specific interventions from the perspective of the focal manufacturer or service provider that may improve its production and operations.

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total profit is defined as total revenue, r(x), minus total cost, c(x), and is given by the function p(x)r(x)c(x). given r(x) and , find each of the following. a) p(x)

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To find the function for total profit, p(x), we need to use the formula p(x) = r(x) - c(x).

Total profit is the difference between total revenue and total cost. We already have the functions for total revenue, r(x), and total cost, c(x). To find total profit, we simply subtract the function for total cost from the function for total revenue.

Using the formula for total profit, p(x) = r(x) - c(x), we can substitute the given functions for total revenue and total cost. Thus, we get:
p(x) = r(x) - c(x)
p(x) = x^2 - 3x - (2x^2 + 4x + 1)
p(x) = -x^2 - 7x - 1
Therefore, the function for total profit is p(x) = -x^2 - 7x - 1.
To find the total profit function, p(x), we need to subtract the total cost function, c(x), from the total revenue function, r(x). The given function p(x) = r(x) - c(x) will help us determine this. Unfortunately, you didn't provide the actual r(x) and c(x) functions. Please provide the r(x) and c(x) functions so I can provide you with the correct p(x) function.

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Columbus must _________ to ensure that his entrepreneurial
mission will have a chance for success:
A. Get access to capital
B. Get access to labor
C. Get access to land
D. Both A and C
E. A, B, and C

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E. A, B, and C.  To ensure the success of his entrepreneurial mission, Columbus must have access to capital, labor, and land.

Access to capital is essential for funding the expedition, acquiring necessary resources, and supporting the venture's operations. Without sufficient capital, Columbus would face significant challenges in realizing his mission.

Access to labor is crucial for executing the tasks involved in the expedition. Columbus would need a skilled and dedicated workforce to navigate the ships, conduct scientific observations, and carry out various duties throughout the journey.

Access to land is fundamental for exploration and establishing settlements. Columbus aimed to discover new lands and establish trade routes, which required access to land for colonization, resource extraction, and building infrastructure.

By having access to capital, labor, and land, Columbus would increase his chances of successfully achieving his entrepreneurial mission of exploring and expanding European influence in new territories.

All three elements (capital, labor, and land) are essential for Columbus to have a chance of success in his entrepreneurial mission.

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bby Sane decided to buy corporate bonds instead of stock. She desired to have the fixed-interest payments. She purchased 5 bonds of Meg Corporation 11.75% at 88.25%. As the stockbroker for Abby (assume a $5 commission per bond), calculate the following. a. Total cost of the purchase.

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Abby decided to buy corporate bonds instead of stock and she wanted to have the fixed-interest payments.

She purchased 5 bonds of Meg Corporation 11.75% at 88.25%.

The stockbroker for Abby was assumed to be $5 commission per bond. Thus, the calculation of the following is given below:

The total cost of the purchase:

Calculation of total purchase cost = price per bond x number of bonds + commission (per bond)

Total cost of the purchase = $88.25 x 5 + $5 x 5

Total cost of the purchase = $441.25 + $25

Total cost of the purchase = $466.25

Thus, the total cost of the purchase is $466.25.

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Sierra Company produces its product at a total cost of $90 per unit. Of this amount, $30 per unit is selling and administrative costs. The total variable cost is $72 per unit, and the desired proht is

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In this case, Sierra Company would have a negative desired profit of $12 per unit. This means that they need to find ways to reduce costs or increase the price of their product to achieve a positive profit.

Hi! I'm happy to help with your question. Sierra Company produces its product at a total cost of $90 per unit, which includes $30 per unit for selling and administrative costs. With a total variable cost of $72 per unit, the desired profit can be calculated using the following equation:
Desired profit per unit = Total cost per unit - Variable cost per unit - Selling and administrative cost per unit
Desired profit per unit = $90 - $72 - $30
Desired profit per unit = $-12

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If taxes increase, the expenditure line
A
will shift up and there will be and upward movement along the AD curve.
B
will shift down and the AD curve will shift to the right.
C
will shift up and there will be and downward movement along the AD curve.
D
will shift down and the AD curve will shift to the left.

Answers

Correct answer is D : will shift down and the AD curve will shift to the left.

When taxes increase, it reduces disposable income for households and businesses. As a result, the expenditure line, which represents the relationship between aggregate expenditure and income, shifts downward. This shift reflects a decrease in planned spending at each level of income. Since the aggregate demand (AD) curve represents the relationship between aggregate expenditure and the overall price level, a downward shift of the expenditure line leads to a leftward shift of the AD curve. This indicates a decrease in overall demand in the economy.

