what is accumulated depreciation on a balance sheet

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Answer 1

Accumulated depreciation on a balance sheet refers to the total amount of depreciation that has been charged to an asset since the time it was acquired. It is the cumulative amount of depreciation that has been charged to the asset over the years and is recorded as a contra asset account on the balance sheet.

Depreciation is a non-cash expense that is charged to an asset to reflect its wear and tear, obsolescence, or any other factors that decrease its value over time. Accumulated depreciation is calculated by subtracting the total amount of depreciation charged to the asset from its original cost. The resulting amount is then reported on the balance sheet as a negative number under the property, plant, and equipment (PP&E) section.

The purpose of reporting accumulated depreciation on a balance sheet is to provide stakeholders with an accurate picture of the company's asset value. By subtracting the accumulated depreciation from the asset's original cost, the balance sheet shows the current book value of the asset. This information is essential for investors, creditors, and other stakeholders in making informed decisions about the company's financial health and performance.

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since retained earnings are viewed as a fully subscribed issue of additional common stock, the cost of retained earnings is ________.

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Retained earnings are not viewed as a fully subscribed issue of additional common stock, and therefore, they do not have a specific cost associated with them.

Retained earnings represent the accumulated net income of a company that has not been distributed to shareholders in the form of dividends.  Retained earnings can be considered a source of internal financing for a company's operations, investments, or debt reduction. It is essentially the portion of a company's profits that is retained and reinvested back into the business. Since retained earnings represent the accumulated wealth generated by the company, they do not have a specific cost associated with them like external sources of financing such as debt or equity.

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makayla owns a downtown office building. she originally purchased the building for $2,000,000 and took straight-line depreciation deductions of $1,200,000. makayla is in the 37% tax bracket. what are the tax consequences if she sells the building for $2,100,000 (ignore the 3.8% net investment income tax)? a. makayla will have ordinary income of $0. b. makayla will have $1,200,000 of gain taxed at 25%. c. makayla will have 1231 gains of $100,000 taxed at 20%. d. all of the above.

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Makayla owns an office building, originally purchased for $2,000,000. She has taken straight-line depreciation deductions totaling $1,200,000. If she sells the building for $2,100,000 and is in the 37% tax bracket, the tax consequences are as follows:

Makayla's adjusted basis in the building is $2,000,000 (original cost) - $1,200,000 (depreciation) = $800,000. The amount realized from the sale is $2,100,000. Therefore, her total gain is $2,100,000 - $800,000 = $1,300,000.

Of this gain, $1,200,000 is considered "unrecaptured Section 1250 gain" resulting from the depreciation deductions. This portion of the gain is taxed at a maximum rate of 25%. The remaining $100,000 of the gain is treated as a Section 1231 gain and will be taxed at the long-term capital gains rate, which is generally 20%.

So, the correct answer is:
b. Makayla will have $1,200,000 of gain taxed at 25%.
c. Makayla will have 1231 gains of $100,000 taxed at 20%.

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Distinguish between measuring assets based on current cost and historical cost.
Current cost is the cost of purchasing an asset today identical to the one currently held if an identical asset can currently be purchased; it is the cost of purchasing an asset that provides services like the one currently held if an identical asset cannot be purchased. Historical-costbased measures of ROI compute the asset base as the original purchase cost of an asset minus any accumulated depreciation. Some commentators argue that current cost is oriented to current prices, while historical cost is past-oriented.

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Measuring assets based on current cost involves valuing an asset based on the cost of purchasing an identical asset at the present time. Historical cost, on the other hand, measures assets based on their original purchase cost minus any accumulated depreciation.

Measuring assets based on current cost means valuing an asset by considering the cost of acquiring an identical asset in the current market. This approach takes into account the current prices and market conditions to determine the value of the asset. If an identical asset can be purchased in the market, its current cost represents the value of the asset. However, if an identical asset cannot be purchased, the current cost is estimated based on the cost of acquiring an asset that provides similar services or functions.

On the other hand, historical cost-based measurement of assets relies on the original purchase cost of the asset minus any accumulated depreciation. This method focuses on the cost incurred when the asset was initially acquired, without considering changes in market prices or conditions over time. The historical cost is typically recorded in the financial statements at the time of acquisition and remains unchanged, regardless of any fluctuations in the asset's market value.

