The type of plan that translates broad strategic goals into specific goals that are relevant to a particular organizational function is known as a(n) ______ plan.

Answers

Answer 1

The type of plan that translates broad strategic goals into specific goals that are relevant to a particular organizational function is known as a(n) operational plan. What is an operational plan?

An operational plan is a document that specifies the activities and processes that will be implemented to achieve a company's strategic objectives. It is a comprehensive blueprint for how a company will conduct its operations to achieve defined objectives.

It's used to direct the company's short-term activities and can be divided into specific objectives and projects for each functional department to pursue. The operational plan is important because it guides the company's day-to-day operations by specifying the processes, personnel, and activities required to implement the strategic plan.

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Related Questions

Because a producer does not have time to respond to a change in demand during the immediate market period ____

Answers

During the immediate market period, a producer may not have sufficient time to respond to a change in demand.

In the immediate market period, producers face a short-term constraint where they are unable to adjust their production levels quickly enough to accommodate sudden changes in demand. This is mainly due to the fixed nature of their production factors, such as machinery, labor, and raw materials.

Since production cannot be easily scaled up or down in this short time frame, producers may not be able to respond effectively to shifts in demand. As a result, they might experience temporary imbalances between supply and demand, leading to potential shortages or surpluses in the market.

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grays company has the following purchases and sales during the month of august. using the fifo perpetual inventory method, what amount will be reported as cost of goods sold for the 12 units that were sold?

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Using the fifo perpetual inventory method, $240 will be reported as cost of goods sold for the 12 units that were sold.

Perpetual FIFO

The first unit of inventory purchased is assumed to be the first unit used or sold under a cost flow tracking system known as perpetual FIFO. Furthermore, this cost flow takes place in a perpetual inventory system, where inventory inflows and outflows are recorded as soon as transactions take place in the inventory records. Whether a periodic inventory system or a perpetual inventory system is utilised, the resulting charge to the cost of goods sold is the same. As a result of its ability to mirror the real movement of commodities through an organisation, perpetual FIFO is one of the most widely used cost flow tracking systems in use today.

Beginning inventory 10 items at $10 = $100 on August 1st
Purchase 20 pieces for $12 each on August 3rd for a total of $240.
6th of August Sales Twelve units were sold.

So,  $240 will be reported as cost of goods sold for the 12 units that were sold.

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Stock Y has a beta of 1.45 and an expected return of 16.3 percent. Stock Z has a beta of .90 and an expected return of 12.6 percent. What would the risk-free rate have to be for the two stocks to be correctly priced relative to each other?

Answers

Answer:

risk free rate= 6.55%

Explanation:

expected return= risk-free rate +Beta*(Market rate- risk-free rate )

Stock Y

16.3=Rf+1.45(Rm-Rf)

16.3=1.45Rm-0.45Rf

Rm=(16.3+0.45Rf)/1.45

Stock Z

12.6=Rf+0.9*(Rm-Rf)

12.6=0.9Rm+0.1Rf

12.6=0.9(16.3+0.45Rf)/1.45+0.1Rf

risk free rate=(12.6-10.11724138)/(0.279310344+0.1)

risk free rate= 6.55%

a vehicle purchased for $29,800 depreciates at a constant rate of 6%. determine the approximate value of the vehicle years after purchase. round to the nearest whole dollar.

Answers

The approximate value of the vehicle 3 years after purchase is $11,920.

To determine the approximate value of the vehicle years after purchase, we need to use the formula for straight-line depreciation:

Depreciation per year = (Cost of an asset - Salvage value) / Useful life

In this case, the cost of the vehicle is $29,800, and it is depreciating at a constant rate of 6%. Assuming a useful life of 5 years, we can calculate the annual depreciation as:

Depreciation per year = ($29,800 - $0) / 5 years = $5,960 per year

To find the approximate value of the vehicle after a certain number of years, we can subtract the total accumulated depreciation from the original cost. For example, to find the value after 3 years:

Total accumulated depreciation = $5,960 per year x 3 years = $17,880
Approximate value after 3 years = $29,800 - $17,880 = $11,920

Therefore, the approximate value of the vehicle 3 years after purchase is $11,920.

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Scenario 4:
You just got the keys to your first apartment. You also have a new credit card with a $4,000 limit and you use it to
furish your new place. Before you know it, you've bought a TV, a couch and a dining room table. When you get the credit card bill, you realize you’ve spent your full credit limit of $4,000.
the credit card bill, you realize you've spent your full credit limit of $4,000.
Does your credit score go up or down?
Why does it go up or down?
If your score goes down, how can you fix it?

Answers

Answer:

Explanation:

Scenario 1:

You want to purchase a new vehicle and you have your heart set on a brand new SUV. You take out a loan to pay for the car, but after six months you begin to fall behind on payments and incur late fees.

1. Does your credit score go up or down?

   Your Credit Card score will go down.

2. Why does it go up or down?

   It went down because you were late on your payments.

3. If your score goes down, how can you fix it?

   Pay your payments on time.

Scenario 2:

You’ve been eager to buy a new cell phone for months, and now you’re ready to make it happen. You use your credit card to purchase the phone and you set up automatic billing to pay the monthly expenses. At the end of each month, you pay the credit card bill in full.

1. Does your credit score go up or down?

   It goes up.

2. Why does it go up or down?

   You pay your bills on time.

3. If your score goes down, how can you fix it?

   It doesn't go down.