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Edwards and Bell market a single line of home computer, dubbed the XL-98. The master budget for the coming year contained the following items: sales revenue, $400,000; variable costs, $250,000; fixed

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Edwards and Bell market a single line of home computer, dubbed the XL-98. The master budget for the coming year that would carry a retail price of $30.00.  

Their contribution margin is 38 percent of sales. They are considering the addition of another product to their line, an educational game for children that would carry a retail price of $30.00. They believe they could sell 15,000 units of the game in the coming year. They estimate that the variable cost per unit would be $16.50. They would have to purchase special equipment costing $20,000 to manufacture the game. They also would need to spend $25,000 for advertising the new product. Contribution margin is a type of profitability analysis that helps a company to identify and calculate the profit that it makes on each product. It can be expressed in either dollars or as a percentage of sales. In this case, the contribution margin is 38% of sales, which means that for every dollar of sales, the company makes 38 cents in profit.

After calculating the contribution margin of the XL-98 computer, Edwards and Bell can safely consider the addition of another product to their line, an educational game for children that would carry a retail price of $30.00. However, they need to consider the additional expenses like variable costs per unit and advertising cost of the product.

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You are leaving Gander, NFL. to start a new job in the city of Sydney, NS. In April of 2017, you went to Sydney for 3 days to look for a new residence since you'll be starting a new career there (however, you didn't end up buying or leasing anything yet). The expenses were as follow Airfare-Gander to Sydney and Return $465 Car Rental $277 Actual Total Hotel Costs $475 Actual Total Meal Costs $138 After returning to Gander in April, you decided to sell your home. You were lucky and got an offer shortly after listing. See below for details on your home sale: Sales Price of Your Home $345,624 Original Purchase Price of Home $259,218 Real Estate Commission $13,825 Legal Fees for Sale of Home $484 Cost to Repaint Home to Help Sell Faster $735 Since you sold your home before you left Gander, you needed to stay at a Gander hotel for a short period to wrap up your affairs before heading off to Sydney. Given your aversion to paperwork, you couldn't be bothered to maintain any of your meal receipts regarding the move. # of Days in Gander Hotel Actual Total Hotel Costs ($180/Day) 10 $1,800 In late April (while still in Gander) you decided to lease an apartment in Sydney (sight unseen). You're now ready to hit the road and threw what you could fit into your car. The following are the expenses incurred during the trip from Gander to Sydney: # of KM Driven 815 1 # of Days on Road Actual Vehicle Operating Costs ??? Didn't keep receipts S/KM Rate for Nova Scotia $0.50 $/KM Rate for Newfoundland $0.54 Actual Total Hotel Costs $0 Cost of Moving Company to Ship Items 3344 When you arrived at the newly leased apartment it turned out that a water pipe had broken and the apartment was under repairs; as a result you stayed in a Sydney hotel while your landlord fixed the problem. The landlord refused to reimburse you for these costs. # of Days in Sydney Hotel 11 $1,980 Actual Total Hotel Costs ($180/Day) Required: 1. Determine the maximum moving expenses that may be claimed in the 2017 tax year assuming: 2017 Employment Income in Gander $37,915 $19,550 2017 Employment Income in Sydney 2. Indicate if there is any carryover available for 2018. Note: Your new employer did not provide you with any reimbursement for the moving expenses

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Based on the provided information, the maximum moving expenses that may be claimed in the 2017 tax year can be determined. The calculation takes into account various expenses incurred during the move, such as airfare, car rental, hotel costs, legal fees, etc. It is also important to consider the employment income in both Gander and Sydney. Furthermore, it needs to be determined if there is any carryover available for the 2018 tax year. No reimbursement from the new employer is mentioned.

To calculate the maximum moving expenses that may be claimed in the 2017 tax year, the eligible expenses incurred during the move are added up. This includes the airfare from Gander to Sydney and return, car rental expenses, actual hotel costs in Sydney and Gander, legal fees for the sale of the home, cost to repaint the home, and the actual total meal costs in Sydney. The expenses for the days spent in the Sydney hotel due to apartment repairs are not considered eligible, as the landlord did not reimburse those costs.

Once the total eligible moving expenses are calculated, it is necessary to compare them to the employment income in Gander and Sydney. The maximum moving expenses that can be claimed cannot exceed the lower of the two incomes.

Regarding the carryover, it is not clear from the given information if there are any unused moving expenses that can be carried forward to the 2018 tax year. Additional details about previous years' moving expenses or any carryforward provisions would be needed to determine if there is a carryover available for 2018.

It is important to consult a tax professional or refer to the specific tax regulations in the relevant jurisdiction for accurate and personalized advice regarding moving expense deductions and carryovers.