Advocates of current cost argue that it provides a more relevant and up-to-date assessment of an asset's value, as it considers current market conditions. It allows for a more accurate reflection of the economic benefits provided by the asset in the current environment. On the other hand, historical cost-based measurement is criticized for its past-oriented nature, as it fails to capture changes in market values and can result in outdated asset valuations.

In summary, measuring assets based on current cost takes into account present market conditions and the cost of acquiring identical or similar assets, while historical cost-based measurement relies on the original purchase cost minus accumulated depreciation, without considering current market values.

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"The idea that all price movement is the addition of all active cycles is the basis for the principle of:
a. Synchronicity
b. Summation
c. Proportionality
d. Harmonicity"

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The idea that all price movement is the addition of all active cycles is the basis for the principle of "Harmonicity."

Harmonicity refers to the concept that price movements in financial markets can be analyzed and understood as the combined effect of various cycles or patterns. According to this principle, price fluctuations result from the interaction of multiple cycles, each with its own frequency, duration, and amplitude. These cycles can be regular or irregular and may include short-term, medium-term, and long-term cycles. By recognizing and studying these cycles, traders and analysts attempt to identify patterns and predict future price movements.

The principle of harmonicity is based on the belief that market behavior is not random or chaotic but rather exhibits underlying harmonious relationships. It suggests that price movements are not isolated events but rather interconnected and influenced by cyclical factors. By understanding and analyzing these cycles, traders and investors can make informed decisions regarding buying, selling, and timing their market actions.

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a system that permits payments such as deposits or withdrawals to be made to and from a bank account by magnetic computer tape

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A system that permits payments to be made to and from a bank account by magnetic computer tape is commonly referred to as a Magnetic Ink Character Recognition (MICR) system.

This system utilizes magnetic ink characters printed on paper checks to process and verify transactions through electronic scanning and processing. MICR technology is widely used by banks and other financial institutions to facilitate the secure and efficient processing of deposits and withdrawals.
While electronic and digital payment methods are becoming increasingly popular, paper checks and MICR technology continue to be relied upon by many businesses and individuals. This is due to the ease of use and accessibility of check payments, as well as the added security and record-keeping benefits of paper checks.
Overall, the MICR system remains an important component of the banking industry, enabling secure and efficient payment processing for millions of individuals and businesses worldwide.

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Tarrant Corporation was organized this year to operate a financial consulting business. The charter authorized the following stock: common stock, par value $10 per share, 11,500 shares authorized. During the year, the following selected transactions were completed: 1) Prepare the journal entries required to record the transaction of common stock a. Sold 5,600 shares of common stock for cash at $20 per share. b. Sold 1,000 shares of common stock for cash at $25 per share. 2) Prepare the stockholders' equity section as it should be reported on the year-end balance sheet a. At year-end, the accounts reflected income of $12,000. No dividends were declared.

Answers

1) To record the transactions of common stock, the following journal entries should be made:
a. Cash (5,600 x $20) = $112,000
  Common Stock (5,600 x $10) = $56,000
  Additional Paid-in Capital = $56,000


The company sold 5,600 shares of common stock at $20 per share, which generated cash of $112,000. Each share had a par value of $10, so the Common Stock account is credited for $56,000. The remaining $56,000 is recorded as Additional Paid-in Capital, which represents the amount paid by investors above the par value of the shares.

b. Cash (1,000 x $25) = $25,000
  Common Stock (1,000 x $10) = $10,000
  Additional Paid-in Capital = $15,000

The company sold 1,000 shares of common stock at $25 per share, which generated cash of $25,000. The Common Stock account is credited for $10,000, and the remaining $15,000 is recorded as Additional Paid-in Capital.

2) The stockholders' equity section as it should be reported on the year-end balance sheet would be:
Common Stock = $66,000
Additional Paid-in Capital = $71,000
Retained Earnings = $12,000
Total Stockholders' Equity = $149,000

The Common Stock account has a balance of $66,000, which is the sum of the par value of the shares sold during the year. The Additional Paid-in Capital account has a balance of $71,000, which is the sum of the amount paid by investors above the par value of the shares. The Retained Earnings account has a balance of $12,000, which is the income earned during the year. The Total Stockholders' Equity is the sum of the three accounts and is equal to $149,000. Since no dividends were declared, the Retained Earnings account is not reduced.

