the project manager needs to show courage both in making the right decisions personally and in creating an atmosphere in which others are encouraged to make the right decisions. True or False

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Answer 1

The given statement, "The project manager needs to show courage both in making the right decisions personally and in creating an atmosphere in which others are encouraged to make the right decisions" is true because they responsible for creating and maintaining a positive and empowering environment.

In the realm of project management, there are many challenges that project managers must face. They need to make certain that the projects are finished on schedule and that they meet the needs of stakeholders. They also have to ensure that all project team members are happy and fulfilled in their roles. To be an effective project manager, they must demonstrate a high level of courage.

In making the right decisions, project managers need to show bravery. To successfully manage a project, they must be able to make decisions that will affect the success of the project. They must also have the bravery to make decisions that are not always popular among stakeholders.

In creating an atmosphere in which others are encouraged to make the right decisions, project managers must be able to create a culture of bravery. They must encourage their team members to take risks and make difficult choices that may result in the success of the project. In conclusion, project managers need to have the courage to make good choices and create an environment in which others are encouraged to do the same.

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Related Questions

Joan bought a bond several years ago for $23,000, Today, the value has declined to $18,000. If Joan gifts the bond to her brother today, all the following statements are true except?
A. If he sells the bond for $18,000 or less, his basis will be $18,000 and his holding period will be short-term.
B. If he holds the bond for 6 months, the price recovers and he sells it for more than $23,000, his basis will be $23,000 and his holding period will be short-term.
C. If he sells the bond for more than $18,000 but less than $23,000 there will be no gain whatsoever and the holding period wonÕt matter.
D. If he sells the bond in 10 months for $23,000 exactly, there will be no gain but the holding period will be long-term.

Answers

A. If he sells the bond for $18,000 or less, his basis will be $18,000 and his holding period will be short-term.

The correct option is A Explanation: Gifting the bond to her brother means that the recipient's basis is the lesser of the donor's adjusted basis or the fair market value on the date of the gift. Here the adjusted basis is $23,000 and the fair market value on the date of the gift is $18,000. Therefore, the brother's basis is $18,000.Short-term holding period:

If the holding period is less than a year, the holding period is short-term. Long-term holding period: If the holding period is more than a year, the holding period is long-term. Students can use the following option to identify which option is true: If the price of the bond goes above $23,000, then he'll make a gain.If the price of the bond goes down, then he'll lose money. If he sells the bond for $18,000 or less, his basis will be $18,000 and his holding period will be short-term.

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use the following information for the next two problems: the expected returns for stocks a and b have the following probability distributions: state of the economy probability stock a stock b below average 0.15 -12 % -15 % average 0.60 13 16 above average 0.25 18 28 vi calculate the expected rate of return for stock a. a. 14.35 percent b. 10.50 percent c. 19.00 percent d. 14.10 percent e. 12.25 percent vii calculate the coefficient of variation for stock b, assuming b's expected return is 14.35%. (keep 4 decimals throughout problem.) a. 9.6825 b. 0.9421 c. 1.2686 d. 1.3251 e. 0.9282

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The expected rate of return for stock a is 14.1%.

This is calculated as follows: State Probability Stock A Below average 0.15 -12% Average 0.6 13% Above average 0.25 18%The expected rate of return for stock A can be calculated by weighting the expected returns of each possible state of the economy by its probability. As a result, the anticipated return for stock A is -12 percent in the below-average state, 13 percent in the average state, and 18 percent in the above-average state. The anticipated rate of return for stock A is therefore the sum of the weighted expected returns for each possible state of the economy: (0.15) (-12%) + (0.60) (13%) + (0.25) (18%) = 14.1 percent.

Therefore, the answer is d. 14.10%.Co-efficient of variation can be calculated using the following formula: CV = σ/µ, where µ is the expected return, and σ is the standard deviation of the returns. We can first calculate the standard deviation of stock B's returns. Since the expected return for stock B is not given, we can calculate it as we did for stock A using the formula above. State Probability Stock B Below average 0.15 -15% Average 0.6 16% Above average 0.25 28%The expected rate of return for stock B is: (0.15) (-15%) + (0.60) (16%) + (0.25) (28%) = 16.35%

We can then calculate the standard deviation of stock B's returns using the formula σ = √[Σ((R - µ)²p)], where R is the return in each state, µ is the expected return, and p is the probability of each state. Using the above values, we have: σ² = (0.15) (-15 - 16.35)² + (0.60) (16 - 16.35)² + (0.25) (28 - 16.35)² σ² = 72.212025And then, σ = √72.212025 = 8.4946Finally, we can calculate the coefficient of variation as: CV = σ/µ = 8.4946/14.35 = 0.5915 or 0.592 (rounded to 3 decimal places).Therefore, the answer is e. 0.9282 (rounded to 4 decimal places).

