an employee advocacy team is responsible for all of the following except group of answer choices recognizing and incentivizing employees to keep participating communicating the program creating the crisis response plan setting goals getting employee buy in

Answers

Answer 1

An employee advocacy team is responsible for recognizing and incentivizing employees to keep participating, communicating the program, setting goals, and getting employee buy-in.

However, creating the crisis response plan is not typically the responsibility of the employee advocacy team. While they may assist in communicating the plan to employees, the development and implementation of a crisis response plan are typically handled by the company's leadership or a dedicated crisis management team.

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Related Questions

Are income from dividends is considered earned income if the stocks are listed on the public exchange?

Answers

Income from dividends is not considered earned income if the stocks are listed on the public exchange.

What is dividend?

A corporation's distribution of earnings to its shareholders is known as a dividend. A company is able to distribute a part of its profit as a dividend to shareholders when it generates a profit or surplus. Any remaining funds are collected and reinvested back into the company. A company is typically not allowed to pay a dividend out of its capital; therefore, both the current year's profit and the retained profits from prior years are available for distribution. If the company has a dividend reinvestment scheme, the amount may be paid to shareholders in cash or by the issuance of additional shares or the share repurchase of shares. The distribution may occasionally consist of valuables.

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who lives in a pineapple under the sea?​

Answers

Sponge bob skuirt pants !!!!!

Answer:

spongebob squarepants

Explanation:

absorbent and yellow and porous is he

Gadgetbug, an electronic gadgets company, has established itself as one of the industry leaders. the company has been facing competition from new entrants. the new entrants offer gadgets in different colors, with compelling artwork embossed on the cases. seeing the interest in this market, gadgetbug introduced its own range of uniquely designed gadgets. in this scenario, gadgetbug's attempt to cater to the different segments of customers to deter competition demonstrates:

Answers

In this scenario, gadgetbug's attempt to cater to the different segments of customers to deter competition demonstrates: product proliferation.

What do you mean by product proliferation?When businesses sell numerous variants of the same product, product proliferation happens.Different color schemes, product sizes, and product applications can achieve this. The company benefits from diversification as a result of being able to take market share that is significant.Product proliferation is a strategy used by businesses to expand their product offerings in a market or submarket in order to saturate the market and reduce unmet demand.

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derby co. incurred costs to modify its building and to rearrange its production line. as a result, an overall reduction in production costs is expected. however, the modifications did not increase the building's market value, and the rearrangement did not extend the production line's life. should the building modification costs and the production line rearrangement costs be capitalized? building modification costs production line rearrangement costs

Answers

Yes, because both the change and the reorganisation reduced the cost. It is not whether the asset's market value rises that determines whether post-acquisition costs should be capitalized.

What do we understand by rearrangement costs?

In financial accounting, reinstallation and rearrangement is a cost after acquisition category. The process of moving equipment from one location to another is known as rearrangement or reinstallation. This is typically done to increase output at the receiving site. After assets are put to use, they frequently require additional investments to either maintain or expand output. Additions, upgrades and replacements, repairs, and reinstallations and rearrangements are the four types of investments.

If the initial cost and cumulative depreciation of the equipment cannot be established, the cost of moving or reinstalling the equipment should be capitalised and amortised over the remaining useful life of the equipment.

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Encode a sto (store) instruction that will store the accumulator value in memory cell 15.

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Encode STO instruction: opcode 0010, memory cell 15 (1111). Store instruction at memory location 120.

To encode an STO (store) instruction that stores the accumulator value in the memory cell 15, the following steps can be taken:

1. Determine the opcode: The opcode for the STO instruction needs to be identified. Let's assume that the opcode for STO is 0010.

2. Determine the memory address: The memory cell where the accumulator value will be stored is 15. This address needs to be converted into a binary representation. In this case, 15 is represented as 1111 in binary.

3. Encode the instruction: Combine the opcode and memory address to create the instruction. The resulting instruction would be 0010 1111.