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the basic proposition of the blue ocean strategy is that many successful companies have built their competitive advantage by: group of answer choices initiating a price war in order to grow volume and drive its weaker rivals out of the industry redefining their product offering through value innovation and creating a new market space developing brand loyalty to protect them from intense price rivalry within their industry charging premium prices for their goods or services adopting lean production and flexible manufacturing technologies

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The blue ocean strategy is about creating new market space by redefining the product offering through value innovation. By doing so, companies can avoid intense price rivalry, build a competitive advantage, and ultimately achieve long-term success.

The basic proposition of the blue ocean strategy is that successful companies have built their competitive advantage by redefining their product offering through value innovation and creating a new market space. This involves identifying untapped customer needs and wants, and creating a product or service that satisfies those needs in a unique way. By doing so, companies can create a new demand curve, instead of competing within an existing one, and avoid intense price rivalry. This approach is different from the traditional red ocean strategy, where companies compete within a defined market space, often through price wars, brand loyalty, or cost-cutting measures. Instead, the blue ocean strategy aims to create uncontested market space where competition is irrelevant.
Value innovation is key to the success of the blue ocean strategy, as it involves delivering superior value to customers while simultaneously reducing costs. This can be achieved through various means, such as introducing a new business model, adopting innovative technology, or rethinking the customer experience.

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How does an organizational chart reflect an organization's communication network? a. It reflects the communication networks that are independent of the company's formal reporting relationships.
b. It reflects the formal pathways in which communication takes place.
c. It summarizes informal relationships while a communication network is more formal.
d. It summarizes formal relationships that do not exist in communication networks.
e. An organizational chart and communication network each reflect the totality of communication in an organization.

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The correct answer is b. It reflects the formal pathways in which communication takes place.

An organizational chart is a graphical representation of an organization's structure, depicting the formal relationships, hierarchies, and reporting lines between different individuals, departments, and positions within the organization. It shows the chain of command, authority, and formal lines of communication.

The organizational chart reflects the formal pathways through which communication takes place within the organization. It illustrates the reporting relationships and the flow of information from top-level management to lower-level employees and vice versa.

The chart typically shows the positions or roles within the organization, indicating who reports to whom and the hierarchical structure of the company.

While an organizational chart focuses on the formal reporting relationships and lines of authority, it does not capture the entirety of the organization's communication network.

Communication networks also include informal channels of communication, such as personal relationships, informal interactions, and social connections within the organization.

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the operations budget reflects: a. capital expenditures b. revenues and expenses c. cash receipts and disbursements d. balance sheet items

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The operations budget reflects:b. revenues and expenses . Option B

The operations budget is a financial plan that outlines the anticipated revenues, expenses, and cash inflows and outflows of an organization for a given period.

The operations budget is a key tool used by management to plan and control the financial activities of the organization and ensure that it is operating within its means.

The operations budget typically reflects the expected revenues and expenses associated with the day-to-day operations of the organization. These expenses may include wages and salaries, supplies, rent, utilities, and other operating expenses.

In contrast, capital expenditures, which involve the acquisition of long-term assets such as property, plant, and equipment, are typically not included in the operations budget.

Cash receipts and disbursements are also an important component of the operations budget. The budget will typically include projections of cash inflows from sources such as sales, investments, and financing activities, as well as projections of cash outflows associated with expenses such as payroll, inventory purchases, and debt repayment.

While the operations budget primarily focuses on the expected revenues and expenses for the period, it may also include some balance sheet items.

For example, the budget may include projections for accounts receivable, accounts payable, and inventory levels. These items are important to consider in the operations budget because they can impact the organization's cash flow and financial health.

Overall, the operations budget is a critical tool for any organization looking to manage its finances effectively. By carefully considering revenues, expenses, and cash inflows and outflows, organizations can develop a budget that helps them achieve their financial goals and objectives. Option B

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anything less than complete performance of a contract entitles the nonbreaching party to damages.
T/F

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False. Anything less than complete performance of a contract does not necessarily entitle the nonbreaching party to damages. The entitlement to damages depends on the nature of the breach and the terms of the contract.