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4. Measuring employment, unemployment, and labor force participation Consider a small economy composed of six people: Gilberto, Juanita, Lorenzo, Neha, Teresa, and Sam. Each person's employment status is described in the following table. Based on the criteria used by the Bureau of Labor Statistics (BLS), identify each person's status as Employed, Unemployed, "Not in the labor force" but still part of the civilian noninstitutional population, or "Not in the civilian noninstitutional population" if not in the civilian noninstitutional populationSam is a 17-year-old who just graduated from high school. He is taking it easy this summer, relaxing by the pool with his friends and family, and volunteering part-time at the local nursing home

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Based on the criteria used by the Bureau of Labor Statistics (BLS), Sam's status is "not in the labor force," but he is still part of the civilian noninstitutional population.

What is unemployment? Unemployment refers to the state of being without a job. Unemployment happens when individuals actively searching for employment are unable to find work. Unemployment is often used as a gauge of the economy's well-being.

Labor Force: The labor force comprises those who are employed and those who are unemployed but actively searching for work. It is used to determine the unemployment rate in a given location, and it is an important economic indicator. The labor force may be divided into various categories, including gender, race, education level, and age.

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suppose poornima just bought stock in solarheat co., a renewable energy startup, and that poornima estimates there will be a dividend of $7 per share, paid annually, forever. if the discount rate on the stock is 8 percent, then using the discount dividend model, the value of the stock is: a.$80.50 per share b.$87.50 per share c.$91.00 per share d.$95.38 per share

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The value of the stock is b. $87.50 per share

Explanation:

Given: Dividend, D = $7 per share

Discount rate, r = 8%

We need to find the value of the stock using the Discount Dividend Model

Formula: The value of the stock = D / (r – g)

where D is the dividend,

r is the discount rate,

and g is the expected growth rate.

Suppose the dividend is expected to grow at a rate of g. Here, the dividend is not expected to grow, so g = 0.

Then, the formula will be: Value of stock = D / r

Now, substituting the given values: Value of stock = 7 / 8% = $87.50 per share

Therefore, the correct option is b. $87.50 per share.

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under the pregnancy discrimination act, a. employers may not refuse to hire a pregnant woman, fire her, or force her to take maternity leave. b. the bfoq defense is not available. c. employers must give family leave to fathers of newborns as well as to mothers.

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Under the Pregnancy Discrimination Act (PDA), employers may not refuse to hire a pregnant woman, fire her, or force her to take maternity leave.

What is PDA?

PDA is a federal law that prohibits discrimination based on pregnancy, childbirth, or related medical conditions. Pregnancy discrimination is discrimination against women on the grounds of pregnancy or childbirth. This discrimination can manifest in a variety of ways.

According to the PDA, an employer cannot discriminate against an employee or job applicant because of her pregnancy or a pregnancy-related medical condition. An employer cannot force a pregnant employee to take leave or ask her to leave because of her pregnancy.

A pregnant employee has the right to work until the time she is no longer able to perform her job. An employer must offer the same treatment to a pregnant employee as to any other employee who is temporarily disabled.

In addition, the PDA applies to all aspects of employment, including hiring, promotion, pay, training, job assignments, and fringe benefits.

It also includes health insurance, leave, and retirement benefits. Any type of discrimination or harassment based on pregnancy, childbirth, or related medical conditions is illegal under the PDA.

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what value does using the tbl bring to a business, and is it worth the potential drawbacks of incorporating it?

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Using the TBL (team-based learning) brings many valuable advantages to a business, such as increased engagement, collaboration, and participation.

It encourages teams to work together to come up with creative solutions, and provides an opportunity for employees to learn from each other and further their professional development. However, there are potential drawbacks to incorporating TBL, such as the cost of training and providing materials, as well as the potential for group members to become overly reliant on one another. Ultimately, whether or not the potential benefits outweigh the potential drawbacks of incorporating TBL depends on the specific needs and objectives of the business.

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if the quantity of higher education demanded rises by 5 percent when incomes rise by 10 percent, group of answer choices higher education is a normal good higher education is an inferior good the demand for higher education is price elastic the law of demand applies to higher education the demand for higher education is price inelastic

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The answer is A, "Higher education is a normal good", because the quantity demanded increases by 5% when incomes rise by 10%.

What is a normal good?

A normal good is a good whose demand increases as income rises, holding everything else constant. Income elasticity of demand (IED) is used to quantify the relationship between income and the quantity demanded of a commodity. The IED of a commodity can be positive or negative, depending on whether the commodity is a normal or an inferior good.

The demand for higher education will increase as a result of an increase in income because people will have more money to spend on education. Therefore, it is a normal good. The demand for higher education is price elastic when the quantity of higher education demanded responds significantly to a change in price, which indicates that the demand is sensitive to price changes.

On the other hand, when the quantity of higher education demanded does not respond significantly to a change in price, the demand is price inelastic. When there is an increase in income, the quantity of higher education demanded increases, indicating that the demand is price elastic.

Thus, higher education is a normal good, and the demand for higher education is price elastic. Therefore, option A is correct.

