Bought additional inner tubes from Wright's Tires for$536, paying$100down, with the remainder due in thirty days. 31 Thylor withdrew eash for personal use,$2,500

Answers

Answer 1

the amount left in the account after 31 days is $2064.

The given question can be solved using the following steps:

Bought additional inner tubes from Wright's Tires for $536, paying $100 down, with the remainder due in thirty days.Thus, the amount left to be paid is: $536 - $100 = $436.

Now, after 31 days, Thylor withdrew cash for personal use which was $2,500.So, the amount of money left in the account is: $2500 - $436 = $2064.

The total cost of the inner tubes was $536. Thus, the account would be left with $2064 after 31 days.

Step-by-step explanation of the above calculation is as follows:

Total cost of inner tubes = $536

Amount paid initially = $100

Amount left to be paid = $536 - $100 = $436

Amount left in the account after 31 days = $2500 - $436 = $2064.

the amount left in the account after 31 days is $2064.

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Related Questions

the purpose of recording an allowance for uncollectible accounts is to: multiple choice report accounts receivable at the net amount expected to be collected. report net sales conservatively. record the sales returns and allowances. report accounts receivable for the total amount of sales in the period.

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An allowance for uncollectible accounts is recorded for the following reasons: C. Declare the net realizable value of accounts receivable.

What is the reason for recording a recompense for uncollectible records?

The motivation behind the stipend for dubious records is to appraise the number of clients that out of the 100 won't pay everything they owe. The company will charge a bad debt expense and credit allowance for questionable accounts rather than waiting to see how payments go exactly. The remittance for uncollectible records is determined by duplicating the receivable equilibrium in the different maturing classifications (see table underneath) by a hold rate. Because older receivables are less likely to be collected, a higher reserve rate is applied to them.

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classify each scenario according to whether it is an example of an active employment at-will doctrine.

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The employment at-will doctrine is an agreement between an employer and an employee that either party can terminate the relationship at any time, for any legal reason.

Scenario 1: An employee works for a company for one year and then leaves: This is an example of an active employment at-will doctrine because either the employer or employee can terminate the relationship at any time.

Scenario 2: An employee is terminated without cause after 3 months: This is an example of an active employment at-will doctrine because either the employer or employee can terminate the relationship at any time, for any legal reason.

Scenario 3: An employee is laid off due to company restructuring: This is an example of an active employment at-will doctrine because either the employer or employee can terminate the relationship at any time, for any legal reason.

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1. if you deposited $2,000 today in an account that gave you 5% apr compounded interest, how much would you have in 10 years? (show work) 2. suppose you want $5,000 in your bank account when you graduate in four years, how much would you have to invest today at 7% apr to get it? (show work) 3. if you have a bank account with a balance of $200 how long would it take you to have a balance of $400 if the bank gave you 8% apr? (show work) 4. what is the present value of $800 dollars received at the end of the next 8 years at a discount rate of 15%? (show work) 5. if an investment is paying 12% annual for the next 7 years, how much would you have if you invest $700 annually? (show work)

Answers

1. The future value (FV) of a $2,000 investment that has been compounded annually for 10 years at an APR of 5% is $3,386.97.

2. To get $5,000 in the bank account when you graduate in four years, you need to invest $3,759.47 today.

3. It would take 8.66 years to have a balance of $400 in the bank account if the bank gave you 8% APR.

4. The present value of $800 dollars received at the end of the next 8 years at a discount rate of 15% is $217.57.

5. If an investment is paying 12% annual for the next 7 years, you would have $7,661.51 if you invest $700 annually.

1. The formula for calculating future value (FV) for compound interest is given by:

FV = P(1 + r/n)^nt

where FV = future value, P = present value, r = annual interest rate, t = the number of years, n = the number of times the interest is compounded per year. Putting the given values in the above formula, we get

FV = 2000(1 + 0.05/1)^(1×10) = $3,386.97

Thus, the future value (FV) of a $2,000 investment that has been compounded annually for 10 years at an APR of 5% is $3,386.97.

2. The formula for calculating present value (PV) of a future value (FV) with a compound interest rate (r), time (t), and number of compounding periods (n) is given as:

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

Putting the given values in the above formula, we get:

PV = 5000 / (1 + 0.07/1)^(1×4) = $3,759.47

Thus, you need to invest $3,759.47 today to get $5,000 in your bank account when you graduate in four years.