When a party fails to fully perform their obligations under a contract, it is considered a breach of contract. The extent of the breach and the impact it has on the nonbreaching party's ability to receive the agreed-upon benefits will determine the remedies available. In some cases, the nonbreaching party may be entitled to damages, which are monetary compensation intended to place the injured party in the position they would have been in if the breach had not occurred. However, the nonbreaching party must demonstrate that they have suffered actual harm or loss as a result of the breach. Other remedies for breach of contract may include specific performance, where the court orders the breaching party to fulfill their contractual obligations, or cancellation and restitution, where the contract is terminated and both parties are returned to their pre-contract positions.

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the wooden chair factory experiences diminishing marginal product of labor with the addition of which worker? a. the fourth worker b. the third worker c. the sixth worker d. the fifth worker

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The wooden chair factory is experiencing diminishing marginal product of labor, which means that the addition of more workers leads to a smaller increase in output. The correct option is C.

To determine which worker is causing this effect, we need to identify the point at which the marginal product of labor begins to decline. Assuming that the factory has been operating with two or more workers, we can eliminate the third worker as a potential cause since the marginal product of labor should still be increasing at this point.

Adding the fourth worker may cause some diminishing returns, but it is unlikely to be the main cause since the factory can still operate efficiently with a small team. The fifth and sixth workers are more likely to be the cause of diminishing marginal product of labor since the factory may not have enough equipment or space to accommodate them.

The fifth worker may cause some initial decline, but it is the sixth worker who is most likely to cause the most significant decrease in output due to overcrowding and reduced efficiency.

In conclusion, the sixth worker, as they are most likely to cause diminishing marginal product of labor in the wooden chair factory.The correct option is C.

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which of the following items below would be an input in sprint planning? please select two.

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In Sprint planning, two possible inputs could be the Product Backlog and the previous Sprint's Increment. The Product Backlog is a prioritized list of features and requirements for the product being developed.

It serves as the main source of work for the Sprint and helps the team determine what needs to be accomplished during the upcoming Sprint.

The previous Sprint's Increment is also an important input as it allows the team to reflect on what was achieved in the last Sprint and identify any unfinished work that needs to be carried over into the current Sprint. This helps ensure that the team is building on previous progress and that there is a clear understanding of what needs to be done in the current Sprint.

Overall, both of these inputs are important in Sprint planning as they provide the team with the necessary context and information needed to plan and execute the upcoming Sprint effectively.

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rue or false: we can determine the p-value for a one-sided hypothesis test by dividing the two-sided p-value in half. true false

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False. We cannot determine the p-value for a one-sided hypothesis test by simply dividing the two-sided p-value in half.

When conducting a one-sided hypothesis test, the p-value represents the probability of observing a test statistic as extreme or more extreme than the one obtained under the null hypothesis, assuming the alternative hypothesis is true. In a two-sided test, the p-value represents the probability of observing a test statistic as extreme or more extreme in either direction than the null hypothesis.

Dividing the two-sided p-value in half to obtain the p-value for a one-sided test is only valid when the alternative hypothesis is one-sided and the test statistic follows a symmetrical distribution. However, this is not always the case, and therefore, it is incorrect to always divide the two-sided p-value in half to obtain the p-value for a one-sided test. Instead, one should use the appropriate formula or lookup table for the specific test being conducted.

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given the following information is the variance favorable or unfavorable? flexible budget sales $100,000 actual sales $95,000 group of answer choices favorable unfavorable

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Based on the provided information, the variance is unfavorable.

A flexible budget is designed to adjust according to the actual level of activity, which in this case is sales. The flexible budget sales are $100,000, and the actual sales are $95,000.

To determine the variance, compare the actual sales to the flexible budget sales.

Variance = Actual Sales - Flexible Budget Sales
Variance = $95,000 - $100,000
Variance = -$5,000

Since the variance is negative, it indicates that the actual sales were lower than the flexible budget sales. This outcome is considered unfavorable because it demonstrates that the company did not achieve the expected level of sales.

An unfavorable variance suggests that there may be areas for improvement within the company's operations or marketing strategies to better align with the expected sales targets.

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Roberts, which began business at the start of the current year, had the following data:
Planned and actual production: 40,000 units
Sales: 37,000 units at $15 per unit
Production costs:
Variable: $4 per unit
Fixed: $260,000
Selling and administrative costs:
Variable: $1 per unit
Fixed: $32,000
The gross margin that the company would disclose on an absorption-costing income statement is:
A. $97,500.
B. $147,000.
C. $166,500.
D. $370,000.