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currie company borrowed $24,000 from the sierra bank by issuing a 9% three-year note. currie agreed to repay the principal and interest by making annual payments in the amount of $9,482. based on this information, the amount of the interest expense associated with the second payment would be:

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currie company borrowed $24,000 from sierra bank by issuing a 9% three-year note. currie agreed to repay the principal and interest by making annual payments in the amount of $9,482. based on this information. The amount of interest expense associated with the second payment would be $2,160

This is calculated by taking the original loan amount of $24,000 multiplied by the interest rate of 9%, which equals $2,160.

Then, subtract the first payment of $9,482 from the total interest amount of $2,160 to get the amount of interest expense associated with the second payment, which is $810.

The amount of interest expense associated with the second payment would be $1,827.

Amount borrowed, P = $24,000

Rate of interest, R = 9%

Time period, n = 3 years

Amount of annual payment, A = $9,482

A = P [R (1+R)ⁿ / (1+R)ⁿ - 1]

By substituting the given values in the above formula, we get: $9,482 = $24,000 [0.09 (1+0.09)³ / (1+0.09)³ - 1]

$9,482 = $24,000 [0.09 (1.09³) / 1.295019]

Hence, $9,482 = $24,000 [0.09 (1.295019)]$9,482 = $3,475.4481 (Interest + Principal)Interest + Principal = $9,482 (1) Interest for the first year

Interest = P × R = $24,000 × 9% = $2,160

Hence, the principal component for the first year is:

Principal = $9,482 - $2,160 = $7,322...

(2)From equation (1) above, we can write:

Interest for the second payment = (Interest + Principal) - Principal

Interest for the second payment = $9,482 - $7,322 = $2,160

Hence, the amount of interest expense associated with the second payment would be $2,160.

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if carissa has a $234,000 home insured for $175,000, based on the 80 percent coinsurance provision, how much would the insurance company pay on a $11,500 claim? (do not round intermediate calculations. round your answer to 2 decimal places.)

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If Carissa has an insurance based on 80% coinsurance provision, for a $11,500 claim, the insurance company will pay $10,761.50.

The 80% coinsurance provision means that the homeowner must insure the property for at least 80% of its actual value to avoid a penalty in the event of a partial loss. If the homeowner fails to maintain the required level of insurance, the insurance company may reduce the amount of the claim payment.

In this case, Carissa has insured her home for $175,000, which is less than the required 80% of the actual value of $234,000. To determine the actual amount of insurance coverage, we can use the following formula:

Actual amount of insurance = (Amount of insurance carried / Required amount of insurance) x Loss

Where the required amount of insurance is 80% of the actual value of the property, or:

Required amount of insurance = 80% x $234,000 = $187,200

Substituting the values given in the question:

Actual amount of insurance = ($175,000 / $187,200) x $11,500

Actual amount of insurance = 0.93483 x $11,500

Actual amount of insurance = $10,761.50

Therefore, the insurance company would pay $10,761.50 on the $11,500 claim, assuming there are no other factors that would affect the claim payment.

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just-in-time production requirements has been proposed. Users want access to current master file information at all times. To satisfy user needs, master file changes should be implemented with:A. Periodic entry with subsequent batch processingB. Periodic entry with immediate batch processingC. Online entry with subsequent batch processing.D. Online entry with immediate processing

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To satisfy user needs, master file changes should be implemented with online entry with immediate processing. Therefore, correct answer is option D.

In a new purchasing system has been proposed for JIT (Just-in-Time) production requirements users want access to the current master file information at all times. A master file is a file that contains essential information about the business. For instance, information about customers, suppliers, and inventories.

To satisfy user needs, master file changes should be implemented with online entry with immediate processing. This means that when a master file change is made, it is immediately entered into the system, and the processing is completed without any delay.

Hence, through online entry with immediate processing an immediate response can be received if the data is entered online. It allows changes to be made to the file without any delay. It is done automatically, allowing quick updates to be made. This will improve user satisfaction and reduce the workload on the staff. Hence, the correct option is D. Online entry with immediate processing.

Note: The question is incomplete. The complete question probably is: A new purchasing system for JIT production requirements has been proposed. Users want access to current master file information at all times. To satisfy user needs, master file changes should be implemented with: A. Periodic entry with subsequent batch processing B. Periodic entry with immediate batch processing C. Online entry with subsequent batch processing. D. Online entry with immediate processing

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What other images are used on this site, and how do they relate to what the company is selling?

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Any website's content strategy is incomplete without images. The greatest pictures are displayed well above fold and serve as both decorative elements and educational tools.

Why are pictures crucial for businesses?

The most effective strategies for improving the performance of your content is visual and video material. When content is accompanied by an image, viewers are 80% as inclined to interact with it and 64% more inclined to remember what you read or heard. There you have it, then. To advertise your business, you must use photos. This image might show someone is using your product or show the results of your service. This product graphic makes it easier for potential buyers to understand how your good or service can help them.