4. Store the instruction in memory: The encoded instruction can now be stored in memory, at the desired location, such as 120.

Remember, this is a simplified example, and actual encoding may vary depending on the computer architecture and instruction set used.

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answer this question plz n thank you. (posted the 1st n 2nd question. gonna post 2 other ones.)
3. Many jobs in the Personal Services pathway—such as hairdresser, personal trainer, massage therapist or barber—involve caring for people’s physical needs. List two important qualities that might be needed for success in these kinds of careers and explain how each of the qualities you mentioned are important to finding success in this field.

Answers

Answer:

Confidece, and empathy.

Explanation:

Confidence to know you will do great at your job, and empathy to know how others feel about themselves!

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What is the amount of the operating cash flow for a firm with $399,744 profit before tax, $100,000 depreciation expense, and a 35% marginal tax rate?

Answers

The amount of the operating cash flow for a firm exists $359833.6.

The amount of additional tax paid for each new dollar of income received is known as the marginal tax rate.

What is meant by marginal tax rate?

The amount of additional tax paid for each new dollar of income received is known as the marginal tax rate. Total taxes paid divided by total income earned is the average tax rate. With a marginal tax rate of 10%, the tax would be deducted from the following dollar of income at a rate of 10%.

You can always compute your taxes both ways, taking into account and excluding the projected income from the proposed investment. The economic marginal tax rate from investing is calculated by dividing the difference in taxes by the investment's income.

In the US, as income rises, so does the federal marginal tax rate for people. The progressive taxation technique seeks to tax people in accordance with their wages, with low-income earners paying less in taxes than high-income earners.

OCF = [$399,744 × (1 - 0.35)] + $100,000 = $359833.6

The amount of the operating cash flow for a firm exists $359833.6.

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what is the total payroll tax expense incurred by the employer on salaries and wages paid during the quarter ended december 31?

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More information is required in order to calculate the total payroll tax expense incurred by the employer on salaries and wages paid for the quarter ended December 31.

The amount of payroll tax incurred can change depending on a number of variables, including the nation, state, and municipal jurisdictions in which the employer conducts business as well as the particular payroll tax rates that apply to certain forms of compensation. Social Security tax, Medicare tax, unemployment tax, and other state and municipal taxes are just examples of the numerous components that might be included in payroll taxes. In accordance with the applicable laws and jurisdiction, various taxes have different rates. The employer would need to determine the applicable tax rates for each tax component and apply them to the salary and benefits to determine the overall payroll tax expense.

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hich of the following options could be used to eliminate a recessionary gap? a. decrease government spending. b. decrease investment. c. increase taxes. d. increase government spending

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Out of the choices of alternatives provided above, it can be concluded that an increase in the spending made by the government can be used for eliminating the recessionary gap in the economy. Therefore, the option D is correct.

The recessionary gap, or better known as the inflationary gap, can be explained as the gap in the economy that occurs as a result of the inflation or recession in the economy. This situation in the economy can be controlled by the government authorities by the way of reducing the amount of spending that they make during a particular period of time.

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what is the difference between the FBI and the CIA

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FBI. The CIA (Central Intelligence Agency) mostly operates outside the United States to gather intelligence via a network of spies whereas the FBI (Federal Bureau of Investigation) predominantly operates within the U.S. to both gather intelligence as well as tackle federal crimes.

Answer:

The CIA (Central Intelligence Agency) mostly operates outside the United States to gather intelligence via a network of spies whereas the FBI (Federal Bureau of Investigation) predominantly operates within the U.S. to both gather intelligence as well as tackle federal crimes.

Explanation:

Explain how test-marketing can increase profits.

Answers

Answer:

Test marketing holds a lot of importance for the company. It allows

the company to test their product in a small region so as to get an

idea whether the product will work in a bigger market or not.

Through this, the company can measure the performance of the

product and can decide whether it should be released nationwide

for sale. Through this, the company can estimate the earnings that

can be earned through this product beforehand.

