After you've uploaded posts into Hootsuite'sBulk Composer, what's the best place to vet and preview those scheduled posts? a. Planner b. Impact c. Boards and Streams d. Insights e. Analytics

Answers

Answer 1

The correct answer is a. After you've uploaded posts into Hootsuite's Bulk Composer, the best place to vet and preview those scheduled posts is in the "Planner."

This feature allows you to review, edit, and visualize your scheduled posts in a calendar format before they are published. The "Planner" feature in Hootsuite allows you to review and preview your scheduled posts in a calendar format. It provides a visual representation of your content schedule, allowing you to see the distribution and timing of your posts. Within the Planner, you can edit, adjust, or delete scheduled posts as needed. This feature helps ensure that your content is properly organized, spaced out, and aligned with your marketing or social media strategy before it goes live. It offers a convenient way to vet and fine-tune your scheduled posts before they are published.

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Answer 2
Final answer:

Hootsuite's Planner offers the best place for reviewing and previewing posts after they have been scheduled via the Bulk Composer tool.

Explanation:

After uploading posts to Hootsuite's Bulk Composer, the optimal place for vetting and previewing those scheduled posts would be in the Planner. The Planner allows you to view all scheduled posts in a calendar format, providing an overview of your content plan and enabling you to see exactly when and where each post will be published. In this way, any necessary adjustments can be made to ensure the effectiveness of your social media strategy.

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Related Questions

Open market operations are _________?

Answers

Answer:

activity

Explanation:

by a central bank to give liquidity in its currency to a bank or a group of banks

An open market operation is an activity by a central bank to give liquidity in its currency to (or from) a bank or a group of banks. ... A central bank uses OMO as the primary means of implementing monetary policy.

Suppose General Electric payed its line workers $12 per hour

Answers

The relevant answers with regard to real wages are as follows:

A) $10.08

B) 10.89

C) 19.05. See explanation below.

What is the computation justifying the above results?

[A]

Recall that Real Wages are computed as follows;

Real Wages = (Nominal Wage/CPI in the Given Year) x CPI in the base year

12 = (N/84) x 100

= 10.08

[B]

The formula for real wage still stands:
Hence,

12 x 1.08 = (N/84) x 100

= 10.89

One thing to keep in mind is that the percentage rise in real wages is always equal to the percentage increase in nominal wages. The same may be demonstrated with other values.

[C]

It is to be noted that the real wage is pegged at $12 which is same from the prior year.

Hence, percentage increase = 0

But because $12 is Nominal in the incumbent year,

[(12 - 10.08)/10.08] x 100

= 92/10.08

= 19.05

What is real wages?

Real wages are earnings adjusted for inflation, or pay expressed in terms of the quantity of goods and services that may be purchased. In contrast to nominal wages or unadjusted wages, this word is used.

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Full Question:

Suppose General Electric paid its line workers $12 per hour in 2015 when the Consumer Price Index was 100. Suppose that deflation occurred and the aggregate price level fell to 84 in 2016. Instructions: Round your answers to two decimal places. a. GE needed to pay its workers $ in 2016 in order to keep the real wage fixed at $12. b. GE needed to pay its workers $ in 2016 if it wanted to increase the real wage by 8 percent. c. If GE kept the wage fixed at $12 per hour in 2016, in real terms, its workers got a % increase in wages.

A stock is bought for $28 and sold for $11 one year later, immediately after it has paid a dividend of $2.00. what is the dividend yield for this transaction?

Answers

A stock is bought for $28 and sold for $11 one year later, immediately after it has paid a dividend of $2.00. The dividend yield for the stock transaction is 7.14%.

Dividend yield is a financial ratio that measures the dividend income generated by an investment relative to its price. It is calculated by dividing the dividend per share by the stock price and expressing it as a percentage. In this case, the stock was bought for $28, sold for $11, and a dividend of $2.00 was received.

To calculate the dividend yield, divide the dividend per share ($2.00) by the initial stock price ($28.00), and then multiply by 100 to express it as a percentage. The calculation would be as follows:

Dividend Yield = (Dividend per Share ÷ Initial Stock Price) × 100

= ($2.00 ÷ $28.00) × 100

= 0.0714 × 100

= 7.14%

Therefore, the dividend yield for this transaction is 7.14%. This indicates that the dividend income received from the stock represents 7.14% of the initial investment made in the stock.