3. The formula for calculating the time (t) to double the investment (or to reach a certain amount) for a given APR (r) is given by:

t = ln(2) / ln(1 + r/100)

Putting the given values in the above formula, we get:

t = ln(2) / ln(1 + 8/100) = 8.66 years

Thus, it would take 8.66 years to have a balance of $400 in the bank account if the bank gave you 8% APR.

4.  The formula for calculating the present value (PV) of a future sum (FV) with a discount rate (r) and time (t) is given as:

PV = FV / (1 + r)^t

Putting the given values in the above formula, we get:

PV = 800 / (1 + 0.15)^8 = $217.57

Thus, the present value of $800 dollars received at the end of the next 8 years at a discount rate of 15% is $217.57.

5.  The formula for calculating future value (FV) for compound interest with regular deposits (annuity) is given as:

FV = P [(1 + r/n)^(nt) - 1] / (r/n)

where P = the periodic payment, r = the interest rate, n = the number of times interest is compounded per year, and t = the number of years.

Putting the given values in the above formula, we get:

FV = 700 [(1 + 0.12/1)^(1×7) - 1] / (0.12/1) = $7,661.51

Thus, if an investment is paying 12% annual for the next 7 years, you would have $7,661.51 if you invest $700 annually.

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an economic system characterized by private or corporate ownership of capital goods is called

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The economic system characterized by private or corporate ownership of capital goods is called capitalism.

In a capitalist system, the means of production and distribution of goods and services are owned and controlled by private individuals or corporations, rather than being owned and controlled by the state or government.

The pricing and distribution of goods and services are determined by supply and demand in a competitive market, and individuals are free to pursue their own economic self-interest within the constraints of the law.

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Suppose you are interested in measuring consumers' opinions repeatedly over time in order to see if there is a change in these opinions. Which type of methodology would be most appropriate for you to use? a. Focus groups b. Longitudinal studiesc. Experiments d. Shadowing studies e. None of the above.

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The methodology that would be most appropriate to measure consumers' opinions repeatedly over time to see if there is a change in these opinions is Longitudinal studies. Option B is correct.

What are Longitudinal studies?

Longitudinal research is a type of observational study that involves monitoring a cohort of individuals at different points in time. It’s similar to a repeated cross-sectional study, but instead of recruiting new people for each survey, the same individuals are followed over time. Longitudinal studies are most commonly used in fields such as psychology, sociology, and epidemiology where researchers are interested in understanding how behaviors and outcomes change over time.

Hence, this type of methodology would be most appropriate to use to measure consumers' opinions repeatedly over time.

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select all that apply when a business speaker has presence, audience members tend to respond in which two of the following ways? (choose every correct answer.) multiple select question. they admire the speaker's ideas. they become motivated to take action.they connect with other audience members. they disregard the speaker's message.

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When a business speaker has presence, audience members tend to respond in which two of the following ways?The correct options are as follows: They admire the speaker's ideas. They become motivated to take action.

Answer details: Business speakers play a vital role in the success of any business. The audience members can respond in various ways when a business speaker has presence. They admire the speaker's ideas and become motivated to take action.Therefore, options A and B are correct.The audience can get motivated by the speaker's speech, and it will make them interested in taking action. A successful business speaker knows how to inspire the audience members, connect with them, and create a lasting impression.The business speaker should have excellent public speaking skills and have the ability to convey the message effectively to the audience. When an audience member hears a speaker who can relate to their struggles, they will feel connected and can get motivated to take action.

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What are the three main reasons unethical business practices happen?

greed, unintentional lack of awareness, confusion

O greed, career advancement, unintentional lack of awareness

O career advancement, confusion, unintentional lack of awareness

O career advancement, greed, confusion

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The correct option is (1) "greed, career advancement, unintentional lack of awareness"

Greed is often the main reason behind unethical business practices. Individuals may be driven by the desire to make a profit at any cost, even if it means taking unethical shortcuts or may engaging in deceptive activities.

The second one is Career advancement, i.e. another common cause of unethical business practices. People can do whatever it takes to get ahead, even if it means engaging in unethical behavior.

And finally third is an Unintentional lack of awareness can lead to unethical business practices. Firm may not be aware of the legal and ethical implications of their actions and may make decisions without realizing the potential consequences. All of these scenarios can lead to unethical business practices, which can have serious consequences for individuals and organizations.

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Manatee Mfg. is able to source parts for its refrigeration products from anywhere in the world because the United States does not place any quotas or limitations on the imports they need. This is a reflection of a _____ policy.
free trade

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Manatee Mfg. is able to source parts for its refrigeration products from anywhere in the world because the United States does not place any quotas or limitations on the imports they need. This is a reflection of a free trade policy.