Explanation:

Which of the following functions would be implied authority for an apartment manager?
selling the apartment complex
selling the apartments' appliances
collecting rent from the tenants
All of the above would be included in implied authority.

Answers

The functions would be Implied authority for an apartment manager is collecting rent from the tenants.

According to the Implied authority, it is an authority that is not express or written into a contract, but it is authority an agent is assumed to have in order to transact the business for a principal.

Each partner in a business has the Implied authority to act in the name of the company. The implied authority of a partner to bind the firm conferred by this section.

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Suppose that an individual has m to spend on pizza and beer. Suppose that pizza costs p dollars per slice and beer costs q dollars per pint. The mayor is worried that Chicago's deep dish pizza is contributing to an obesity problem in the city. Therefore, he has implemented a "fat tax". After the purchase of 1 pizza (10 slices), each additional slice of pizza purchased is subjected to a tax of t dollars per slice. a. Draw the individual's budget set in the absence of the "fat tax ". What is the maximum amount of beer that he can purchase? What is the maximum amount of pizza he can purchase? b. What is the relative price of beer? c. Draw the individual's budget set after the mayor implements the "fat tax" assuming that he has enough income to purchase more than 10 slices of pizza. What is the maximum amount of beer that he can purchase now? What is the maximum amount of pizza that he can purchase now? d. What happens to the relative of price beer? Explain the intuition. e. What happens to the budget set if the individual has enough money to purchase only 6 slices of pizza.

Answers

The maximum amount of beer he can purchase will depend on the price of beer (q) and his limited income (m). The maximum amount of pizza he can purchase will be restricted to 6 slices due to his limited budget.

a. In the absence of the "fat tax," the individual's budget set can be represented as a straight line, showing the different combinations of pizza and beer he can purchase with his income.

b. The relative price of beer can be calculated by dividing the price of beer (q) by the price of pizza (p). It represents the trade-off between purchasing one unit of beer and one unit of pizza.

c. After the implementation of the "fat tax," the individual's budget set will change. The tax on additional slices of pizza will increase the effective price of pizza, making it more expensive.

d. The relative price of beer will remain the same after the implementation of the "fat tax" since the tax only affects the price of pizza.

e. If the individual has enough money to purchase only 6 slices of pizza, his budget set will be restricted, and he will have fewer options for purchasing beer.

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Suppose you have been hired as a financial consultant to Defense Electronics, Inc. (DEI), a large, publicly traded firm that is the market share leader in radar detection systems (RDSs). The company is looking at setting up a manufacturing plant overseas to produce a new line of RDSs. This will be a five-year project. The company bought some land three years ago for $4.4 million in anticipation of using it as a toxic dump site for waste chemicals, but it built a piping system to safely discard the chemicals instead. The land was appraised last week for $5.2 million. In five years, the aftertax value of the land will be $5.6 million, but the company expects to keep the land for a future project. The company wants to build its new manufacturing plant on this land; the plant and equipment will cost $31.92 million to build. The following market data on DEI’s securities is current:




Debt:
229,000 7 percent coupon bonds outstanding, 25 years to maturity, selling for 107 percent of par; the bonds have a $1,000 par value each and make semiannual payments.


Common stock:
8,700,000 shares outstanding, selling for $70.90 per share; the beta is 1.3.


Preferred stock:
449,000 shares of 4 percent preferred stock outstanding, selling for $80.90 per share and and having a par value of $100.


Market:
6 percent expected market risk premium; 4 percent risk-free rate.




DEI uses G.M. Wharton as its lead underwriter. Wharton charges DEI spreads of 7 percent on new common stock issues, 5 percent on new preferred stock issues, and 3 percent on new debt issues. Wharton has included all direct and indirect issuance costs (along with its profit) in setting these spreads. Wharton has recommended to DEI that it raise the funds needed to build the plant by issuing new shares of common stock. DEI’s tax rate is 40 percent. The project requires $1,275,000 in initial net working capital investment to get operational. Assume Wharton raises all equity for new projects externally.




a.
Calculate the project’s initial Time 0 cash flow, taking into account all side effects. Assume that the net working capital will not require flotation costs. (Negative amount should be indicated by a minus sign. Do not round intermediate calculations. Enter your answer in dollars, not millions of dollars (e.g., 1,234,567).)