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Regarding the DoorDash video played in class, Stanley and co-founders are a good example of entrepreneurs who 'did things that did not scale' and performed as many activities in their value chain as they could themselves in the beginning.

True/False

Answers

True. Stanley and the co-founders of DoorDash are an example of entrepreneurs who initially focused on activities that were not scalable and performed various tasks in their value chain themselves.

The statement is true. In the early stages of DoorDash, Stanley Tang and his co-founders faced the challenge of building a delivery service from scratch. They started by taking on multiple roles and performing various activities in their value chain personally. Instead of relying on scalable systems or outsourcing, they adopted a hands-on approach to ensure the smooth functioning of their business. They acted as delivery drivers, handled customer support, and even worked on marketing efforts themselves.

By personally engaging in these activities, the DoorDash co-founders gained valuable insights into the intricacies of their business model. They learned about the challenges faced by drivers, customer preferences, and the operational aspects of running a delivery service. This intimate knowledge allowed them to refine their business processes and understand the scalability requirements better.

While performing tasks that did not scale may seem counterintuitive in the long run, it was a strategic choice for DoorDash in its early stages. By immersing themselves in various aspects of their value chain, the founders were able to develop a deep understanding of their business and establish a solid foundation. Once they had gained sufficient insights and identified the scalable components of their model, they could then focus on optimizing and automating those aspects to support the company's growth and expansion.

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Wrote off an uncollectible account for $650. Provided $88,000 of services on account. Provided $32,000 of services and collected cash. Collected $81,000 cash from accounts receivable. Paid $65,000 of salaries expense for the year. Adjusted the accounts to reflect uncollectible accounts expense for the year. Leach estimates that 5 percent of the ending accounts receivable balance will be uncollectible. d-1. Organize the transaction data in accounts under an accounting equation. d-2. Prepare an income statement for 2019. d-3. Prepare the statement of changes in stockholders' equity for 2019. d-4. Prepare the balance sheet for 2019. d-5. Prepare the statement of cash flows for 2019. d-6. What is the net realizable value of the accounts receivable at December 31, 2019?

Answers

Answer:

This question is incomplete. Since it is missing most of the information, I looked for a similar question and found this:

2018:

Issued $10,000 of common stock for cash. Provided $78,000 of services on account. Provided $36,000 of services and received cash. Collected $69,000 cash from accounts receivable. Paid $38,000 of salaries expense for the year. Adjusted the accounting records to reflect uncollectible accounts expense for the year. Leach estimates that 5 percent of the ending accounts receivable balance will be uncollectible. Closed the revenue account. Closed the expense account.

2019:

Wrote off an uncollectible account for $650. Provided $88,000 of services on account. Provided $32,000 of services and collected cash. Collected $81,000 cash from accounts receivable. Paid $65,000 of salaries expense for the year. Adjusted the accounts to reflect uncollectible accounts expense for the year. Leach estimates that 5 percent of the ending accounts receivable balance will be uncollectible.

journal entries 2018

Issued $10,000 of common stock for cash.

Dr cash 10,000

   Cr common stock 10,000

Provided $78,000 of services on account.

Dr accounts receivable 78,000

    Cr service revenue 78,000

Provided $36,000 of services and received cash.

Dr cash 36,000

    Cr service revenue 36,000

Collected $69,000 cash from accounts receivable.

Dr cash 69,000

    Cr accounts receivable 69,000

Paid $38,000 of salaries expense for the year.

Dr wages expense 38,000

    Cr cash 38,000

Adjusted the accounting records to reflect uncollectible accounts expense for the year.  Leach estimates that 5 percent of the ending accounts receivable balance will be uncollectible.

Dr bad debt expense 450

    Cr accounts receivable 450

Closed the revenue account. Closed the expense account.

Dr service revenue 114,000

    Cr income summary 114,000

Dr income summary 38,450

    Cr wages expense 38,000

    Cr bad debt expense 450

Dr income summary 75,550

    Cr retained earnings 75,550

income statement 2018

Service revenue           $114,000

Expenses:

Wages $38,000 Bad debt $450    ($38,450)

Net income                   $75,550

balance sheet 2018

Assets:

Cash $77,000

Accounts receivable $8,550

total assets                                           $85,550

Equity:

Common stock $10,000

Retained earnings $75,550

total equity                                            $85,550

statement of cash flows 2018

Cash flows form operating activities:

Net income                                      $75,550

adjustments:

Increase in accounts receivable     ($8,550)

net cash from operating activities  $67,000

Cash flow from financing activities:

Common stocks issued                   $10,000

Net cash increase                           $77,000

beginning cash balance                          $0

Ending cash balance                      $87,000

journal entries 2019

Wrote off an uncollectible account for $650.