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Cupola Fan Corporation issued 8%, $500,000, 10-year bonds for $486,000 on June 30, 2016. Debt issue costs were $2,500. Interest is paid semiannually on December 31 and June 30. One year from the issue date (July 1, 2017), the corporation exercised its call privilege and retired the bonds for $490,000. The corporation uses the straight-line method both to determine interest expense and to amortize debt issue costs.
Required: 1. to 4. Prepare the necessary journal entries

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1. On June 30, 2016:

Debit Cash: $486,000

Debit Debt Issue Costs: $2,500

Credit Bonds Payable: $488,500



2. On December 31, 2016:

Debit Interest Expense: $20,000

Credit Cash: $20,000



3. On June 30, 2017:

Debit Cash: $490,000

Credit Bonds Payable: $490,000



4. On June 30, 2017:

Debit Amortization of Debt Issue Costs: $500

Credit Interest Expense: $500

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on january 1, 2019, watson construction company purchased a truck for $40,000. in addition to the purchase price, the company incurred $500 in sales taxes, $1,000 in interest, and $2,000 for a bed liner to protect the back of the truck. the watson company should record the truck on their books as an asset at:

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The total cost of the truck, including all additional costs, should be recorded as an asset on the company's books for a total of $43,500.

What is Asset?

An asset is an economic resource that can be owned and controlled by an individual or company. An asset is something valuable that an individual, corporation, or country possesses or controls with the aim of generating a profit or for future benefit. The purchase price of the truck is $40,000.

Additional cost:

Sales tax = $500

Interest = $1,000

Bed liner = $2,000

Thus, the Watson company should record the truck on its books as an asset at $43,500.

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Suppose a U.S.-based MNC maintains a vacation home for employees in the British countryside and the local price of this property is always moving together with the pound price of the U.S. dollar. As a result,
a. whenever the pound depreciates against the dollar, the local currency price of this property goes up by the same proportion.
b. whenever the pound depreciates against the dollar, the local currency price of this property goes up by the same proportion. Additionally, the firm is not exposed to currency risk even if the pound–dollar exchange rate fluctuates randomly.
c. the firm is not exposed to currency risk even if the pound–dollar exchange rate fluctuates randomly.
d. none of the options

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When a US MNC maintains a vacation home for in the British countryside, whenever the pound depreciates against the dollar, the local currency price of this property goes up by the same proportion. Additionally, the firm is not exposed to currency risk even if the pound–dollar exchange rate fluctuates randomly. Therefore, the correct answer is B.

An MNC, or multinational corporation, is a company that operates in a variety of countries around the world. It's a big organization that specializes in a specific type of product or service. The term "multinational" refers to the fact that the company operates in multiple countries or is active in many markets all around the world. MNCs are businesses that conduct business in different nations, as their name implies. They also have various divisions in different nations that function independently, despite the fact that they are controlled by a central management group, such as the parent company.

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Exercise 7-11 Determine depreciation under three methods (LO7-4) Speedy Delivery Company purchases a delivery van for $37,600. Speedy estimates that at the end of its four-year service life, the van will be worth $5,800. During the four-year period, the company expects to drive the van 159,000 miles. Actual miles driven each year were 42,000 miles in year 1 and 45,000 miles in year 2 Calculate annual depreciation for the first two years of the van using each of the following methods. (Do not round your intermediate calculations.) . Straight-line. Year 2. Double-declining-balance Year 3. Activity-based. Year Depreciation

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Determine depreciation under three methods (LO7-4)Speedy Delivery Company purchases a delivery van for $37,600. Speedy estimates that at the end of its four-year service life, the van will be worth $5,800.

The business forecasts driving the vehicle 159,000 kilometres over the course of the four years. In year 1 and year 2, the actual miles driven each year were 42,000 and 45,000, respectively.

2. Determine the annual depreciation for the van's initial two years using each of the approaches shown below. (Be careful while rounding your calculations.) using a straight line. Calculating the annual depreciation expense is the first step. Straight-line depreciation is calculated as follows:

annual depreciation = (cost - residual value) / useful life

First year depreciation = ($37,600 - $5,800) / 4 years = $7,450

Year 2 Depreciation = ($37,600 - $5,800) / 4 years = $7,450

Note: Depreciation expense is the same for each year with the straight-line method. Double-declining-balance method.

The first step is to calculate the depreciation rate. The formula for double-declining balance is:

depreciation rate = (100% / useful life) × 2

First year depreciation = Beginning book value × Depreciation rate = $37,600 × 50% = $18,800

Year 2 Depreciation = ($37,600 - $18,800) × 50% = $9,400

Note: The depreciation expense decreases each year with the double-declining balance method. Activity-based method. The first step is to calculate the per-mile depreciation rate.

The formula for activity-based depreciation is:

per-mile depreciation = (cost - residual value) / total miles expected

First year depreciation = per-mile depreciation × actual miles driven

First year depreciation = ($37,600 - $5,800) / 159,000 miles

First year depreciation = $0.20 per mile

First year depreciation = $0.20 per mile × 42,000 miles = $8,400

Year 2 Depreciation = $0.20 per mile × 45,000 miles = $9,000

Note: Depreciation expense varies with the activity-based method based on the miles driven each year.