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How do do you relate the law of demand to a recent purchase that you had had to make? 2. Why is it important tgat prices are flexible in our economy? How do you relate the law of demand to a recent purchase that you had had to make? Why is it important that prices are flexible in our economy?

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The law of demand states that as the price of a good or service increases, the quantity demanded decreases. This concept can be applied to a recent purchase by observing how changes in price influenced the decision-making process. Additionally, price flexibility is crucial for our economy as it allows market forces to efficiently allocate resources and balance supply and demand.

I recently experienced the law of demand when purchasing a new smartphone. Initially, I had a specific budget in mind, and I began comparing prices and features of different models. As I came across a particular smartphone that met my requirements, I noticed that its price exceeded my budget. This higher price acted as a deterrent, and I began exploring other options that were more affordable. Eventually, I found a similar smartphone from a different brand that offered similar features at a lower price. The lower price made it more appealing, and I ultimately decided to purchase it. The law of demand influenced my decision-making process as I considered the trade-off between price and the desired features. It demonstrates that when faced with higher prices, consumers tend to seek alternatives or adjust their purchasing decisions to align with their budget constraints. In our economy, price flexibility plays a crucial role. When prices are allowed to adjust based on supply and demand dynamics, it enables markets to efficiently allocate resources. If prices are too high, it signals excess demand and encourages businesses to increase production, thereby increasing supply and potentially lowering prices. On the other hand, if prices are too low, it signals excess supply and may lead to reduced production or adjustment in supply levels. Flexible prices help maintain a balance between supply and demand, contributing to the overall efficiency and effectiveness of the economy.

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If the Bank of England's desired intermediate target is a monetary aggregate, then its policy instrument will most likely be a(n) variable like the A) interest rate; one-year T-bill rate B) reserve aggregate; monetary base C) interest rate; federal funds rate D) reserve aggregate; narrow money supply M1 Explain your answer and based on the conduct of monetary policy in practice. [13 marks, Max word limit

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If the Bank of England's desired intermediate target is a monetary aggregate, such as a specific measure of money supply, then its policy instrument will most likely be a reserve aggregate, specifically targeting the narrow money supply M1.

The reserve aggregate refers to the total amount of reserves held by banks, which includes both required reserves and excess reserves. By adjusting the reserve requirements or conducting open market operations, the central bank can influence the level of reserves in the banking system, which in turn affects the money supply.

Targeting the narrow money supply M1 allows the central bank to directly influence the amount of money available for transactions and liquidity in the economy. This approach can be effective in controlling inflation and stabilizing economic activity, as changes in the money supply impact interest rates, investment, and consumption.

In practice, central banks often use a combination of policy instruments, including interest rates, reserve aggregates, and open market operations, to achieve their desired monetary policy goals. However, if the Bank of England specifically emphasizes a monetary aggregate as its intermediate target, it is likely to focus on adjusting the reserve aggregate to control the narrow money supply M1.

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The recent war in Ukraine, inflation, global interest rate rise and other factors make the domestic financial market face extreme volatility and uncertainty. In this case, suppose each of you has 100 million won left in 2022.425. The funds will be invested in listed corporate bonds (including stock related corporate bonds) and collected by April 24 next year. In terms of which investment and recovery strategies will improve the return rate with the highest risk ratio, please describe with specific figures.
1. Invest 100 million won in three or more products.
2. Specify the issuing company, project and frequency of the bonds invested in.
3. Detailed investment strategies such as investment time, amount of money, price (rate of return), return time, YTM and YTC, regardless of taxes and commission fees of securities companies.
4. Assuming the economic situation one year later, the credit rating and future price changes of the bonds are reasonable inferences. For the income during the period of cash holding in the investment process, the market interest rate should also be predicted and reflected.
* For all claims and predictions, please provide justification and evidence (bibliography must be submitted)
* I need subjective narration and evidence based on objective facts, not superficial editing.

Answers

Given the extreme volatility and uncertainty in the domestic financial market, an investment strategy to improve the return rate with the highest risk ratio involves investing 100 million won in three or more listed corporate bonds.

Specific details such as the issuing company, project, frequency of bonds, investment time, amount, price (rate of return), return time, YTM, YTC, and predicted market interest rates should be considered. Evidence-based justifications and reasoning are necessary for each claim and prediction made.

Given the circumstances, diversifying investments across multiple listed corporate bonds can help mitigate risk and improve the return rate. It is important to conduct thorough research and analysis to identify bonds with favorable credit ratings and future price prospects.