Dr bad debt expense 650

    Cr accounts receivable 650

Provided $88,000 of services on account.

Dr accounts receivable 88,000

    Cr service revenue 88,000

Provided $32,000 of services and collected cash.

Dr cash 32,000

    Cr service revenue 32,000

Collected $81,000 cash from accounts receivable.

Dr cash 81,000

    Cr accounts receivable 81,000

Paid $65,000 of salaries expense for the year.

Dr wages expense 65,000

    Cr cash 65,000

Adjusted the accounts to reflect uncollectible accounts expense for the year.  Leach estimates that 5 percent of the ending accounts receivable balance will be uncollectible.

Dr bad debt expense 745

    Cr accounts receivable 745

income statement 2019

Service revenue             $120,000

Expenses:

Wages $65,000 Bad debt $1,395    ($38,450)

Net income                      $53,605

balance sheet 2019

Assets:

Cash $125,000

Accounts receivable $14,155

total assets                                           $139,155

Equity:

Common stock $10,000

Retained earnings $129,155

total equity                                            $139,155

statement of cash flows 2019

Cash flows form operating activities:

Net income                                      $53,605

adjustments:

Increase in accounts receivable     ($5,605)

net cash from operating activities  $48,000

Net cash increase                           $48,000

beginning cash balance                 $77,000

Ending cash balance                    $125,000

net realizable value accounts receivable

net realizable value of accounts receivable 2018 = $8,550

net realizable value of accounts receivable 2019 = $14,155

Which option completes the explanation for conflict of interest in an organization?

Answers

Answer:

Explanation:

conflict of interest is defined as a condition where an individual or organization is in a conflicting situation where the fulfillment of one’s interest could mean the detriment to the others.  organizations tend to avoid these kinds of situations to occur, especially between the employee and the organization.

What is the return rate for brick-and-mortar stores?
A. 10%
B. 20%
C. 3%
D. 15%

Answers

The return rate for brick-and-mortar stores that one will receive is 3%. Hence, Option C is correct.

What is the return rate?

A return rate is something that an individual receives in exchange or returns for something else. One can receive this return in various cases, like when someone has lent money to someone for a particular period of time.

In other words, the return rate, or rate of return, is the amount received after making any type of investment. The amount that they will receive in addition to that particular amount is the amount that gets after the calculation of the percentage of the return rate, and that percentage is fixed.

Therefore, it is the return that one has to make after the completion of the time period for which the investment has been made. Option C is correct.

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Fees
Annual Fee $30
Transaction Fees Balance tranfers—$10 or 3% of the transaction (whichever is greater)
Cash advance—$10 or 3% of the transaction (whichever is greater)
Penalty Fees Late fee: $35
Over-the-credit-limit: $35
Returned payment: $25

Based on the Schumer Box, what is the transaction fee on a cash advance of $300?
$35
$30
$25
$10

Answers

Answer:

$10

Explanation:

The cash advance fee is quoted as $10 or 3% of the transaction fee, whichever is greater.

The cash advance, in this case, is $300.

the transaction fee will be 3% of 300

= 3/100 x $300

=0.03 x $300

=$9

$10 is greater than $9; therefore, the transaction fee will be $10

Answer:

D

Explanation:

took the test

During design competition,
a. a new dominant design prevents a company from competitively selling its products or makes it difficult to do so
b. the patterns of innovation over time create sustainable competitive advantage
c. a scientific advance of existing technologies creates a significant breakthrough in performance or function
d. an older technology usually improves significantly in response to the competitive threat from the new technologies

Answers

b. the patterns of innovation over time create sustainable competitive advantage.

Bonds from the city of Tavel Gorge worth $1,000 each are selling at 110. 611. If Sean wishes to purchase three such bonds, how much can he expect to pay? a. $3,000. 00 b. $3,331. 83 c. $3,318. 33 d. $331. 83 Please select the best answer from the choices provided A B C D.

Answers

$3,318.33 to purchase three bonds from the city of Tavel Gorge. The correct option is C. $3,318.33.