Cash flow $





b.
The new RDS project is somewhat riskier than a typical project for DEI, primarily because the plant is being located overseas. Management has told you to use an adjustment factor of 1 percent to account for this increased riskiness. Calculate the appropriate discount rate to use when evaluating DEI’s project. (Do not round intermediate calculations. Enter your answer as a percent rounded to 2 decimal places (e.g., 32.16).)




Discount rate

%



c.
The manufacturing plant has an eight-year tax life, and DEI uses straight-line depreciation. At the end of the project (that is, the end of Year 5), the plant and equipment can be scrapped for $4.4 million. What is the aftertax salvage value of this plant and equipment? (Do not round intermediate calculations. Enter your answer in dollars, not millions of dollars (e.g., 1,234,567).)




Aftertax salvage value $




d.
The company will incur $6,700,000 in annual fixed costs. The plan is to manufacture 16,500 RDSs per year and sell them at $10,750 per machine; the variable production costs are $9,350 per RDS. What is the annual operating cash flow (OCF) from this project? (Do not round intermediate calculations. Enter your answer in dollars, not millions of dollars (e.g., 1,234,567).)




Operating cash flow $




e.
DEI’s comptroller is primarily interested in the impact of DEI’s investments on the bottom line of reported accounting statements. What will you tell her is the accounting break-even quantity of RDSs sold for this project? (Do not round intermediate calculations and round your final answer to the nearest whole number.)




Break-even quantity
units



f.
Finally, DEI’s president wants you to throw all your calculations, assumptions, and everything else into the report for the chief financial officer; all he wants to know is what the RDS project’s internal rate of return (IRR) and net present value (NPV) are. Assume that the net working capital will not require flotation costs. (Enter your NPV answer in dollars, not millions of dollars (e.g., 1,234,567). Enter your IRR answer as a percent. Do not round intermediate calculations and round your final answers to 2 decimal places (e.g., 32.16).)





IRR
%
NPV $

Answers

A.the initial time 0 cash flow is $28,805,000. B.the appropriate discount rate is 6.62%. C.the aftertax salvage value of the plant and equipment is $376,000. D.the annual operating cash flow from this project is $13,830,000.

a.

The initial time 0 cash flow is calculated as follows:

Initial investment:

Land cost = $5,200,000

Plant and equipment cost = $31,920,000

Initial net working capital investment = $1,275,000

Total initial investment = $38,395,000

Side effects:

Tax benefit from depreciation = $3,990,000 (calculated as ($31,920,000 - $4,400,000) / 8 * 0.4)

Sale of land at the end of Year 5 = $5,600,000

Total side effects = $9,590,000

Initial time 0 cash flow:

= Total initial investment - Total side effects

= $38,395,000 - $9,590,000

= $28,805,000

Therefore, the initial time 0 cash flow is $28,805,000.

b.

The appropriate discount rate can be calculated using the following formula:

Discount rate = Risk-free rate + Beta × Market risk premium + Risk premium for increased riskiness

Risk premium for increased riskiness = 1% of the market risk premium

Market risk premium = 6% - 4% = 2%

Discount rate = 4% + 1.3 × 2% + 1% × 2%

= 4% + 2.6% + 0.02%

= 6.62%

Therefore, the appropriate discount rate is 6.62%.

c.

The aftertax salvage value of the plant and equipment can be calculated as follows:

Book value of the plant and equipment at the end of Year 5:

= Initial cost - (Annual depreciation × Number of years)

= $31,920,000 - ($31,920,000 / 8 × 5)

= $15,960,000

Tax on sale:

= (Sale price - Book value) × Tax rate

= ($4,400,000 - $15,960,000) × 40%

= -$4,024,000 (negative because it is a tax benefit)

Aftertax salvage value:

= Sale price + Tax on sale

= $4,400,000 - $4,024,000

= $376,000

Therefore, the aftertax salvage value of the plant and equipment is $376,000.

d.