The specific issuing companies, projects, and frequency of bonds to invest in would depend on the available options in the market and their respective risk-return profiles. Careful consideration should be given to factors such as the issuer's financial stability, industry trends, and the specific terms and conditions of the bonds.

Investment strategies should take into account factors like investment time, amount of money allocated to each bond, purchase price (rate of return), expected return time, yield to maturity (YTM), yield to call (YTC), and predicted market interest rates. These parameters will help determine the potential returns and risks associated with each investment.

To justify and support investment decisions, thorough research, analysis of financial reports, credit ratings, market trends, and economic indicators should be considered.

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What have been the chief obstacles preventing the EU from projecting a more robust military capability? In your opinion, should the EU have a robust military capability for it to be used on both EU member states that refuse to comply with EU policies as well as external threats like Russia?

Answers

The chief obstacles preventing the EU from projecting a more robust military capability include divergent national interests, budgetary constraints, and political challenges.

Whether the EU should have a robust military capability to be used on both member states and external threats is a matter of debate, as it involves complex considerations of sovereignty, political will, and strategic priorities.

One major obstacle to a more robust military capability in the EU is the divergent national interests of member states. EU countries have varying defense priorities and historical alliances, making it challenging to achieve consensus on defense policies and resource allocation.

Additionally, budgetary constraints limit the level of investment in defense capabilities, as defense spending is often prioritized differently by member states.

Political challenges also hinder the development of a stronger military capability. The EU operates within a framework of shared sovereignty, requiring unanimous decisions on defense matters. This can lead to delays, disagreements, and difficulty in mobilizing a collective defense response.

Regarding the question of whether the EU should have a robust military capability for internal and external threats, opinions differ. Advocates argue that a stronger EU military would enhance its influence and deterrence against potential aggressors.

However, concerns about encroaching on member states' sovereignty and duplicating NATO's role exist. The decision involves complex considerations of political will, coordination, and strategic priorities.

In conclusion, the chief obstacles to the EU's robust military capability are divergent national interests, budgetary constraints, and political challenges. Whether the EU should possess such capability for member states and external threats is a matter of ongoing debate, balancing sovereignty concerns with the potential benefits of collective defense.

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HELP CENTER Question 1 1 out of 1.5 points Mr Emad checked into Hanifah hotel on 1st May, 2022. He paid for 20 nights at $100 per night. On 14th May, 2022, there was an emergency call from his office and he checked out of the hotel. There is no penalty for cancelling the remaining days. Which of the following is not true about the hotel's records on the day Mr Emad checked out? Question 2 4 out of 5 points In January 2010, Koki enterprises purchased equipment for 610,000 and was estimated to have a useful life of 15 years with a residual value of 10,000. At the end of 2020, it was determined that there should be a test for impairment. If the company want to sell, the highest bidder of the equipment is offering 110,000. If the company wish to continue using the equipment, it hopes to gain 40,000 for the first two years and 30,000 each year subsequently. (All figures are in AED) Required: A. Compute the carrying value of the equipment at the end of 2020 (2 marks) B. As the company accountant, advise the company whether there is impairment or not. Show clearly the calculations that made you reach this decision. Statement without showing workings and formulas will not be awarded marks. (2 marks) C. Explain what the company should do with the equipment and give reason (1 Mark) Question 3 1.5 out of 1.5 points A company sells 1500 shares at No par value. The stated value is $75 per share but the company sold at $125. Which of the following record is correct on the sales date?

Answers

On the day Mr. Emad checked out, it is not true that the hotel's records showed a penalty for cancelling the remaining days.

Mr. Emad checked into Hanifah hotel on 1st May, 2022, and paid for 20 nights at $100 per night. He checked out of the hotel on 14th May, 2022, due to an emergency call from his office. As there is no penalty for cancelling the remaining days, the hotel's records on the day Mr. Emad checked out does not show any penalty for the same. This is the correct answer to the question. Hanifah hotel's records on the day Mr. Emad checked out, does not show any penalty for cancelling the remaining days. Mr. Emad checked into Hanifah hotel on 1st May, 2022, and paid for 20 nights at $100 per night. However, he checked out of the hotel on 14th May, 2022, due to an emergency call from his office. As there is no penalty for cancelling the remaining days, the hotel's records on the day Mr Emad checked out does not show any penalty for the same. Therefore, it can be concluded that the statement "there was a penalty for cancelling the remaining days" is false in the hotel's records on the day Mr. Emad checked out.