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The LIBOR zero curve is flat at 5% (continuously compounded) out to 1.5 years. Swap rates for 2- and 3-year semiannual pay swaps are 5.4% and 5.6%, respectively. Estimate the LIBOR zero rates for maturities of 2.0, 2.5, and 3.0 years. (Assume that the 2.5-year swap rate is the average of the 2- and 3-year swap rates and use LIBOR discounting.) Explain.

Answers

The LIBOR zero rates for maturities of 2.0, 2.5, and 3.0 years are 4.79%, 5.01% and 5.22% respectively.

The LIBOR zero curve is flat at 5% (continuously compounded) out to 1.5 years. Swap rates for 2- and 3-year semiannual pay swaps are 5.4% and 5.6%, respectively. To estimate LIBOR zero rates for maturities of 2.0, 2.5, and 3.0 years. The LIBOR curve will be constructed using the swap rates and assuming that the swap cash flows will be discounted using the LIBOR curve.

1. For 2-year Swap: Calculate the discount factor for 2 years using the swap rate and assuming that the swap cash flows will be discounted using the LIBOR curve, this discount factor will be used to construct the LIBOR curve.

Discount factor for 2-year swap:

$0.054*(1+0.05/2)^{-4}+ $0.054*(1+X/2)^{-2} = $1

 Solving for X, we get X = 4.79

Thus the 2-year zero LIBOR rate is 4.79%

2. For 3-year Swap: Discount factor for 3-year swap:

$0.056*(1+0.05/2)^{-6} + $0.056*(1+0.054/2)^{-4} + $0.056*    (1+X/2)^{-2} = $1

Solving for X, we get X = 5.22%

Thus the 3-year zero LIBOR rate is 5.22%

3. For 2.5 years Swap:

We are given that the 2.5-year swap rate is the average of the 2- and 3-year swap rates:

Swap rate for 2.5 year= (5.4%+5.6%)/2= 5.5%

Discount factor for 2.5 year swap:

$0.055*(1+0.05/2)^{-5} + $0.055*(1+0.054/2)^{-3} + $0.055*(1+0.0522/2)^{-1} + $0.055*(1+X/2)^{-2} = $1

Solving for X, we get X = 5.01%

Thus the 2.5-year zero LIBOR rate is 5.01%

The LIBOR zero rates for maturities of 2.0, 2.5, and 3.0 years are 4.79%, 5.01% and 5.22% respectively.

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Maurice and Barry work in an electronics store and are the only two AfricanAmerican employees. The store manager is authorized to randomly inspect employec lockers as part of store security protocols; however, he routinely chooses Maurice and Barry's lockers to search. The manager also frequently spot checks Maurice and Barry's timecards while not doing so for other employees. The manager's behavior exhibits procedural justice. distributive justice. overt discrimination. race schema.

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The manager's behavior in this situation exhibits overt discrimination. Overt discrimination is the most obvious form of discrimination and is often based on a person's race, ethnicity, gender, or other protected characteristics.

This is a violation of Equal Employment Opportunity (EEO) laws that prohibit employers from discriminating against individuals in areas such as hiring, firing, pay, job assignments, promotions, and other aspects of employment based on any of these protected characteristics.


In this example, the manager is targeting Maurice and Barry, who are the only two African American employees in the store, for additional scrutiny by randomly inspecting their lockers and frequently spot checking their timecards, while not doing so for other employees. This is an example of procedural justice because it indicates a lack of fairness in the manager's decision making process, as well as distributive justice because the manager is not providing equal treatment or outcomes to all employees.


Finally, the manager's behavior is an example of race schema, which is a mental framework or cognitive shortcut for organizing and interpreting information about race, ethnicity, and gender. In this case, the manager is likely relying on racial stereotypes to inform his decision making, which is inappropriate and wrong.

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A select list of transactions for Anuradha's Goals follows:

(Click the icon to view the transactions. )

For each transaction, identify what type of adjusting entry would be needed. Select from the following four types of adjusting entries: deferred expense, deferred revenue, accrued expense, and accrued revenue

Apr. 1 Paid six months of rent, $4,800.

Received $1,200 from customer for six month service contract that began 10

April 1.

15 Purchased a computer for $1,000.

18 Purchased $300 of office supplies on account

30 Work performed but not yet billed to customer, $500

30 Employees earned $600 in salaries that will be paid May 2. Accrued expense Accrued revenue Deferred expense Deferred revenue

Answers

As per select list of transactions for Anuradha's Goals, For each transaction, identify type of adjusting entry would be needed as follows-

Identifying Required Customization Entries:

Transaction                                                         Adjustment Entry Type

April 1 paid $4,800 for 6 months' rent.                  deferred expenses

Apr 10 Received $1,200 from a customer as        deferred revenue.