Free trade policy is a system of trade policy that permits traders to act and transact without interference from the government. According to this policy, import and export trades are open and unrestricted, except for the compulsory customs duties that accompany them. In this policy, the government does not intervene in the economy or in trade policies, or it only intervenes in very minimal instances.

There are no quotas or restrictions on imports and exports in a free trade policy. The market is allowed to act freely, with consumers deciding what products to purchase and manufacturers deciding which goods to produce.The most notable free trade organization is the World Trade Organization, which oversees international trade and regulates trade agreements between member countries. The United States is a member of the WTO and has been a strong advocate for free trade policies over the years.

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When a supervisor confronts an ill-structured problem, there is no cut-and-dry solution A 15 custom-made,- response is required. A) group generated B) deliberate C) programmed D) nonprogrammed E) immediate

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"When a supervisor confronts an ill-structured problem, there is no cut-and-dry solution. A custom-made, nonprogrammed response is required." Thus, D is correct.

When a supervisor is faced with an ill-structured problem, it means that there is no clear or predefined solution available. Such problems require a nonprogrammed response, which is a customized solution that is specifically designed to address the unique and complex nature of the problem.

Unlike programmed responses, which are pre-planned and routine-based solutions for well-structured problems, nonprogrammed responses require creativity, critical thinking, and problem-solving skills.

They are often the result of a deliberate and thoughtful process, where the supervisor analyzes the problem, gathers relevant information, evaluates potential solutions, and makes a decision based on their expertise and judgment.

This question should be provided as:

When a supervisor confronts an ill-structured problem, there is no cut-and-dry solution. A custom-made,________ response is required.

A )immediateB) programmedC) group generatedD) nonprogrammedE) deliberate

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geri invented a complex residential solar panel that is very efficient but that does not work with most existing home wiring systems or electrical grids. what type of product did she invent? multiple choice question. fashion low-learning fad high-learning

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Geri has invented a complex residential solar panel that is very efficient. This technique is known as High-Learning.

High-Learning

Geri has invented a product that is very efficient but does not work with most existing home wiring systems or electrical grids. The type of product Geri has invented is a residential solar panel, which is an electrical device that converts the energy of light directly into electricity by the photovoltaic effect. Therefore, the correct option is option B, which is a residential solar panel.

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Considering the many attributes of an effective group,under which one of the following would you find a need to fully explain or define key words or language that may be part of the agreement?A) Test assumptions and inferences.B) Focus on interests,not positions.C) Disagree openly with any member of the group.D) Agree on the meaning of important words.E) Keep the discussion focused.

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An effective group can only function well if there are clear and specific definitions of the keywords or language that are part of the agreement.

Therefore, under option D, "Agree on the meaning of important words," is where you would find the need to fully explain or define keywords or language that may be part of the agreement.

What are assumptions? Assumptions are suppositions or hypotheses that have not been verified by testing or proof. These may be used to fill gaps in the knowledge that is not directly available. They are frequently made without adequate evidence and are used as a foundation for future work. They are also used to describe the structure of the decision-making procedure, which is the process of evaluating numerous options and selecting one course of action from among them. Assumptions that are inaccurate can result in costly errors. They may also have legal implications.

What is an effective group? An effective group is one that is productive, cohesive, and capable of completing the task it has been given. The group members work together in a collaborative manner with the aim of achieving the objectives. The members must be dedicated to their work and have good communication skills. An effective group also requires strong leadership, which is essential to ensuring that everyone is working towards the same goal. When a group is effective, the productivity, quality of the output, and satisfaction of the members will all be enhanced.

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If part of the labor force is unemployed, the foregone goods and services area. lost until unemployed find jobsb. are replaced by unemployment insurancec. lost foreverd. are replaced by an equal amount of imports

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If part of the labor force is unemployed, the foregone goods and services area lost forever. The answer is OPTION C.

The maximum amount of goods and services that an economy can create at its peak, or when it is fully operating, is known as potential output. The economy's productive capacity is also known as potential output.

Similar to GDP, the production gap can go either in a positive or negative direction. People who are neither working nor looking for work are not considered to be in the labor force. This group includes retirees, students, those who are looking for work or are not working, as well as those who are caring for children or other family members. The answer is OPTION C.