Answers

The gross margin that the company would disclose on an absorption-costing income statement is $166,500. Therefore, the correct option is C.

To calculate the gross margin using absorption costing, we need to determine the cost of goods sold (COGS) and then subtract it from the total sales revenue.

First, let's calculate the total production cost:

Variable production cost = 40,000 units * $4/unit = $160,000

Fixed production cost = $260,000

Total production cost = $160,000 + $260,000 = $420,000

Now, find the cost per unit:

Cost per unit = Total production cost / 40,000 units = $420,000 / 40,000 = $10.50/unit

Next, calculate the COGS:

COGS = Cost per unit * Actual units sold = $10.50/unit * 37,000 units = $388,500

Now, calculate the total sales revenue:

Total sales revenue = 37,000 units * $15/unit = $555,000

Finally, determine the gross margin:

Gross margin = Total sales revenue - COGS = $555,000 - $388,500 = $166,500

So, the correct answer is C. $166,500.

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using time and materials pricing, what is the total price for services requiring 3 direct labor hours and $158 of materials?

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To calculate the total price for services using time and materials pricing, you need to consider the labor cost and the cost of materials.

Let's assume the labor rate is $X per hour. If the services require 3 direct labor hours, the labor cost would be 3 * $X.

The cost of materials is given as $158.

To determine the total price, you would sum up the labor cost and the cost of materials:

Total price = Labor cost + Cost of materials

Total price = (3 * $X) + $158

Please note that the specific value of the labor rate, represented by $X, is missing in the information provided. Therefore, without knowing the labor rate, it is not possible to calculate the exact total price for the services.

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Consider the following data for three divisions of a company, X, Y, and Z:Divisional: X Y ZSales $1,800,000 $900,000 $4,800,000Operating Income 252,000 108,000 240,000Investment in assets 630,000 540,000 3,000,0001. The return on investment (ROI) for Division X is:
2. The return on sales (ROS) for Division Y is:
3. The asset turnover (AT) for Division Z is:

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The answers are: The ROI for Division X is 40%, the ROS for Division Y is 12% and the asset turnover (AT) for Division Z is 1.6.

For calculating the return on investment (ROI) for Division X, we need to divide the operating income by the investment in assets. Therefore, the ROI for Division X is:

ROI = Operating Income / Investment in Assets

ROI = $252,000 / $630,000

ROI = 0.4 or 40%

For calculating the return on sales (ROS) for Division Y, we need to divide the operating income by the sales revenue. Therefore, ROS for Division Y is:

ROS = Operating Income / Sales

ROS = $108,000 / $900,000

ROS = 0.12 or 12%

For calculating the asset turnover (AT) for Division Z, we need to divide the sales revenue by the investment in assets. Therefore, AT for Division Z is:

AT = Sales / Investment in Assets

AT = $4,800,000 / $3,000,000

AT = 1.6

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T / F : To be most attractive and readable, paragraphs in business messages should be limited to eight or fewer printed lines.

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False. While there is no hard and fast rule about the length of paragraphs in business messages, limiting them to eight or fewer printed lines is not necessarily a requirement for attractiveness and readability. The appropriate length of paragraphs depends on various factors such as content, purpose, and target audience.

   The statement that paragraphs in business messages should be limited to eight or fewer printed lines to be attractive and readable is false. The effectiveness of paragraphs in business messages depends on several factors, and there is no universal rule regarding their length. In fact, rigidly adhering to a specific line limit may hinder the clarity and flow of the message.

The length of paragraphs should be determined based on the content and purpose of the message. Some concepts or ideas may require longer paragraphs to provide sufficient explanation and context, while others may be conveyed effectively in shorter paragraphs. It's crucial to strike a balance between providing enough information and maintaining readability.

Additionally, the target audience plays a role in determining paragraph length. If the message is intended for busy executives or professionals who prefer concise information, shorter paragraphs may be appropriate. On the other hand, if the audience consists of subject matter experts or individuals who require detailed information, longer paragraphs may be more suitable.

Ultimately, the goal is to create business messages that are clear, concise, and easy to read. While considering paragraph length is important, it should be based on the specific context and the needs of the audience rather than a rigid limit.

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FILL IN THE BLANK. ___ is an important characteristic of the relationship between bond prices and yields. O Convexity O Concavity O Complexity O Linearity

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Convexity is an important characteristic of the relationship between bond prices and yields.