Bonds refer to debt investments in which an investor lends money to an entity (such as a corporation or government) that borrows the funds for a defined period of time at a fixed interest rate. Bonds are used by companies, municipalities, states, and governments to fund a variety of projects and activities. Because of the fixed-rate nature of bonds, they are often used as a way to preserve capital while generating income.

When bonds from the city of Tavel Gorge worth $1,000 each are selling at 110.611, it implies that for every bond purchased, it will cost $1,106.11. Now, we can calculate the total amount Sean needs to pay to purchase 3 bonds.

The total amount Sean needs to pay= is $1,106.11 × 3= $3,318.33Therefore, Sean can expect to pay $3,318.33 to purchase three bonds from the city of Tavel Gorge.

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In addition to competition for food, what is another example of a density dependent process that can affect population growth rates?

Answers

Predation, inter- and intraspecific competition, waste buildup, and diseases including parasitic diseases are the most density-dependent biological (biotic) factors. Generally speaking, a population's mortality rate increases with population density.

What is Density-dependent regulation?

When population growth rates are controlled by population density, this is known as density-dependent processes in population ecology.

Predation, intra- and interspecific competition, waste accumulation, and diseases including parasitic diseases are the most density-dependent biological (biotic) factors.

Normal mortality rates increase with population density.

The reproduction rates of the individuals, for instance, will often be lower during intra- and interspecific competition, slowing the rate of population expansion.

Because the predator has a harder time discovering its food supply, low prey density also raises the mortality of the prey.

Results from a study on the giant intestinal roundworm (Ascaris lumbricoides), a parasite of humans and other mammals, provide as an illustration of density-dependent control.

The information indicates that the parasite is less fertile in denser populations since there were fewer eggs present.

The fact that females would be smaller in groups with increased density due to scarce resources and hence lay fewer eggs is one explanation for this phenomena.

In a 2009 study, the concept that female weight had any bearing on the outcome was evaluated and refuted.

There is still more research that needs to be done to determine the exact reason why this organism's fecundity is density-dependent.

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JohnBoy Industries has a cash balance of $42,000, accounts payable of $122,000, inventory of $172,000, accounts receivable of $207,000, notes payable of $117,000, and accrued wages and taxes of $35,500. How much net working capital does the firm need to fund?

Answers


The net working capital the firm needs to fund is $146,500. It is important for a company to have a sufficient amount of Net Working Capital to run its business smoothly. Inadequate working capital may lead to financial problems and may hinder the growth of the company.

Net Working Capital refers to the difference between the assets and the liabilities of a company. In other words, it is the amount of funds required by a company to operate its business smoothly. It is the amount of money required by a business to meet its financial obligations. It helps in the efficient functioning of a business. It is the difference between current assets and current liabilities.
Given,
Cash balance = $42,000
Accounts payable = $122,000
Inventory = $172,000
Accounts receivable = $207,000
Notes payable = $117,000
Accrued wages and taxes = $35,500
Net Working Capital (NWC) = Current Assets - Current Liabilities
Current Assets = Cash balance + Inventory + Accounts receivable
= $42,000 + $172,000 + $207,000
= $421,000
Current Liabilities = Accounts payable + Notes payable + Accrued wages and taxes
= $122,000 + $117,000 + $35,500
= $274,500
Net Working Capital (NWC) = $421,000 - $274,500
= $146,500
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Two unrelated American quarter horses are bred together. What is this an example of?

Answers

It’s an example of cross breed

Answer: Straightbreeding

Explanation: 100% on test

Candace bought a laptop for $475 dollar. She then decided to ell the laptop for $985. What markup rate did Candace ue to calculate the ale price of her laptop? Write your anwer a a percentage rounded to the nearet whole number

Answers

It should be noted that she increased the price by 875 and utilized a markup rate of 0.37 percent.

Laptop for $475 and ultimately chose to sell it for $985.

Thus, 20% of x = 475

Equals 0.22x = 475.

Divide x = 475*0.22

x to get 985.

The proportion is therefore rounded to the nearest full number, which is 0.37%.

The percentage of receivables and the percentage of sales are the two bases for assessing uncollectible accounts. Examples of accounts that are impossible to collect include receivables, loans, and any payment that the debtor decides not to repay. As a result of the debtor's bankruptcy or insolvency, accounts become uncollectible.