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3 Carla has a contract with Alexis in which Alexis is to deliver 1,000 hand-decorated beverage holders in 60 days. When Carla calls the Psychic Hotline for her weekly reading the psychic informs her that she has entered into a contract and the other party will not perform all the conditions and specifications in accordance with the agreement. Based on this knowledge, Carla may sue for an anticipatory repudiation True or False 45 True False och Under the UCC, open terms, or missing provisions in a contract, are Multiple Choice 30 entirely acceptable so long as there is evidence the parties intended to enter into a contract and other forms are sufficiently acted to provide for remedy in the case of a breach absolutely forbidden and vold the contract never acceptable because the UCC requires that of commercial actions for the sales of goods be outlined with specificity and thoroughness only lowed it the open mis quantity Every state has adopted alt for substantially all of Article 2 of the UCC 10 True or False 4 80012 True False Article 2. rules for acceptance of offers are more egid than common law rules 11 True or False 4 True False Help Save A E Suome UCC risk of loss provisions will gover the terms of a contract even if the parties have specified risk allocation in the contract 12 True or False 4 po con True False

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True. Under the Uniform Commercial Code UCC, when parties have entered into a contract and one party has failed to perform all the conditions and specifications in accordance with the agreement, the other party may sue for anticipatory repudiation.

This means that the party can sue for breach of contract even before the other party has failed to fulfill their obligations. The UCC requires that commercial actions for the sale of goods be outlined with specificity and thoroughness, and in general, open terms or missing provisions in a contract are not entirely acceptable, though there may be evidence that the parties intended to enter into a contract. Furthermore, Article 2 of the UCC outlines the rules for acceptance of offers, which are more stringent than common law rules. Lastly, the UCC risk of loss provisions will govern the terms of a contract even if the parties have specified risk allocation in the contract.

UCC (Uniform Commercial Code) is a legal instrument governing and legalizing specific business contracts. It Merges regulations from various laws concerning commercial transactions. UCC is not a federal law, but a uniformly adopted state legislation.Uniform Commercial Code Article 9 provides a statutory framework that governs secured transactions--transactions that involve the granting of credit secured by personal property. Each state maintains an office for filing finance statements to publicly disclose security interests in encumbered property.

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when is the equality of debits and credits proved for a general journal?

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The equality of debits and credits is a fundamental principle of accounting, and it must always be maintained in the general journal, which is the primary book of original entries in accounting.

The equality of debits and credits is a critical step in the accounting process as it ensures that financial transactions are accurately recorded. The equality of debits and credits is proved for a general journal at the end of each accounting period.

This is usually done by preparing a trial balance, which is a summary of all the accounts and their balances. The total debits and credits in the trial balance should be equal, which demonstrates that the accounting equation (Assets = Liabilities + Equity) has been properly maintained.

If the trial balance shows that the debits and credits are not equal, it indicates an error in the recording of financial transactions. The accountant will then need to identify and correct the errors before preparing the financial statements.

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Thornton Industries began construction of a warehouse on July 1, 2021. The project was completed on March 31, 2022. No new loans were required to fund construction. Thornton does have the following two interest-bearing liabilities that were outstanding throughout the construction period: $1,000,000, 12% note $4,000,000, 8% bonds Construction expenditures incurred were as follows: July 1, 2021 September 30, 2021 November 30, 2021 January 30, 2022 $ 600,000 900,000 900,000 840,000 The company's fiscal year-end is December 31. Required: Calculate the amount of interest capitalized for 2021 and 2022. Complete this question by entering your answers in the tabs below. 2021 2022 Calculate the amount of interest capitalized for 2021. (Do not round the intermediate calculations. Round your percentage answers to 1 decimal place (i.e. 0.123 should be entered as 12.3%).) Expenditure Weight Average Date July 1, 2021 September 30, 2021 November 30, 2021 Accumulated expenditures Amount o Interest Rate % Capitalized Interest 5 Average accumulated expenditures S x x 6/12 = 2021 2022 ) 2021 2022 Calculate the amount of interest capitalized for 2022. (Do not round the intermediate calculations. Round your percentage answers to 1 decimal place (i.e. 0.123 should be entered as 12.3%).) Date Expenditure Weight Average January 1, 2022 January 30, 2022 SO Amount S Capitalized Interest Interest Rate % Average accumulated expenditures o x x 3/12 = 1 < 2021 2022 )

Answers

The amount of interest capitalized for 2021 is 600,000 and the amount of interest capitalized for 2022 is 270,000.