Correct option is A.

It is a measure of how the price of a bond changes in response to a change in its yield. Convexity is important because it can help investors determine the potential returns of their investments. It also helps them assess the risk associated with a bond.

Generally, the higher the convexity, the more volatile the bond’s price is and the higher the risk associated with it. This means that the higher the convexity, the more difficult it is to predict the bond’s price movements. Therefore, investors should carefully consider the convexity of their bond investments before making any decisions.

Correct option is A.

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as a firm increase its output level in the short run, the costs of prouding dadditional units of output eventually increase because of

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As a firm increases its output level in the short run, the costs of producing additional units of output eventually increase because of the law of diminishing returns.

As a firm's output level rises in the short run, the costs of producing additional units of output rise due to the law of diminishing returns. This means that as a firm adds additional units of a variable input (such as labour) to a fixed amount of capital, the marginal product of that variable input decreases.

This raises the marginal cost of production since each additional unit of output necessitates an increasing amount of the variable input.

As a result, the firm will suffer falling marginal returns and increasing marginal expenses, eventually leading to a point when producing further units of output is no longer economical in the short run.

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As a firm increases its output level in the short run, the costs of producing additional units of output eventually increase because of the law of diminishing marginal returns.

This law states that as more units of a variable input, such as labor or raw materials, are added to a fixed input, such as a factory or equipment, the additional output produced by each unit of the variable input will eventually decrease. This means that the firm will have to spend more on variable inputs to produce each additional unit of output, increasing its costs.

In addition to the law of diminishing marginal returns, increasing output levels can also lead to increased costs due to the need for additional inputs such as labor, materials, and energy. The firm may also experience economies of scale initially, leading to lower costs per unit of output, but as the output level continues to increase, the firm may face diseconomies of scale, causing costs to rise.

Overall, it is important for firms to carefully consider the costs and benefits of increasing output levels in the short run to ensure that they are maximizing profits and not incurring excessive costs.

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braincord llc is a retailer that engages in wholesaling activities by operating its own distribution centers to supply its stores. this exemplifies the concept of .

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Yes, that's correct! Braincord LLC is an example of a retailer that engages in wholesaling activities. By operating its own distribution centers, Braincord is able to efficiently supply its stores with products, which is known as wholesaling.

This approach allows Braincord to have more control over the supply chain and to offer a wider selection of products to its customers. Wholesaling is a common business model used by many retailers, and it can help to reduce costs and increase efficiency in the supply chain.  

Wholesaling is a business model where a company buys products in large quantities from manufacturers or other suppliers, and then sells them to other businesses or consumers at a markup. This model allows retailers to offer a wider selection of products to their customers while also benefiting from economies of scale.

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Which of the following is a governmental audit type that has a primary concern with providing reasonable assurance about whether financial statements are presented fairly?
A) Attestation Engagement.
B) Performance Audit.
C) Nonaudit services.
D) Financial Audit.

Answers

Financial Audit is a governmental audit type that has a primary concern with providing reasonable assurance about whether financial statements are presented fairly. The correct answer is D) Financial Audit.

A financial audit is a type of governmental audit whose primary concern is providing reasonable assurance about whether financial statements are presented fairly. This is done in accordance with generally accepted accounting principles (GAAP) or other applicable financial reporting frameworks. Financial audits are performed by independent auditors who evaluate the accuracy and completeness of an organization's financial records, internal controls, and adherence to relevant laws and regulations.

In contrast, A) Attestation Engagement refers to an independent examination of a subject matter, such as an organization's internal controls or compliance with regulations, where the auditor provides a report on the subject matter. B) Performance Audit focuses on the effectiveness, efficiency, and economy of an organization's operations, rather than its financial statements. C) Nonaudit services include various consulting and advisory services that auditors may provide to their clients, which are not related to the audit of financial statements.

In summary, a financial audit is the governmental audit type concerned with providing reasonable assurance about the fair presentation of financial statements, ensuring the accuracy of financial records, and compliance with relevant laws and regulations. The correct answer is D) Financial Audit.

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both the level on consumer debt and the number of bankruptcies filed have increased markedly over the past 30 years. true or falsr

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Both the level of consumer debt and the number of bankruptcies filed have indeed increased significantly over the past three decades. True statement.