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Suppose the government borrows $20 billion more next year than this year.
a. Use a supply-and-demand diagram to analyze this policy. Does the interest rate rise or fall?
b. What happens to investment, private saving, public saving, and national saving? Compare the size of the changes to the $20 billion of extra government borrowing.
c. How does the elasticity of supply of loanable funds affect the size of these changes?
d. How does the elasticity of demand for loanable funds affect the size of these changes?
e. Suppose households believe that greater government borrowing today implies higher taxes to pay off the government debt in the future. What does this belief do to private saving and the supply of loanable funds today? Does it increase or decrease the effects you discussed in parts (a) and (b)?

Answers

a. In a supply-and-demand diagram, an increase in government borrowing will shift the demand for loanable funds to the right.

What is borrowing?

Borrowing is the act of obtaining something from another party, usually in exchange for a payment or promise to pay in the future. It is a common practice among individuals and businesses, as borrowing allows them to acquire something they need or want without having to pay for it upfront.

This will cause the equilibrium interest rate to rise, as the quantity of loanable funds demanded at any given interest rate will be higher.
b. The extra $20 billion in government borrowing will lead to an increase in investment, as businesses will be able to access more loanable funds at a higher interest rate. The size of the changes to investment, private saving, public saving, and national saving will be much smaller than the $20 billion of extra government borrowing.
c. The elasticity of supply of loanable funds will affect the size of the changes to investment, private saving, public saving, and national saving. If the supply of loanable funds is more elastic (i.e. more responsive to a change in demand), then the increase in government borrowing will lead to a larger increase in investment, and a larger decrease in private saving.
d. The elasticity of demand for loanable funds will also affect the size of the changes to investment, private saving, public saving, and national saving. On the other hand, if the demand for loanable funds is less elastic (i.e. less responsive to a change in supply), then the increase in government borrowing will lead to a smaller decrease in the interest rate, and a smaller increase in investment.
e. If households believe that greater government borrowing today implies higher taxes to pay off the government debt in the future, this will decrease private saving and reduce the supply of loanable funds. This will further increase the interest rate and reduce investment, compared to the effects mentioned in parts (a) and (b).

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Suppose the government borrows $20 billion more next year than this year.a. Use a supply-and-demand diagram

The sales price, acquisition costs, and capital improvement costs (such as renovations or additions) of a property combine to make up what?

Answers

The sales price, acquisition costs, and capital improvement costs (such as renovations or additions) of a property combine to make up the Basis.

Acquisition price refers to an amount paid for a constant property, for expenses associated with the purchase of a new purchaser, or for the takeover of a competitor. It is useful in identifying the entire cost of the fixed property as it consists of gadgets together with criminal charges and commissions and eliminates discounts and remaining fees.

The acquisition fee refers to the all-in value to buy an asset. these expenses encompass shipping, income taxes, and customs charges, as well as the prices of web page training, installation, and testing. Whilst acquiring property, acquisition prices can include surveying, closing expenses, and paying off liens.

Patron acquisition cost is the fee of winning a purchaser to buy a product or service. As an important unit financial, consumer acquisition expenses are often associated with purchaser lifetime costs. With CAC, any employer can gauge how lots they’re spending on obtaining every client.

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How do you answer economics question short answer?

Answers

To answer an economics question with a short answer, It's crucial to comprehend the question and the main ideas it asks about in order to provide a concise response to an economics question. Additionally, it's important to be precise and avoid including extraneous or irrelevant information.

What are Economics Questions?

Economics questions aim to comprehend how markets and economic systems work as well as how various economic elements and policies can influence economic results.

Macroeconomics, which evaluates factors like GDP growth, inflation, and unemployment and deals with the general health of the economy, can also be related to economic questions.

Microeconomics, which examines how individuals, businesses, and particular marketplaces and industries behave, can also be tied to economic issues.

Public economics is a branch of economics that studies the role of the government in the economy, covering matters like Macroeconomics, provision of public goods, and welfare policies which are connected to economics questions.

International economics is a branch of economics that studies how nations interact and how trade, investment, and exchange rates impact economic activity.

Behavioral economics, which looks at how psychology and decision-making play a part in economic behavior, can also be connected to economic questions.