For 2021:
Expenditure Weight Average = (600,000+900,000+900,000) / 3 = 800,000
Accumulated Expenditures = 600,000 + 900,000 + 900,000 = 2,400,000
Interest Rate % = (12% + 8%) / 2 = 10%
Capitalized Interest = (2,400,000 x 10%) x 6/12 = 600,000

For 2022:
Expenditure Weight Average = 840,000
Accumulated Expenditures = 2,400,000 + 840,000 = 3,240,000
Interest Rate % = (12% + 8%) / 2 = 10%
Capitalized Interest = (3,240,000 x 10%) x 3/12 = 270,000

Therefore, the amount of interest capitalized for 2021 is 600,000 and the amount of interest capitalized for 2022 is 270,000.

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Suppose that Ms. Spencer is currently exhausting her money income by purchasing 10 units of A and 8 units of B at prices of $2 and $4 respectively. The marginal utility of the last units of A and B are 16 and 24 respectively. These data suggest that Ms. Spencer:
a. has preferences that are at odds with the principle of diminishing marginal utility.
b. considers A and B to be complementary goods.
c. should buy less A and more B.
d. should buy less B and more

Answers

Ms. Spencer should buy less B and more B (Option c). This is because the marginal utility of A is higher (16) than that of B (24), suggesting that the additional benefit she receives from consuming the next unit of A is greater than the benefit she receives from consuming the next unit of B.

Marginal Utility is the extra utility you receive by consuming one additional unit of any commodity. Marginal utility, according to the principle of diminishing marginal utility, decreases as a person consumes more and more units of a good over time.

Income is defined as the amount of money that a person or household earns in exchange for their labor and services, as well as investments, profits, and other sources. Income is generally used to purchase products that are used to meet people's needs and want.

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A _____ orientation assumes customers resist buying items that are not essential.It also assumes people will buy more goods and services if aggressive marketing techniques are used.
A) sales
B) production
C) marketing
D) customer
E) marketplace

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A sales orientation assumes customers resist buying items that are not essential. It also assumes people will buy more goods and services if aggressive marketing techniques are used. The correct answer is option A).

What is a Sales Orientation?

A sales orientation is a business approach in which an organization emphasizes the promotion of high volumes of low-cost goods and services. In this marketing philosophy, the goal of the business is to persuade as many customers as possible to buy their products, rather than focusing on the needs and wants of the customers.

Below are the features of sales orientation: It focuses on production in large quantities and standardization. Pricing decisions are based on cost information, and goods are sold at the highest possible price that consumers will pay. Promotional campaigns aim to persuade customers to purchase the company's products.

Sales representatives use aggressive selling techniques to persuade people to buy. The production process is optimized to reduce costs and increase productivity. A focus on the selling process rather than the buying process is a key feature of a sales orientation. The correct answer is option A).

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In preparing a company's statement of cash flows using the indirect method, the following information is available:
Net income $59,000
Accounts payable decreased by $25,000
Accounts receivable increased by $32,000
Inventories increased by $12,000
Cash dividends paid $15,400
Depreciation expense $27,000
Net cash provided by operating activities was:
a. $51,000
b. $75,600
c. $141,000
d. $37,000
e. $17,000

Answers

The net cash provided by operating activities is $75,600. Thus, the correct answer is B.


To prepare the cash flow statement, there are two approaches, the direct and indirect method. Indirect method starts with the net income and then makes all the adjustments to that figure to arrive at the final cash flows provided by operating activities.

We know that:

Net income = $59,000Add: Depreciation expense = $27,000Subtract: Decrease in accounts payable = $25,000Add: Increase in accounts receivable = $32,000Add: Increase in inventories = $12,000

Thus, net cash provided by operating activities

= $59,000 + $27,000 - $25,000 + $32,000 + $12,000= $105,000

Subtract: Cash dividends paid = $15,400. So the final answer is:

= $105,000 - $15,400 = $75,600.

Net income is the starting point for calculating cash flows from operating activities in the indirect method. Therefore, the correct option among the given options is b. $75,600.

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corporate bonds are sometimes packaged by commercial banks into , in which investors receive the interest or principal payments generated by the debt securities. a. inverted bonds b. reverse loans c. credit default swaps d. collateralized debt obligations (cdos)

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Collateralized Debt Obligations (CDOs) are when commercial banks package corporate bonds and investors receive the interest or principal payments generated by the debt securities. CDOs are the correct option.


A collateralized debt obligation (CDO) is a structured financial product that pools together cash flow-generating assets and repackages this asset pool into discrete tranches that can be sold to investors.