The annual operating cash flow can be calculated as follows:

Revenue:

= Quantity sold × Selling price

= 16,500 × $10,750

= $177,375,000

Variable costs:

= Quantity sold × Variable cost per unit

= 16,500 × $9,350

= $154,275,000

Fixed costs = $6,700,000

Earnings before interest and taxes (EBIT):

= Revenue - Variable costs - Fixed costs

= $177,375,000 - $154,275,000 - $6,700,000

= $16,400,000

Tax:

= EBIT × Tax rate

= $16,400,000 × 40%

= $6,560,000

Net income:

= EBIT - Tax

= $16,400,000 - $6,560,000

= $9,840,000

Depreciation:

= Plant and equipment cost / Number of years

= $31,920,000 / 8

= $3,990,000

Operating cash flow:

= Net income + Depreciation

= $9,840,000 + $3,990,000

= $13,830,000

Therefore, the annual operating cash flow from this project is $13,830,000.

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on january 1, 2024, paradise tours borrows $47,000 by agreeing to a 6%, six-year note with the bank. loan payments of $778.93 are due at the end of each month with the first installment due on january 31, 2024. Record the issuance of the installment note payable and the first two monthly payment.

Answers

Paradise Tours borrows $47,000 by signing a 6%, six-year note with the bank. Loan payments due at the end of each month are $778.93. The records for the issueance of the installment notes payable for the firtst two monthly payment are:

January 31, 2024

Notes payable       $543.93

Interest expense     $235

              Cash                         $778.93

February 29, 2024

Notes payable      $546.65

Interest expense    $232.28

             Cash                          $778.93

Notes payable is a long-term liablity indicated the money a company owes to the bank. Notes payable are due beyond 12 months up to within 5 years.

Based on the case, we kow that the bank gives loan to Paradise Tours as six-year note with amount of $47,000 and 6% interest rate. Because the interest is in per annum, we need to find the interest for the respective month.

Month 1 (Januray 2024)

For the first month, the interest due for Paradise Tours to pay is:

interest expense = $47,000 x 6% : 12

interest expense = $235

Because the monthly loan payment is $778.93, hence the notes payable paid should be the reminding of the monthly loan payment minus the interest expense of the month.

Notes payable = $778.93 - $235

Notes payable = $543.93

Month 2 (February 2024)

On the second month, the amount of notes payable owned by Pradise Tours has changed because the first month payment has taken place. The current notes payable amount is:

Reminding Notes payable = Initial notes payable - notes payable paid in month1

Reminding Notes payable = $47,000 - $543.93

Reminding notes payable = $46,456.07

The interest due for the second monthly payment should be calculated based on the reminding notes payable amount. The interest due for the second monthly payment is:

Interest expense = $46,456 x 6% : 12

Interest expense = $232.28

The notes payable paid by the second monthly payment is:

Notes payable = $778.93 - 232.28

Notes payable = $546.65

Hence, the records for the issuance of the first two monthly payment by Paradise Tours are:

January 31, 2024

Notes payable        $543.93

Interest expense    $235

              Cash                         $778.93

February 29, 2024

Notes payable       $546.65

Interest expense   $232.28

             Cash                          $778.93

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how many people are part of buy nothing groups worldwide?

Answers

Answer: 7.5 million

Explanation: current number of people 2023.


Federally-funded grants require the student to...

earn above average grades.

have a membership in a high school club.

perform volunteer work for a local community
agency.

have financial need only.

Answers

Answer:

Explanation:

have financial need only

Federally-funded grants typically require students to have financial need only, as they are designed to provide financial assistance to students who may not have the means to pay for their education. Therefore, option D is correct.

Federally-funded grants are financial assistance programs provided by the government to support students in pursuing their education. These grants are typically awarded based on financial need, considering factors such as income, family size, and assets.