In fact, consumer debt in the United States has skyrocketed to unprecedented levels, reaching an all-time high of $14.6 trillion in 2020, according to the Federal Reserve. This surge in consumer debt has been fueled by a combination of factors, including easy access to credit, low interest rates, and rising costs of living.

The increase in consumer debt has also led to a corresponding rise in the number of bankruptcies filed. In 2019 alone, over 700,000 individuals filed for bankruptcy in the United States, marking a significant increase from previous years. While bankruptcy can be a difficult and often painful process, it is sometimes necessary for individuals who are struggling with overwhelming debt to regain their financial footing.

Overall, the trend of increasing consumer debt and bankruptcies filed is a concerning one, and underscores the need for individuals to take proactive steps to manage their finances and avoid getting into debt in the first place. This might involve creating a budget, seeking out financial advice, and being cautious about taking on too much debt.

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To find the social cost of an action, add together
the internal costs and the private opportunity costs.
the external and accounting costs.
the external costs and the internal costs.
the private costs and the internal costs.

Answers

To find the social cost of an action, you need to consider both internal and external costs. Internal costs refer to the costs incurred by the individual or firm performing the action, such as labor and materials. On the other hand, external costs refer to the costs imposed on society as a whole, such as environmental damage or increased healthcare costs.

When calculating the social cost, you should add together the internal costs and the external costs. This is because external costs are not factored into the private opportunity costs, which only consider the benefits and costs of a particular action for the individual or firm performing it.

By considering both internal and external costs, we can better understand the true cost of an action to society as a whole. This can help us make more informed decisions and promote sustainable, socially responsible behavior. Answering this question in more than 100 words emphasizes the importance of considering the broader impacts of our actions, rather than simply focusing on our own private costs.

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what are the pros and cons of assigning scott to lead the search for the new vice president

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There are several pros and cons to assigning Scott to lead the search for the new vice president.
Pros: Scott has been with the company for a long time and has a good understanding of the organization's needs and culture.

Scott has experience in leadership roles and may have the necessary skills to evaluate potential candidates effectively. Assigning Scott to this role may boost his morale and show that the company trusts and values his contributions. Scott may have biases or personal preferences that could affect his judgment during the search process.If Scott is not given enough support or resources, he may become overwhelmed with the responsibility of leading the search.If the search process does not go well, it could negatively impact Scott's reputation and relationships within the company.

In conclusion, assigning Scott to lead the search for the new vice president has its advantages and disadvantages. It is essential to consider these factors carefully before making a decision. The company should provide Scott with the necessary resources and support to ensure that he is successful in this role.
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For the cost function C(Q) = 75 + 4Q + 2Q2, the marginal cost of producing 4 units of output is: 54. 20. 4. 24. 75.

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The marginal cost of producing 4 units of output is $20. The marginal cost is the additional cost incurred to produce one more unit of output. Therefore, the correct answer is option B.

To find the marginal cost of producing 4 units of output, we need to calculate the first derivative of the cost function C(Q) with respect to Q.

[tex]C(Q) = 75 + 4Q + 2Q^2[/tex]

Taking the derivative of C(Q) with respect to Q gives:

MC(Q) = dC(Q)/dQ = 4 + 4Q

To find the marginal cost of producing 4 units, we substitute Q = 4 into the marginal cost function:

MC(4) = 4 + 4(4) = 20

Therefore, the marginal cost of producing 4 units of output is $20. The marginal cost is the additional cost incurred to produce one more unit of output.

In this case, the cost function is given as [tex]C(Q) = 75 + 4Q + 2Q^2[/tex]. We take the first derivative of the cost function with respect to Q to obtain the marginal cost function.

Substituting Q = 4 into the marginal cost function yields the marginal cost of producing 4 units of output, which is $20. Therefore, the correct answer is option B.

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Robert, single and age 54, is a participant of his employer's qualified profit sharing plan. For the current year he received a forfeiture allocation of $25, but the employer did not make any other contribution for the year. Robert would like to make a deductible IRA contribution. If Robert's AGI is $79,000 (all comprised of W-2 earnings and portfolio income), what is the maximum deductible IRA contribution Robert may make to the qualified plan?
$0.
$3,000.
$5,500.
$6,500.

Answers

Based on the information provided, Robert can make a maximum deductible IRA contribution of $6,500 to the qualified plan.

Why is the reason?