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I need help with this someone help me please

I need help with this someone help me please

Answers

Answer:

Homzygous

ggLLRR

Homzygous have 2 identical alleles

Heterozygous

tTZzFf Hh

Heterozygous have 2 non-identical alleles

heterogeneous: tT, Zz, Ff, Hh
homogeneous: gg, LL, RR

As an HR strategic partners, it is important that we hire for specific skills that fit the position. We should analyze pay in accordance with finance to see what monies are available for a particular position and how to we compensate properly in the beginning for experience, skills, and wisdom. What would your conversation look like with the C-Suite staff to ensure everyone is onboard with the compensation structure and how money could be saved?

Answers

The conversation with the C-Suite staff regarding the compensation structure and cost-saving measures would focus on aligning hiring decisions with specific skills, analyzing pay in accordance with available finances, and ensuring proper compensation for experience, skills, and wisdom.

In the conversation with the C-Suite staff, I would emphasize the importance of hiring for specific skills that align with the position requirements. By focusing on skill-based hiring, we can ensure that we have the right talent in place to drive the organization's success.

I would then discuss the need to analyze pay in accordance with the organization's financial resources. This would involve understanding the budget available for each position and finding the balance between attracting top talent and managing costs effectively.

To gain their support and ensure everyone is onboard, I would emphasize the importance of properly compensating employees based on their experience, skills, and wisdom. By rewarding employees fairly from the beginning, we can attract and retain top talent while fostering a culture of fairness and motivation.

Additionally, I would highlight the potential cost-saving opportunities in the compensation structure, such as exploring alternative benefits or performance-based incentives, to optimize resource allocation and maximize the return on investment.

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Adjusting Accounts - Prepaid Expenses Directions: 1) Prepare adjusting journal entries for the below transactions 2) Post the journal entries to ledger accounts 3) Calculate the ending ledger balance Problem #1 On June 1, ABC Company paid $2,500 for 12-months of office supplies. On June 30, the company counted the office supplies and noted that $2,000 of supplies were on hand. Date Accounts Debit Credit 2,500 Problem #2 On Jan 2, XYZ Company paid $200,000 for 12-months of office supplies. On Jan 31, the company counted the office supplies and noted that $175,000 of supplies were on hand. Date Accounts Debit Credit 200,000 Problem #3 On Mar 1, Pink Company paid $14,000 for 12-months of office supplies. On Mar 31, the company adjusted the asset account to reflect that $1,000 of supplies had been used for the month of March. Date Accounts Debit Credit

Answers

In the provided scenario, there are three transactions related to prepaid expenses. Problem #1 involves the initial payment for office supplies, Problem #2 focuses on the assessment of remaining supplies, and Problem #3 addresses the adjustment for supplies used during a specific period. Adjusting journal entries need to be prepared for each transaction, followed by posting to ledger accounts and calculation of the ending ledger balance.

Problem #1:

To record the initial payment for office supplies:

Date       Accounts  Debit   Credit

June 1   Prepaid Supplies   $2,500    

Cash          $2,500

Problem #2:

To adjust the remaining supplies:

Date        Accounts     Debit   Credit

Jan 31    Supplies Expense  $25,000    

Prepaid Supplies        $25,000

Problem #3:

To record the supplies used for the month of March:

Date       Accounts     Debit   Credit

Mar 31   Supplies Expense   $1,000    

Prepaid Supplies         $1,000

After preparing the adjusting journal entries, they should be posted to their respective ledger accounts. The ending ledger balance can be calculated by summing up the debit and credit amounts for each account.

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The key idea that workers should be treated as assets was introduced by.

Answers

Peter Drucker, the management guru, in his Practice of Management, introduced the key idea that workers should be treated as company assets and not liabilities.

Who is Peter Drucker?

Peter Drucker is the inventor and creator of modern management practices. He is famed for asserting that workers are corporate assets and should be treated as such.

Peter Drucker's other assertions:

The corporation is a human community.

There is “no business without a customer.”

Institutionalized management practices should be preferred to charismatic cult leaders.

Thus, the key idea that workers should be regarded as assets of the company was introduced by Peter Drucker.

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what would happened is banking didnt exist? i really have no idea​

Answers

Answer:

we wouldn't have loans to buy a house or a car. We wouldn't have paper money to buy the things we need. We wouldn't have cash machines to roll out paper money on demand from our account

Explanation:

I agree with the guy above me, and in addition to that we would have a hard time keeping our money organized

When prices of outputs in an economy become sufficiently high causing production to exceed potential GDP, the resulting: hyper-intense production will be unsustainable in the long run. higher wages will encourage workers to produce more at high prices. lower prices will lead to a lower quantity of demand. downward slope in aggregate supply curve will be short run.