They aim to ensure that students from low-income backgrounds have access to higher education opportunities. Unlike loans, grants do not need to be repaid, making them an attractive form of aid.

Federal grants include programs like the Pell Grant and the Federal Supplemental Educational Opportunity Grant (FSEOG), among others.

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One morning, you decide to go to garage sales to look for some nice furniture for your 5 year old daughter’s bedroom. At one house, you find a very nice dresser set marked for $140. You know this is a heck of a deal because similar dresser sets go for about $800 brand new. The main problem is that your wife may not like the color of the furniture so you can’t buy it without her approval. You have forgot your phone, so you need to go quickly to your house to pick up your wife so she can see the furniture. Your primary concern is that the owner might sell the furniture before you can get back. What could you possibly do to control this situation and buy the furniture if you wife approves

Answers

Answer:

Ask the owner to reserve it, or just buy it and repaint it if your wife doesnt like it. worse case scenario you can resell it for more than its worth

Explanation:

Answer:

Ask the owner if they can hold it for you and go get the wife. Its important to get the wife...happy wife. happy life.

In the circular flow model, multiple choice 1 resource markets provide for the exchange of labor and product markets provide for the exchange of goods and services. goods markets provide for the transfer of money and labor markets provide for the transfer of inputs. labor markets provide for the transfer of money and goods markets provide for the transfer of inputs. resource markets provide for the goods and services and product markets provide for the exchange of labor. b. In the circular flow model, multiple choice 2 businesses buy both goods and labor; households sell both goods and labor. businesses sell both goods and labor; households buy both goods and labor. businesses buy goods and sell labor; households sell goods and buy labor. businesses sell goods and buy labor; households buy goods and sell labor. c. In the goods and services portion of the circular flow model, there is a flow of multiple choice 3 real goods and services and a flow of output. real goods and services and a flow of money. real goods and services and a flow of labor. labor and a flow of money.

Answers

It should be noted that in the circular flow model, the resource markets provide for the exchange of labor, and product markets provide for the exchange of goods and services.

The circular flow model simply shows how money moves in society. The three main actors in the circular flow of income are the households, firms, and the government.

For example, in the model, the households give money to businesses after goods are bought. The government also taxes businesses. The businesses pay the people salaries, etc. It just shows how money moves in an economy.

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In the circular flow model, multiple choice 1 resource markets provide for the exchange of labor and

A firm using a(n) _____ essentially adopts a mass-market philosophy, viewing the market as one big market with no individual segments.

Answers

A firm using an undifferentiated target strategy is essentially adopts a mass-market philosophy, viewing the market as one big market with no individual segments.

What is target strategy?

It involves selecting potential customers that have been identified for a target market.

This people are the individual that a business wish to sell products or services..

Therefore, A firm using an undifferentiated target strategy is essentially adopts a mass-market philosophy, viewing the market as one big market with no individual segments.

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P20-2 (L01,2,3,4,5) GROUPWORK (3-Year Worksheet, Journal Entries, and Reporting) Jackson Company adopts acceptable accounting for its defined benefit pension plan on January 1, 2016, with the following beginning balances: plan assets $200,000; projected benefit obligation $250,000. Other data relating to 3 years' operation of the plan are as follows. 1170 C Instructions (a) Prepare a pension worksheet presenting all 3 years' pension balances and activities. (b) Prepare the journal entries (from the worksheet) to reflect all pension plan transactions and events at December 31 each year. (c) Indicate the pension-related amounts reported in the financial statements for 2018.

Answers

(a) Pension Worksheet: Jackson CompanyFor the Year Ended December 31, 2016Beginning PBO   $250,000Beginning Fair Value of Plan Assets   $200,000 Projected Benefit Obligation (PBO) Service Cost Interest Cost   Actual Return on Plan Assets   Benefits Paid   Ending PBO   Ending Fair Value of Plan Assets   Pension Liability/(Asset).