6 months service contract starting April 1st.

April 15, I bought a computer for $1,000.              deferred expenses

April 18 Purchased office worth $300

Delivery on account.                                             accrued expenses.

April 30 Work done, but not yet

bill customer, accrued sales $500                      accrued expenses.

April 30 employees earned $600 in                  accrued expenses.

the salary was paid on May 2nd.

Four types of adjustment entries:

A goal's deferred costs relate to costs that the goal will incur in a future period but have already been paid.

Goal deferred revenue includes revenue received prior to delivery.

Target Accrued Expenses refers to expenses incurred but not yet paid.

Target accrued revenue includes revenue earned but not yet received.

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an organization provides in service treatment for alcoholic clients and receives virutally all of these referrals from the family service agencies this is an example of what kind of relationship?

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This kind of relationship between an organization that provides in-service treatment for alcoholic clients and receives virtually all of these referrals from the family service agencies is an example of a referral relationship.

What is an organization?

An organization is a social entity created to achieve a shared objective. It can range from a single person to tens of thousands of people in many locations, working to achieve a common goal. Organizations are typically made up of a group of people working together to accomplish a common goal. These groups may have a formal structure, with a set of regulations and procedures to follow. The majority of firms aim to make a profit or serve their clients in the best possible way.

A referral relationship, on the other hand, is a sort of relationship between two or more organizations where one refers clients or customers to the other. The referral relationship will work in a way that the first organization referred clients or customers to the second, with the objective of receiving something in return, such as commission or incentives.

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A project manager is using the net present value method to make the final decision on which project to undertake. The company has a 12% required rate of return and expects a 3% rate of inflation for the following four years. What is the NPV of a project that has cash flows as shown in the table? Year Cash Flow0 -$250,000 1 $50,000 2 $60,000 3 $70,000 4 $80,000 a. $9,762 b. $69,387 c. $98,780 d. $56,859

Answers

The correct answer is option B, $69,387.The net present value (NPV) method is a capital budgeting technique that uses the discounted cash flow approach to determine whether an investment or project is worth the cost.

To determine the NPV of a project, the project's expected future cash flows are discounted back to the present at the company's required rate of return. According to the question, the project manager is using the net present value method to make the final decision on which project to undertake. The company has a 12% required rate of return and expects a 3% rate of inflation for the following four years. Therefore, the rate to be used for discounting is 12% - 3% = 9%. The NPV of the project can be determined by calculating the present value (PV) of each cash flow and adding them up. The present value of each cash flow is calculated using the following formula: PV = CF / (1 + r)n  where CF is the cash flow, r is the discount rate, and n is the number of years.The NPV of the project is the sum of the present values of all cash flows, which is: NVP = PV1 + PV2 + PV3 + PV4 - Initial Investment NVP = $45,872.48 + $50,260.53 + $53,979.20 + $57,594.20 - $250,000 NVP = $57,706.41 - $250,000 NVP = -$192,293.59 Since the NPV of the project is negative, the project should not be undertaken. The answer that is closest to the calculated NPV of the project is option B, $69,387, but it is not the correct answer. Therefore, there might be an error in the table of cash flows.

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Olga has several line items under her campaign. Two of the line items are underdelivering and not meeting performance goals, while two are high-performing. Which of the following is the recommended optimization strategy?
-Shift budget from high-performing line items to the underperforming/underdelivering line items.
-Adjust frequency caps on the underdelivering/underperforming line items to serve more impressions
-Shift budget from the underperforming and underdelivering line items to higher performing line items that are scaling.
-Adjust frequency caps on the underdelivering/underperforming line items to serve less impressions

Answers

The recommended optimization strategy for Olga who has several line items under her campaign is to adjust frequency caps on the underdelivering/underperforming line items to serve more impressions.

What is a frequency cap?

A frequency cap is a parameter that determines how many times your advertisements are served to the same user. Frequency caps help you keep track of how often people are seeing your advertisements and how frequently they're exposed to them.

Adjust frequency caps on the underdelivering/underperforming line items to serve more impressions is the recommended optimization strategy because it will help the underdelivering/underperforming line items get to the level of the high-performing line items.

The reason for this is that adjusting frequency caps will ensure that more people see the underperforming/underdelivering line items, increasing the chances of engagement and conversion.

Adjusting frequency caps on the underperforming/underdelivering line items to serve less impressions is not the right optimization strategy because it will result in fewer people seeing the ads, which may cause the performance to become even worse. This may be detrimental to the line items.

Shift budget from high-performing line items to the underperforming/underdelivering line items or shift budget from the underperforming and underdelivering line items to higher performing line items that are scaling is not the recommended optimization strategy because it may lead to increased costs without necessarily boosting performance.

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an increase in the price level will affect the money market and bond market in which of the following ways?

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In the following question, An increase in the price level will affect the money market and bond market in the following ways: When the price level rises, the demand for money rises as well. As a result, the interest rate rises, and the quantity of money demanded falls.