CDOs are used to diversify credit risk in debt portfolios, transfer risk to third parties, and combine multiple lower-rated loans to create securities with higher credit ratings.

CDOs are usually created by banks or other financial institutions and are designed to serve as a profit-generating tool. Investors are paid interest and principal payments that are generated by the debt securities, in which the corporate bonds are sometimes packaged by commercial banks into collateralized debt obligations (CDOs).

Therefore, option d. collateralized debt obligations (CDOs) is the correct answer.

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Sye Chase started and operated a small family architectural firm in year 1. the firm was affected by two events: (1) chase provided $23,600 of services on account, and (2) he purchased $7,400 of supplies on account. there were $1,150 of supplies on hand as of December 31, 2016.Required:a. Open T-accounts and record the two transactions in the accounts.b. Record the required year-end adjusting entry to reflect the use of supplies.c. Record the preceding transactions in a horizontal statements model like the following one:Assets 5 Liab. 1 Equity Rev. 2 Exp. 5 Net Inc. Cash Flow Accts. Accts. Ret. Rec. 1 Supplies 5 Pay. 1 Earn.d. Explain why the amounts of net income and net cash flow from operating activities differ.e. Record and post the required closing entries, and prepare a post-closing trial balance.

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When answering questions on the platform Brainly, one should always be factually accurate, professional, and friendly, and be concise and not provide extraneous amounts of detail.

One should also repeat the question in their answer, ignore any typos or irrelevant parts of the question, and use the relevant terms in their answer, which in this case are "architectural", "supplies on account. "a) The journal entries for Sye Chase's architectural firm are as follows:S.No.AccountTitlesDebitCredit1Accounts Receivable236002Service Revenue236002Accounts Payable74003Supplies7400b) The year-end adjusting entry to reflect the use of supplies is as follows:S.No.AccountTitlesDebitCredit1Supplies Expense67502Supplies6750c) The preceding transactions in a horizontal statements model are as follows:AssetsLiabilitiesEquityRevenueExpensesNet IncomeCash FlowAccounts ReceivableSuppliesPayablesRevenueService RevenueSupplies Expense-6750-6750d) The amounts of net income and net cash flow from operating activities differ because net income reflects transactions that have been completed, while net cash flow from operating activities reflects only transactions that have actually taken place.e) The required closing entries are as follows:

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what was an important change introduced by the industrial revolution?

Answers

An important change introduced by the Industrial Revolution was the shift from manual labor to machine-based manufacturing, which increased efficiency and productivity.

It was a time of innovation, starting in the United Kingdom in the 18th century and continuing throughout the 19th century. Before the Industrial Revolution, textile production was done primarily in people's homes using hand tools or basic machines. However, during the Industrial Revolution, textile production began to change with the introduction of machines that could do the work of several people at once. Other industries, such as coal mining, iron production, and transportation, were also revolutionized by the Industrial Revolution. These changes had a profound effect on society, changing the way people lived and worked.

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a reduction in government borrowing can: question 7 options: give private investment an opportunity to expand. crowd out private investment in human capital. increase the interest rate. decrease the incentive to invest.

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A reduction in government borrowing can give private investment an opportunity to expand.

How does a reduction in government borrowing give private investment an opportunity to expand?

If the government reduces its borrowing, it implies that it is investing less in its own projects. This will result in the government having less money to invest in its initiatives. The government's borrowing may be causing crowding out in the economy, which is when the government takes up so much borrowing that it reduces private investors' ability to borrow. Crowding out takes place when the government borrows money from the same financial markets that private corporations utilize. Since the government has a higher credit rating than private organizations, it may borrow at a lower interest rate than those firms. The following are some of the implications of a reduction in government borrowing: Less borrowing by the government will result in lower interest rates for private investors, giving them an opportunity to borrow more easily and cheaply. As a result, private investors' borrowing is likely to increase. The incentive to invest will also increase. Since borrowing costs less, investors will be encouraged to invest in more profitable ventures that can earn them more money. Therefore, a reduction in government borrowing can increase private investment opportunities.

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what was the purpose for rationing by the office of price administration

Answers

During World War II, the Office of Price Administration (OPA) was created in the United States to prevent inflation and ensure the availability of critical goods and services for the war effort.

Rationing was one of the key measures used by the OPA to control prices and ensure that everyone had equal access to goods that were in short supply.

The purpose of rationing was to allocate scarce resources fairly and to prevent hoarding and price gouging. The OPA issued ration coupons for items such as food, gasoline, and clothing, which consumers could use to purchase a fixed amount of the rationed item. This allowed the government to control the demand for these items and prevent shortages.