 Amortization of Prior Service Cost     $ 250,000     $ 16,200    ($250,000 x 6.48%)    ($8,000)    ($10,000)     $ 248,200     $ 200,000     $ (48,200)     ($8,000)     Service Cost      Interest Cost   Actual Return on Plan Assets   Benefits Paid   Amortization of Prior Service Cost    $ 20,000    ($16,980)    $12,000    ($10,000)     $ 5,500     $   5,520     ($5,480)    $   6,000     $   (80)     Service Cost     Interest Cost   Actual Return on Plan Assets  .

Benefits Paid   Amortization of Prior Service Cost     $ 22,000    ($17,095)    $22,400    ($10,000)     $   0     $ 257,705     $ 220,000     $ (37,705)     $   0     (b) Journal Entries December 31, 2016: Pension Expense 21,200       Pension Liability 21,200  December 31, 2017: Pension Expense  8,360     Actual Return on Plan Assets  8,000   Pension Liability  360 December 31, 2018: Pension Expense  7,340     Actual Return on Plan Assets  22,400   Pension Liability  8,680 (c) Pension-Related Amounts Reported in Financial Statements for 2018:Jackson Company Pension Plan Information Pension Expense         $7,340 Projected Benefit Obligation, 12/31/18         $257,705 Fair Value of Plan Assets, 12/31/18            $220,000 Pension Liability/(Asset), 12/31/18            ($37,705).

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Uma has been given the task of arranging for five-day conference for foreign delegates. In order to smooth functioning of the event, he has made two people as coordinators to take care of activities related to registration and refreshment. Identify the function of management being carried out by Uma. (a) Planning (b) Staffing (c) Organising (d) Directing

Answers

Answer:

(c) Organising

Explanation:

Personnel management can be defined as an administrative task or function which primarily involves the process of hiring employees and developing or training them to become beneficial and valuable for the growth and development of the company.

The main purpose and focus of personnel management is to provide a quality workforce necessary to successfully achieve the organizational set goals and objectives.

Organizing can be defined as a strategic process in which resources are assembled and human efforts are coordinated and then integrated into a unitary system so as to achieve organizational goals and specified objectives.

Generally, organising helps to create order in an organization by eliminating chaos, and work conflicts. Also, it enhances job specialization and responsibility sharing by creating an environment that is suitable for teamwork.

Thus, the function of management being carried out by Uma is organizing because he made two people coordinators to take care of activities related to registration and refreshment.

Which action by the government would be used in expansionary monetary policy?
a. decreasing the reserve requirement
b. raising the federal funds rate target
c. selling more bonds to the general public
d. increasing the discount rate

Answers

The most important equipment that central banks use to expand monetary coverage encompass lowering the bargain rate, growing the buy of government securities, and reducing the reserve requirement.

What happens if the government of a u . s . a . uses expansionary financial policy?

a. reducing the reserve requirement b. elevating the federal funds rate target c. selling more bonds to the conventional public d. increasing the cut price rate

Expansionary economic policy is when a central bank makes use of its equipment to stimulate the economy. That will increase the cash supply, lowers activity rates, and will increase demand. It boosts financial growth. It lowers the price of the currency, thereby decreasing the alternate rate.

What is the policy action in an expansionary economic policy to promote financial growth?

Expansionary economic coverage goals to spur monetary growth via expanded liquidity. Increased money provide promotes monetary growth. It takes place because companies and people seem to be to capitalize upon the without difficulty accessible dollars by means of task increased investments, expanding operations, and growing consumption.

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Jersey Cow Creamery sells specialty ice cream in three flavors: Rocky Road, Peanut Butter, and Fruity Tooty. It sold 15,000 gallons last year. For every five gallons of ice cream sold, one gallon is F

Answers

Jersey Cow Creamery sold a total of 15,000 gallons of specialty ice cream last year. For every five gallons of ice cream sold, one gallon is Fruity Tooty flavor. The ice cream is available in three flavors.