This relationship between the interest rate and the quantity of money demanded is illustrated in a graphical representation. The money market is impacted when the interest rate increases since it is the rate at which money is borrowed in the economy.In a bond market, the interest rate is essential. As the interest rate rises, the bond price decreases, and the bond yield increases. This is because if the interest rate rises, more people will invest in bonds, lowering their prices. As a result, the bond market is adversely impacted by an increase in the price level.The value of money falls as the price level rises, making it less valuable than before. As a result, investors in the money market must invest in higher-interest securities such as bonds, resulting in a lower demand for money. In summary, an increase in the price level in the economy affects the bond market and the money market by increasing the interest rate and lowering the quantity of money demanded.

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most business initiatives succeed or fail based on the quality of the underlying data. a. true b. false

Answers

Answer:

The statement "most business initiatives succeed or fail based on the quality of the underlying data" is true.

Explanation;

When analyzing business initiatives, data plays an important role. Therefore, data must be of good quality, accuracy, and completeness to ensure success. Data quality refers to the overall health of the data, which includes reliability, accuracy, completeness, and timeliness. A lot of business initiatives rely on accurate data. To make strategic decisions, executives need access to high-quality, relevant data. Decision-making and project management depend on data-driven insights. Quality data is essential to ensuring that the decisions taken on a company's behalf are accurate and consistent with the company's goals. Therefore, in conclusion, most business initiatives succeed or fail based on the quality of the underlying data, hence the statement is true.

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Krasel Corporation exchanges old equipment for new equipment. The original cost of the old equipment was $90,000, and its accumulated depreciation at the date of exchange was $70,000. The new asset received had a fair value of $50,000 and a book value of $45,000. The journal entry to record this exchange will include which of the following entries?Credit equipment $90,000Debit accumulated depreciation $70,000Debit equipment $50,000Credit gain on exchange of asset $30,000

Answers

The journal entry to record the exchange of old equipment for new equipment will include the following entries, such as Credit equipment of $90,000, Debit accumulated depreciation of $70,000, Debit equipment of $50,000, and Credit gain on the exchange of asset of $30,000.

The credit gain entry represents the gain or profit that is realized from the exchange of assets. The credit gain entry is based on the difference between the fair value of the new asset and the book value of the old asset.

It is the amount by which the fair value of the new asset exceeds the book value of the old asset.

To record the exchange of old equipment for new equipment for Krasel Corporation, the journal entry will include the following entries:

1. Credit equipment $90,000 - This represents the original cost of the old equipment being removed from the books.

2. Debit accumulated depreciation of $70,000 - This is the accumulated depreciation of the old equipment being removed from the books.

3. Debit equipment $50,000 - This represents the fair value of the new equipment being added to the books.

4. Credit gain on the exchange of asset $30,000 - This is the credit gain calculated as follows: ($90,000 - $70,000) - ($50,000 - $45,000) = $30,000.

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when demand is relatively elastic, the deadweight loss of a tax is larger than when demand is relatively inelastic.

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When demand is relatively elastic, the deadweight loss of a tax is larger than when demand is relatively inelastic. This statement is True

About deadweight loss (DWL)

The deadweight loss (DWL) of a tax is directly proportional to the price elasticity of demand. When demand is relatively elastic, this means that a small change in price results in a significant change in the quantity demanded.

As a result, when a tax is imposed, the price increases significantly, and consumers reduce their quantity demanded by a significant amount. This reduction in quantity demanded is more substantial when demand is elastic, which means that there is a larger decrease in consumer surplus.The decrease in consumer surplus is not compensated by an increase in government revenue because the decrease in consumer surplus is greater than the increase in producer surplus.

As a result, the deadweight loss of the tax is larger. The larger the DWL, the greater the inefficiency caused by the tax.To summarize, when demand is relatively elastic, the deadweight loss of a tax is larger than when demand is relatively inelastic.

Your question is incomplete but most probably your full question was:

Determine True or False: when demand is relatively elastic, the deadweight loss of a tax is larger than when demand is relatively inelastic.

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the likelihood the original critical path(s) will change once the project is initiated is referred to as

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The probability that for some reason the critical paths of a project will be modified is known as schedule compression.

Schedule compression refers to the practice of attempting to shorten the project's duration without changing the project's scope. A project is always associated with a particular timetable, which serves as a reference for the project's duration.

The project's critical path is made up of tasks that must be completed within the specified timeframe to ensure that the project is completed on time.The critical path is the project's longest path or series of tasks. As a result, it's critical to keeping the project on schedule.

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one difference between stocks and bonds is that ___
group of answer choices a. stocks are financial securities, while bonds are labor market securities b. stocks are usually issued in electronic form, while bonds are usually issued in paper form c. stocks represent ownership in companies, while bonds represent ownership in banks d. stocks do not involve a promise to repay a purchaser of the stock, while bonds represent a promise to repay the purchase price of the bond

Answers

In the following question, among the given options,  in the missing blank, One difference between stocks and bonds is that option (D) "stocks do not involve a promise to repay a purchaser of the stock, while bonds represent a promise to repay the purchase price of the bond."