Rationing also helped to ensure that resources were available for the war effort by limiting civilian consumption. By reducing demand for non-essential items, rationing allowed more resources to be diverted to the goods military, which was critical for the war effort.

Overall, the purpose of rationing by the Office of Price Administration product was to control prices, allocate scarce resources fairly, prevent hoarding and price gouging, and ensure that resources were available for the war effort.

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use the following appropriate amounts to calculate net income: revenues, $11,400; liabilities, $4,000; expenses, $4,200; assets, $17,800; dividends, $1,000. multiple choice a) $7,200 b) $13,800 c) $5,050 d) $6,200

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Based on the provided information, the net income is $6,200. Therefore, the correct option is d.

The formula for calculating net income is as follows:

Revenues - Expenses = Net Income

Given the following information:

Revenues: $11,400

Liabilities: $4,000

Expenses: $4,200

Assets: $17,800

Dividends: $1,000

To compute net income, we'll first have to determine total equity. To do so, we'll subtract liabilities from assets. Therefore,

Total Equity = Assets - Liabilities

Total Equity = $17,800 - $4,000

Total Equity = $13,800

Next, we can use the formula for net income to determine the value.

Net Income = Revenues - Expenses

Net Income = $11,400 - $4,200

Net Income = $7,200

Finally, we will subtract dividends from net income.

Net Income - Dividends = $7,200 - $1,000 = $6,200

Therefore, the answer is $6,200 (option d).

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identify the accounts that would not appear on a company's balance sheet: multiple choice question. supplies accumulated depreciation accounts payable withdrawals owner's capital

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The account that would not appear on a company's balance sheet is withdrawals. Option C is correct.

What is a balance sheet?

A balance sheet is a financial statement that summarizes a company's assets, liabilities, and shareholder equity at a specific point in time. These three balances provide investors with an overview of a company's financial condition. It may also include additional information such as retained earnings, capital surplus, and accumulated other comprehensive income.

Withdrawals, in accounting, are the reduction in the amount of assets that a corporation pays to its owners or shareholders. It is also called a distribution or a dividend. In terms of personal finance, withdrawals are when funds are taken out of a bank account or investment account. Accounts payable is a liability account that records bills or debts that have yet to be paid.

Owner's capital is a shareholder equity account that records the amount of money invested by the owners in the corporation. Thus, option C holds true.

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MNO Inc., a publicly traded manufacturing firm in the United States, has provided the following financial information in its application for a loan. All numbers are in thousands of dollars.
Assets Liabilities and Equity
Cash $ 40 Accounts payable $ 30
Accounts receivables 90 Notes payable 80
Inventory 70 Accruals 30
Long-term debt 160
Plant and equipment 500 Equity (ret. earnings = $27) 400
Total assets $700 Total liabilities and equity $700
Also assume sales = $650,000 ; cost of goods sold = $320,000; and the market value of equity is equal to the book value.
a)What is the Altman discriminant function value for MNO Inc.?
Recall that: Net working capital = Current assets - Current liabilities.
Current assets = Cash + Accounts receivable + Inventories.
Current liabilities = Accounts payable + Accruals + Notes payable.
EBIT = Revenues - Cost of goods sold.
b. Based on the Altman’s Z-score only, should you approve MNO Inc.'s application to your bank for a $500,000 capital expansion loan?
c. If sales for MNO were $300,000, the market value of equity was only half of book value, and all other values are unchanged, would your credit decision change?
d. Would the discriminant function change for firms in different industries? Would the function be different for manufacturing firms in different geographic sections of the country? What are the implications for the use of these types of models by FIs?

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In the following question, among the various parts to solve-A.) Altman Z-Score = 1.2, B.)  it is not recommended, C.)  would be lower, indicating an even higher risk of default. D.) the use of models by financial institutions based on local market conditions to be more accurate.

a)The Altman discriminant function value for MNO Inc. is 1.2.
Net Working Capital = $100,000
EBIT = $330,000
Total assets = $700,000
Market value of equity = $400,000
Altman Z-Score = 1.2
b)Based on the Altman's Z-Score, it is not recommended to approve MNO Inc.'s application for a $500,000 capital expansion loan. A score below 2.6 indicates a high risk of default.
c)If sales for MNO were $300,000, the market value of equity was only half of book value, and all other values are unchanged, the credit decision would change. The Altman Z-Score would be lower, indicating an even higher risk of default.
d)The discriminant function can change for firms in different industries. Factors like the level of debt, the size of the firm, and the industry average of liquidity, profitability, and solvency can cause the function to vary. The function may also be different for manufacturing firms in different geographic sections of the country as each area has different economic and industry conditions. This means that the use of these types of models by financial institutions should be based on local market conditions to be more accurate.