Jersey Cow Creamery experienced sales of 15,000 gallons of specialty ice cream in the previous year. Among the three flavors offered, namely Rocky Road, Peanut Butter, and Fruity Tooty, the sales volume indicates that for every five gallons of ice cream sold, one gallon is the Fruity Tooty flavor. This suggests that Fruity Tooty is a popular choice among customers.

The sales breakdown reveals the demand for each flavor, with Fruity Tooty being the most sought-after flavor relative to the others. By understanding the sales ratio of each flavor, Jersey Cow Creamery can make informed decisions regarding production levels, inventory management, and marketing strategies to cater to customer preferences effectively.

Analyzing sales data and identifying customer preferences allows Jersey Cow Creamery to optimize its product offerings and meet customer demands more efficiently. By ensuring a sufficient supply of the popular Fruity Tooty flavor, the company can maintain customer satisfaction and potentially increase sales revenue.

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A company made no adjusting entry for accrued and unpaid employee wages of $28,000 on December 31. This oversight would: Multiple Choice Understate net income by $28,000. Overstate net income by $28,000. Have no effect on net income. Overstate assets by $28,000. Understate assets by $28,000.

Answers

When there is no adjusting entry for accrued wages of  $28,000  then overstate net income by $28, 000. Thus, the correct answer is B.

What are adjusting entries?

A journal entry made at the conclusion of an accounting period in a company's general ledger to note any unrealized income or expenses for that period is known as adjusting entries.

When any adjusting entry for the accrued expense is not made then the net income is overstated, which means it will reflect in the balance sheet as retained earnings.

Therefore, option B overstated net income by $28,000 is appropriate to answer.

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Some firms have developed teams of people charged with developing action items from marketing information that then work with marketing decision makers to implement the action items. These groups are called

Answers

The name which is given to the teams which work with marketing information to come to a decision to implement the action items are:

Customer insights teams

What is Marketing?

This refers to the use of advertising to help to meet the customer needs and also to build trust among the customer base so that they can buy their product.

With this in mind, we can state that because teams are developed with the aim of making use of marketing information to come to an informed decision and they are called customer insight teams.

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any two importance of office resources​

Answers

Two importance of office resources are greater output and promote productivity .

What are office resources ?

All of the resources and amenities found in an office, including people, tools and supplies, furniture and equipment, cash, modes of transportation, and communication, are referred to as office resources. These resources are used to help the organization achieve its goals.

Two improtance of office resources are:Greater output is made possible because every business strives to produce as much as possible while using the fewest resources possible. Better resource utilization management can be used to accomplish such a feat.It helps to promote productivity: Office supplies aid in boosting office employees' productivity. Equipment such as furniture, machinery, and other items make work more comfortable and convenient, which improves worker productivity.

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A job may help you provide for survival, or it may help you provide for enjoyment. Which of the following expenses is an example of a survival need?

Answers

Answer:

C. Paying rent for your family's apartment

Explanation:

its called common sense

Answer:

C. Paying rent for your family's apartment

Explanation:

If you deposited $2000, withdrew no money, and earned a 3% continuously compounded annual interest for 10 years, how much money would you have in the account? You made no other deposits.

Answers

The amount of money you will have in your account after 10 years is $2,718.28 if you deposited $2000, withdrew no money, and earned a 3% continuously compounded annual interest for 10 years, and made no other deposits.

The formula for calculating the amount of money in an account with continuously compounded interest is given byA = Pert, whereA represents the amount of money in the account,P represents the initial deposit,r represents the annual interest rate, andt represents the time in years.

Since you deposited $2000 and the interest is compounded continuously at an annual rate of 3%, then you can calculate the amount of money you will have in your account after 10 years using the formula above as follows:A = PertA = $2000e^(0.03 × 10)A = $2000e^(0.3)A ≈ $2,718.28 Therefore, you will have approximately $2,718.28 in your account after 10 years.

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Human resources in the hospitality industry is responsible for ______


Answers

Answer:

keeping the customer healthy and safe and

Explanation:

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