What is a stock? A stock is a financial security that symbolizes the ownership of a company and represents a proportionate claim on its assets and earnings. The individual who owns a share of a company's stock is known as a shareholder. Stockholders are entitled to share in the company's profits through dividends, which are payments made by a company to its shareholders out of its earnings.

What is a bond? Bonds are fixed-income securities that are used by corporations, municipalities, and governments to fund activities or infrastructure projects. Bonds are a type of debt security, which means they represent a loan that investors make to the bond issuer in return for regular interest payments and the promise to repay the bond's principal when it reaches maturity.

The key difference between stocks and bonds is that stocks do not involve a promise to repay the purchaser of the stock, while bonds represent a promise to repay the purchase price of the bond. Stocks are riskier investments than bonds because they lack the promise of principal repayment at maturity. However, stocks can offer a higher rate of return than bonds because they are based on the company's earnings, which can be more significant than the fixed interest payments made on bonds.

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when a bank guarantees a future payment to a firm, the financial instrument used is called a. commercial paper. b. a repurchase agreement. c. a negotiable cd. d. a banker's acceptance.

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When a bank guarantees a future payment to a firm, the financial instrument used is called a banker's acceptance. The answer is d. a banker's acceptance.

What is a banker's acceptance?

A banker's acceptance is a legally binding obligation by a bank to pay a specified sum of money at a particular date in the future. It's a short-term credit instrument used to facilitate foreign exchange transactions and trade finance.

Banker's acceptances are commonly used in international trade. When a buyer and a seller are dealing with each other from different countries, they require a guarantee from the bank that they will get paid. In exchange for a fee, the bank provides this guarantee by issuing a banker's acceptance. This means that a banker's acceptance is a financial instrument used by banks to guarantee future payments to businesses.

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What is the difference between a cover letter, a sales letter, and a letter of inquiry

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A cover letter, sales letter, and letter of inquiry are all types of business letters but serve different purposes.

What is a sales letter?

A sales letter is a type of marketing communication that is sent to potential customers with the aim of persuading them to purchase a product or service. The letter typically follows a structured format and includes elements such as a headline, opening statement, body copy, benefits, call to action, and closing statement. The purpose of a sales letter is to grab the reader's attention, establish credibility, highlight the unique features and benefits of the product or service being offered, and provide a clear and compelling call to action that encourages the reader to take action. A well-written sales letter can be an effective way to generate leads, increase sales, and build customer loyalty.

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Question 11 1 pts Select the sentence that best demonstrates professional writing skills. O You and your colleagues will receive training at a time and location that suit you. Your colleagues and yourself will receive training at a time and location that suit you. Question 10 1 pts Select the sentence that best demonstrates professional writing skills. If you're interested in being consideredfor the job, please send us your application within the next two weeks. If your interested in being considered for the job, please send us your application within the next two weeks. Question 9 1 pts Select the sentence that best demonstrates professional writing skills. You're health and the health of your family is very important to us. O Your health and the health of your family are very important to us. Your health and the health of your family is very important to us. Question 7 1 pts Select the sentence that best demonstrates professional writing skills. O If you forget to clock in or out, please let Melanie Smith or me know, and we will correct your timesheet. If you forget to clock in or out, please let Melanie Smithor myself know, and we will correct your timesheet. If you forget to clock in or out, please let Melanie Smith or I know, and we will correct your timesheet. Question 6 1 pts Correct the underlined part of the sentence. Select your answer from the multiple choice options. The marketing manager assigned Jennifer and I the best new sales territories. O Correct as is. Jennifer and me me and Jennifer Question 5 1 pts Select the sentence that best demonstrates professional writing skills. A team of people from marketing, finance, and production are preparing the proposal. A team of people from marketing, finance, and production is preparing the proposal.

Answers

The sentence that best demonstrates professional writing skills is: "A team of people from marketing, finance, and production is preparing the proposal."

This is the correct way to phrase the sentence, as the subject is a singular team and therefore requires a singular verb. Other sentences that demonstrate professional writing skills include: "You and your colleagues will receive training at a time and location that suit you.", "If you're interested in being considered for the job, please send us your application within the next two weeks.", "Your health and the health of your family are very important to us.", and "If you forget to clock in or out, please let Melanie Smith or myself know, and we will correct your timesheet." Professional writing should always be concise and accurate, using proper grammar and syntax.

Professional writing is a style of writing that is clear, concise, and seeks to convey information and ideas quickly in a professional setting. Professional writing is geared towards informing or persuading an audience in the world of work and commerce.Maintaining a professional and serious tone in professional writing is important. Writing in a familiar or friendly style should be avoided. Jokes, personal anecdotes, and colloquial expressions are not appropriate. The purpose of professional writing is to convey information in a clear, succinct, fluid way.

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