Answers

Answer: Hyper-intense production will be unsustainable in the long run

Explanation: Prices cannot continue to rise because the economy is working above potential GDP at that point. Potential GDP is calculated based on full employment, so the economy will eventually trend back down in the long run.

suppose the pre-tax price of cigarettes is $3 per pack and the post-tax price is $4 per pack. the tax is $1.50 per pack and is paid by the retailers of cigarettes to the government. prior to the tax, 600 packs were sold; after the tax 500 packs were sold. what is the consumer tax burden?

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In accordance with the discussion, this same consumer tax liability seems to be $1.25.

What is the definition of tax?

Taxation is indeed the imposition of mandatory taxes on individuals or companies by government agencies almost in every country around the world. Taxation is primarily used to increase revenue for govt spending, but it can also be used for other purposes.

What is the significance of taxation?

Taxes are important because manage and support this cash and use it to fund social projects. Government contributions to a medical sector would be impossible to make without taxes. Taxes fund health-care services such as socialised healthcare, health research, and social security, among other things.

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Blossom Co. At the end of 2020, its first year of operations, prepared a reconciliation between pretax financial income and taxable income as follows: Pretax financial income $2285000 Estimated litigation expense 3285000 Extra depreciation for taxes (5298000) Taxable income $ 272000 The estimated litigation expense of $3285000 will be deductible in 2021 when it is expected to be paid. Use of the depreciable assets will result in taxable amounts of $1766000 in each of the next 3 years. The income tax rate is 20% for all years.


Income taxes payable is: _________

Answers

The income taxes payable for Blossom Co. in 2020 is $629,133.

To calculate the income taxes payable, we need to start with taxable income and then apply the applicable tax rate. From the information given in the question, we have;

Taxable income = $272,000

Next, we need to calculate the income tax expense for the year, which is calculated as follows;

Tax expense=Taxable income x Tax rate

Tax expense = $272,000 x 20% = $54,400

Now, we need to adjust the tax expense for any timing differences between the financial income and taxable income. In this case, we have two timing differences;

The estimated litigation expense of $3,285,000 will be deductible in 2021 when it is expected to be paid. This means that the expense is not deductible in 2020 for tax purposes, so we need to add it back to taxable income.

The extra depreciation for taxes of $5,298,000 reduces taxable income in 2020, but it will result in taxable amounts of $1,766,000 in each of the next 3 years. This means that we need to add back the extra depreciation for taxes to taxable income in equal installments over the next 3 years.

Adjusting for these timing differences, the income tax payable for 2020 can be calculated as follows;

Tax expense for 2020 = $54,400

Add back estimated litigation expense = $3,285,000

Add back 1/3 of extra depreciation for taxes = $1,766,000/3

= $588,667

Adjusted taxable income for 2020 = $3,145,667

Adjusted tax expense for 2020 = $3,145,667 x 20%

= $629,133

Therefore, the income taxes payable is $629,133.

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If you are an entrepreneur or buyer what you should consider other than earnings​

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We should consider land, owner, labour to start a business

(a) (4) Sean derives utility from watching soccer games s and consuming a composite utility bundle b according to the function U(qs, qb) = 4√qs+qb. The composite bundle costs $1, Sean pays $4per game to stream sporting events, and he spends $50 per week on these goods. True or false: Sean will watch more than 4 games when he consumes the utility-maximizing bundle.
(b) (4) True or false: if two goods, x and y, are perfect substitutes, then a utility-maximizing consumer is always willing to exchange between them in a 1:1 ratio
(c) (4) True or false: The utility functionsU1(a, b) =a2b3,U2(a, b) = 2ln(a) + 3ln(b) andU3(a, b) =ab2all represent the same set of preferences.
(d) (4) The Cookie Monster has marginal rate of substitution for cookies (c) and milk (m) of M RS=MUcMUm=3qm4qc. Cookies currently cost $3 and milk costs $15. True or false: if the Cookie Monster is currently consuming 15 cookies and 5 glasses of milk, he could increase his utility by buying more cookies and less milk.

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(a) False: To determine if Sean will watch more than 4 games when consuming the utility-maximizing bundle,.