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Susan is an owner of Breadwinner Cafe and Bakery in Sandy Springs, GA. Assume that her business operates in the perfectly competitive market and has no market power, as there are numerous bakeries in the area which produce similar items. These conditions would imply that she____ would lose all customers if she attempted to reduce price below the prevailing market price. faces a "downward slopping" demand curve would lose all customers if she attempted to increase price above the prevailing market price. faces a "vertical demand curve" for its output.

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Susan faces a "downward-sloping" demand curve for her business' output, as she would lose all customers if she attempted to reduce prices below the prevailing market price.


According to the given scenario, She faces a "downward sloping" demand curve.

A downward-sloping demand curve implies that consumers are willing to buy more goods and services when prices are lower, and vice versa.

As a result, a company must maintain a price that is consistent with the market price since any price changes above or below it would result in a loss of market share.

In the case of Susan's Breadwinner Cafe and Bakery, she would lose all of her clients if she attempted to raise the price above the market price while reducing the price below the market price would not increase her market share because her competitors would offer the same price.

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What is the implication of the upside-down pyramid approach to industry analysis by an entrepreneur of a new venture?
Multiple choice question.
o The upside-down pyramid approach helps the entrepreneur avoid conducting competitor analysis.
o The upside-down pyramid approach helps the entrepreneur understand competitors' strengths and weaknesses.
o The upside-down pyramid approach helps the entrepreneur focus solely on secondary competitors.
o The upside-down pyramid approach helps the entrepreneur create a marketing plan as a superficial document to outside financial suppliers.

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The upside-down pyramid approach helps the entrepreneur understand competitors' strengths and weaknesses. is the implication of the upside-down pyramid approach to industry analysis by an entrepreneur of a new venture .Option (b)

The upside-down pyramid approach is a strategic framework used for industry analysis that involves starting with a broad view of the industry and then narrowing down to specific competitors and their strengths and weaknesses. This approach helps entrepreneurs to gain a deep understanding of their industry, identify key trends and drivers, and assess the competitive landscape.

By understanding their competitors' strengths and weaknesses, entrepreneurs can better position their own venture in the market and develop a more effective strategy. Therefore, option B is the correct answer.

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if purchasing-power parity held, if a big mac costs $2 in the united states, and if 10 mexican pesos trade for $1 dollar, then a big mac in cancun, mexico, should cost:

Answers

The price of a Big Mac in Cancun, Mexico, should be 20 Mexican pesos.

If purchasing-power parity (PPP) holds, then the exchange rate between two currencies should equal the ratio of the price levels of the two countries. In other words, if a Big Mac costs $2 in the United States and the exchange rate is 10 Mexican pesos per dollar, then the price of a Big Mac in Cancun, Mexico, should be 20 Mexican pesos (i.e., 2 dollars x 10 pesos per dollar).

So, if PPP holds, a Big Mac in Cancun, Mexico, should cost 20 Mexican pesos. However, it is important to note that PPP does not always hold perfectly in practice, due to factors such as trade barriers, transportation costs, and market imperfections. Therefore, the actual price of a Big Mac in Cancun, Mexico, may differ from the predicted price based on PPP.

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you want to buy a used car, but it costs more than you want to spend. you start negotiating with the seller, figuring that every dollar you get knocked off the price is a dollar in your pocket and one less dollar in his pocket. what type of bargaining strategy does this represent?

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The bargaining strategy you used by figuring that every dollar you get knocked off the price is a dollar in your pocket and one less dollar in his pocket is distributive bargaining.

Distributive bargaining is a negotiation strategy in which each party tries to maximize its own gain at the expense of the other party. In distributive bargaining, the parties view the negotiation as a zero-sum game, where any gain for one party must come at the expense of the other party.

In the scenario given, the buyer is attempting to negotiate a lower price for the used car, with the goal of paying less and saving money. The seller, on the other hand, is likely trying to maximize the price they can get for the car.

By viewing the negotiation as a zero-sum game, with every dollar the buyer saves being a dollar the seller loses, the buyer is using a distributive bargaining strategy. In this strategy, the goal is to obtain the best possible deal for oneself, without regard for the other party's interests or needs.

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