This is because Robert is over the age of 50 and can make a catch-up contribution of $1,000 on top of the standard contribution limit of $5,500.

Additionally, the fact that Robert received a forfeiture allocation of $25 does not affect his maximum deductible IRA contribution.

It's important to note that the contribution limits for qualified plans and IRAs are separate, so making a deductible IRA contribution does not impact the contribution limit for the qualified plan.

However, it's always a good idea to consult with a financial advisor to ensure you are making the most informed decisions for your financial situation.

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when analyzing ability to pay, it is especially important to accurately determine incentive pay, since it is promised to workers from the beginning of the year. t/f

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False. When analyzing ability to pay, accurately determining incentive pay is not especially important since it is promised to workers from the beginning of the year.

Ability to pay typically refers to a company's financial capacity to meet its financial obligations, including wages and salaries. Incentive pay, which is often based on performance or specific targets, is typically not considered a fixed obligation and may vary based on individual or company performance.

When analyzing ability to pay, the focus is primarily on assessing a company's financial resources and cash flow to meet its regular and fixed obligations, such as regular wages, salaries, benefits, and other contractual commitments. Incentive pay, on the other hand, is typically discretionary and variable, based on individual or company performance. It is often used as an additional incentive or reward to motivate employees to achieve specific goals or targets.

While accurately determining and fulfilling incentive pay commitments is important for maintaining employee morale and motivation, it is not a fundamental aspect of assessing a company's ability to pay. Incentive pay is often subject to performance evaluation and may vary based on individual or company performance, making it less crucial to determining a company's overall financial capacity to meet its obligations.

The primary focus in analyzing ability to pay is on the company's ability to generate sufficient revenue and manage its expenses to meet its regular financial obligations, including fixed salaries and wages. Accurately determining and fulfilling incentive pay is a separate aspect that relates more to employee motivation and performance management rather than the company's ability to meet its financial obligations.

In summary, when analyzing ability to pay, accurately determining incentive pay is not especially important as it is typically a variable and discretionary component of compensation and does not significantly impact the assessment of a company's ability to meet its fixed financial obligations.

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please answet this questions??? PLEASE!!!!
2. Pass journal entry for purchase of merchandise with amount of birr 10,000 at cost?
3. List and discuss the four methods that commonly used in assigning cost to inventory and cost of merchandise​

Answers

2. Inventory Account   Dr.  10,000
Accounts Payable Account    Cr.  10,000

3. The four commonly used methods of assigning cost to inventory and cost of merchandise are First-in, First-out (FIFO) method, Last-in, First-out (LIFO) method, Weighted Average method, Specific Identification method.

2. To record the purchase of merchandise with an amount of Birr 10,000 at cost, the following journal entry is made:
Inventory Account   Dr.  10,000
Accounts Payable Account    Cr.  10,000
This entry records the increase in inventory by debiting the Inventory account and the increase in liability by crediting the Accounts Payable account.

3. The four commonly used methods of assigning cost to inventory and cost of merchandise are:
a) First-in, First-out (FIFO) method: This method assumes that the first items purchased are the first ones sold, and the last items purchased are the ones left in inventory. This method is useful when there is a regular turnover of inventory and prices are rising.

b) Last-in, First-out (LIFO) method: This method assumes that the last items purchased are the first ones sold, and the first items purchased are the ones left in inventory. This method is useful when there is a regular turnover of inventory and prices are falling.

c) Weighted Average method: This method calculates the cost of inventory by dividing the total cost of goods available for sale by the total number of units available for sale. This method is useful when there are frequent price changes.

d) Specific Identification method: This method assigns the actual cost of each item of inventory to the units sold. This method is useful when the inventory consists of unique items with identifiable costs. Each method has its own advantages and disadvantages, and the choice of method depends on the nature of the business and the industry.

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in a webinar, participants expect to interact with the speaker and presentation through polls, questions, and even live chat with the speaker. a. true b. false

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The statement, 'In a webinar, participants expect to interact with the speaker and presentation through polls, questions, and even live chat with the speaker' is true.

What is the reason?

In a webinar, participants typically expect to have interactive features such as polls, questions, and live chat with the speaker.

This allows for engagement and participation from the audience, making the webinar more engaging and informative.

These features also allow the speaker to address any concerns or questions the audience may have in real-time.

Overall, interactivity is a key aspect of a successful webinar.

Hence, the statement is true.

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