We need to compare the marginal utility per dollar spent on games (MUqs/Ps) with the marginal utility per dollar spent on the composite bundle (MUqb/Pb). If MUqs/Ps > MUqb/Pb, Sean would watch more games. However, without knowing the specific values of MUqs and MUqb, we cannot determine the exact quantity of games Sean will watch.

(b) True: If two goods are perfect substitutes, a utility-maximizing consumer is always willing to exchange between them in a 1:1 ratio. This is because the consumer derives equal utility from each unit of the goods, so they would be willing to substitute one unit of good x for one unit of good y to maintain the same level of satisfaction.

(c) False: The utility functions , U2(a, b) = 2ln(a) + 3ln(b), and U3(a, b) = epresent different sets of preferences. The exponents and the logarithmic functions in the utility functions imply different levels of preferences and trade-offs between the quantities of goods a and b.

(d) True: If the Cookie Monster has a marginal rate of substitution (MRS) of 3qm/4qc and currently consumes 15 cookies and 5 glasses of milk, he could increase his utility by buying more cookies and less milk. The MRS represents the willingness of the consumer to trade one good for another while maintaining the same level of satisfaction. Since the MRS is greater than the price ratio (3/15 = 1/5), the Cookie Monster would benefit from consuming more cookies and fewer glasses of milk.

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If a person has a negative self-description, this description is automatically memorized for future use by the part of his/her self-concept. O self-image Oblind self O absolute self O self-control QUESTION 34 pushed workers to organize labor unions. O Reduced nepotism O Reduced work hours O Negative management O Bureaucratic management QUESTION 35 Which of the following events is most likely responsible for shaping the values of the Pre-Baby Boomer Generation? O The Iraqi War O The Vietnam War O The 9/11 terror attack O The Great Depression

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31  If a person has a negative self-description, this description is automatically memorized for future use by the part of his/her self-concept is self-image. Option A

32.  Negative management practices often push workers to organize labor unions. Option C

33. The Great Depression   is most likely responsible for shaping the values of the Pre-Baby Boomer Generation. Option D

31. If a person has a negative self-description, it is automatically memorized for future use by the part of their self-concept known as the self-image, which influences their self-perception and can impact their thoughts, feelings, and behaviors. Option A

32. s. Poor management techniques, such as unfair treatment, lack of communication, or abusive behavior, can create dissatisfaction among workers and motivate them to come together and form unions to address their concerns. Option C

33.  The Great Depression is most likely responsible for shaping the values of the Pre-Baby Boomer Generation. The severe economic crisis, lasting from 1929 to the late 1930s, brought about financial instability, high unemployment rates, and social upheaval, leading to values of frugality, hard work, resilience, and economic security among the individuals of this generation. Option D

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What are the advantages and disadvantages to limiting campaign contributions? Should there be limits on the amount of money that wealthy groups and individuals can donale to political candidates?

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Limiting campaign contributions has both advantages and disadvantages. The main advantage is that it reduces the influence of wealthy individuals and special interest groups on elections, thus promoting fairness and democratic values.

It also helps to prevent corruption by reducing the temptation for politicians to favor the interests of their largest donors. On the other hand, limiting campaign contributions can also have negative effects.

It can restrict free speech by preventing individuals and groups from expressing their political views through financial contributions. Additionally, limits may also disproportionately affect smaller political parties and candidates, reducing their ability to compete with well-funded opponents.

Whether there should be limits on campaign contributions is a matter of debate. Those in favor argue that without limits, the rich have an unfair advantage in shaping the political process, while opponents argue that limiting contributions violates the First Amendment and restricts political speech.

Ultimately, the answer depends on one's views about the role of money in politics and the importance of protecting democratic values versus individual rights.

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Write an article to the commerce magazine of your school on "The importance of studying business environment."

please help me with this asap
i will mark the brainliest to the first answer

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Explanation:

Importance of the Study of Business Environment:

A study of business environment is highly significant for business management for the following reasons:

(i) To Ensure Smooth Functioning of Business Cycle:

Smooth functioning of business cycle depends on availability of inputs and disposal of output.

Business enterprises obtain inputs like raw-materials, machines, technology, manpower etc. from the society (which is part of business environment); and dispose of output i.e. finished goods to society.

Hence, business managements must study business environmental factors so as to be aware of changes in input supplies, changes in social factors like consumer behaviour, state of competition in industry etc. to ensure smooth functioning of their business cycles.

A study of business environment is essential to take full advantage of opportunities for gain hidden in the business environment.

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