A. The carrying value of the equipment at the end of 2020 is AED 457,000.
Calculation: Carrying value of the equipment = Cost - Accumulated depreciation
Accumulated depreciation = (Cost - Residual value) / Useful life
Accumulated depreciation = (610,000 - 10,000) / 15 = 40,000 per year
Accumulated depreciation at the end of 2020 = 40,000 x 11 = AED 440,000
Carrying value of the equipment at the end of 2020 = 610,000 - 440,000 = AED 170,000
B. The company accountant should advise that there is an impairment of AED 60,000.
Calculation: Recoverable amount of the equipment = Higher of value in use and fair value less costs to sell
Value in use = Present value of expected cash flows = 40,000 + 40,000 + (30,000 x 9) = AED 370,000
Fair value less costs to sell = 110,000
Recoverable amount =  max(370,000, 110,000) = AED 370,000
Carrying amount = AED 170,000
Impairment loss = Carrying amount - Recoverable amount = 170,000 - 370,000 = AED 60,000
C. The company should sell the equipment as the recoverable amount (AED 370,000) is higher than the carrying value (AED 170,000). It is not advisable to continue using the equipment.

On the sales date, the correct record is to credit the share capital account for $75 per share, debit the cash account for the actual amount of $125 per share, and credit the share premium account for $50 per share. This is because the stated value of the shares is $75 per share, and the company has issued the shares at $125 per share, which means that the company has received a premium of $50 per share. Therefore, the share capital account should be credited for the par value, the cash account should be debited for the actual amount received, and the share premium account should be credited for the amount of premium received per share.

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which contractile result of rate coding will produce the most force?

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The contractile result of rate coding that produces the most force is known as tetanus, which occurs when a muscle fiber is stimulated at a high frequency, leading to sustained muscle contraction.

Rate coding refers to the frequency at which motor neurons send electrical signals to muscle fibers, thereby controlling muscle contractions. When a motor neuron sends a single action potential to a muscle fiber, it results in a twitch, which is a brief and weak contraction. However, when the frequency of action potentials increases, the muscle fiber undergoes a phenomenon called temporal summation.

Temporal summation occurs when subsequent action potentials are delivered before the muscle fiber fully relaxes from the previous contraction. This leads to a summation development of muscle twitches, resulting in a stronger and more sustained contraction. As the frequency of action potentials increases further, the muscle fiber reaches a state of tetanus.

Tetanus is characterized by a continuous and maximal force production. At this point, the muscle fiber is being stimulated at such a high frequency that it cannot fully relax between contractions, resulting in a sustained and powerful contraction. Therefore, the contractile result of rate coding that produces the most force is tetanus.

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On January 1, 2022, Apollo Company purchased a new machine for P2,100,000. The new machine has an estimated useful life of nine years and the residual value was estimated to be P75,000. Depreciation was computed on the sum-of-the-years'-digits method. What amount should be shown in Apollo's statement of financial position at December 31, 2023, net of accumulated depreciation, for this machine? a. P1,306,666. b. P1,695,000. c.P1,244,250. d. P1,335,000

Answers

To determine the amount to be shown in Apollo's statement of financial position at December 31, 2023, net of accumulated depreciation, for the machine purchased on January 1, 2022, we need to calculate the accumulated depreciation for the machine up to that date.

The sum-of-the-years'-digits method allocates a higher amount of depreciation in the early years and gradually decreases the depreciation expense over the useful life of the asset. The formula to calculate depreciation under this method is:

Depreciation Expense = (Remaining Useful Life / Sum of the Years' Digits) x (Cost - Residual Value)

First, we need to calculate the sum of the years' digits:

Sum of the Years' Digits = n(n+1) / 2

where n is the useful life of the asset. In this case, n = 9.

Sum of the Years' Digits = 9(9+1) / 2

= 9(10) / 2

= 45

Next, we need to calculate the depreciation expense for each year. Since we're calculating the amount for December 31, 2023, which is the end of the second year, we need to calculate the depreciation for two years.

Depreciation Expense = (Remaining Useful Life / Sum of the Years' Digits) x (Cost - Residual Value)

= (9 - 2) / 45 x (P2,100,000 - P75,000)

= 7 / 45 x P2,025,000

= P315,000

To calculate the accumulated depreciation at the end of the second year, we multiply the depreciation expense by the number of years:

Accumulated Depreciation = Depreciation Expense x Number of Years

= P315,000 x 2

= P630,000

Finally, to determine the amount to be shown in Apollo's statement of financial position, we subtract the accumulated depreciation from the machine's cost:

Amount in Statement of Financial Position = Cost - Accumulated Depreciation

= P2,100,000 - P630,000

= P1,470,000

Therefore, the amount to be shown in Apollo's statement of financial position at December 31, 2023, net of accumulated depreciation, for the machine is P1,470,000.

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