Scenario 3:

Your first semester of college, you take out a small loan to help pay for books. Despite being busy, you get a part time job. Although you don’t have to pay your loan back until you graduate, you’ve saved enough by the end of the semester and you will pay off the loan in full.

1. Does your credit score go up or down?

   Your score will go up.

2. Why does it go up or down?

   You will pay the loan back in full.

3. If your score goes down, how can you fix it?

   It doesn't go down.

The credit score of the person is going to go down because it would mean that they have no credit left.

What is a credit score?

This is a score that tells how a person is performing based on the credit that they apply for from financial services.

The credit score is going to go down because it would mean that they would be needing more credit.

If the score goes down the best way to make it rise is by making payments on time for the credit collected.

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debbie is applying for a gas card. If she gets approved, what type of credit will it most likey be?

Answers

Answer:

debt

Explanation:

Southern Rim Parts estimates its manufacturing overhead to be $396,000 and its direct labor costs to be $990,000 for year 1. The first three jobs that Southern Rim worked on had actual direct labor costs of $58,000 for Job 301, $83,000 for Job 302, and $140,000 for Job 303. For the year, actual manufacturing overhead was $434,000 and total direct labor cost was $841,000. Manufacturing overhead is applied to jobs on the basis of direct labor costs using predetermined rates. Overhead applied in each of the inventory accounts is as follows: Work-in-process inventory $ 33,640 Finished goods inventory 84,100 Cost of goods sold 218,660 Required: Prepare an entry to prorate the under- or overapplied overhead. (If no entry is required for a transaction/event, select "No journal entry required" in the first account field.)

Answers

Answer:

Southern Rim Parts

Journal Entry:

Account Title                        Debit           Credit

Work-in-process inventory  $9,760

Finished goods inventory   24,400

Cost of goods sold              63,440

Manufacturing overhead                      $97,600

To record the prorated under-applied overhead cost.

Explanation:

a) Data and Calculations:

Estimated manufacturing overhead = $396,000

Estimated direct labor costs = $990,000

Actual manufacturing overhead = $434,000

Actual direct labor costs =  $841,000

Predetermined overhead rate = estimated overhead/estimated direct labor costs = $396,000/$990,000 = $0.40 per DL

Applied overhead:

Work-in-process inventory $ 33,640

Finished goods inventory 84,100

Cost of goods sold 218,660

Total overhead applied = $336,400

Underapplied overhead = $97,600 ($434,000 - $336,400)

Prorating the underapplied overhead to:

Work-in-process inventory $33,640/$336,400 * $97,600 = $9,760

Finished goods inventory 84,100/$336,400 * $97,600 = $24,400

Cost of goods sold 218,660/$336,400 * $97,600 = $63,440

Total underapplied overhead = $97,600

The journal entry a company uses to record accrued vacation privileges for its employees at the end of the year is:.

Answers

The record of accrued vacation privileges in Journal entry will includes a Debit of Cash& Interest Expense and Credit of Notes Payable

What is a Journal entry?

The Journal entry helps to record all basic financial transaction.

In conclusion, the record of accrued vacation privileges in Journal entry will includes a Debit of Cash& Interest Expense and Credit of Notes Payable

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CAN SOMEONE PLS HELP ME!!
Aspirin is one of the most widely used drugs in the world. Although many companies make and sell aspirin, all aspirin is pretty much the same. Because aspirin is a drug, the government has some control over companies that make it.
Is this an example of perfect competition? Why or why not?

Answers

Answer:

Yes

Explanation:

Because multiple companies are fighting over who will buy theirs even thought there all the same plz mark me Bg brain

It is an example of perfect competition because the many companies are the involved they make and sell aspirin.

What is perfect competition?

The competition of the market type is the perfect competition. Because there is less competition in the market, consumers have more options for products from various brands. The result is ultimately more competitive pricing and brings a cheaper product to the consumer.

The market is the based of the consumer demand and preferences. The perfect competition was the based of the so many brands are to exist in the market. The price are the increased the consumer are the shift to another goods and services. The example of the aspirin is drug in the world are the sell and make aspirin, the companies are the fighting to the sale in the market.

As a result, the example of the perfect competition.

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Riskier asset classes, such as international equities, historically have higher returns than less risky asset classes, such as fixed interest. Does this necessarily mean that a high

allocation to riskier asset classes is appropriate for all investors? Why/why not? [2 marks]

Answers

A high allocation to riskier asset classes, like international equities, is not appropriate for all investors. This is because investors have different risk tolerance levels, investment time horizons, and financial goals.

Risk tolerance is the level of risk an investor is comfortable taking on in their portfolio. Those with a low-risk tolerance may not be willing to invest heavily in riskier asset classes, as they seek more stability in their investments.

On the other hand, investors with a high-risk tolerance might allocate more funds to riskier asset classes, like international equities, as they seek higher potential returns.

Investment time horizon is the length of time an investor plans to hold onto their investments. Investors with a short time horizon might not be well-suited for riskier investments, as they may not have enough time to recover from potential losses.

Long-term investors, however, may benefit from investing in riskier asset classes, as they have more time to ride out market fluctuations.

Lastly, financial goals play a role in determining the appropriateness of investing in riskier asset classes. Investors with conservative financial goals might prefer a lower allocation to riskier investments, while those with aggressive financial goals may seek higher exposure to riskier asset classes.

In summary, a high allocation to riskier asset classes like international equities is not appropriate for all investors, as it depends on their risk tolerance, investment time horizon, and financial goals.

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A truck was purchased for $180,000 and it was estimated to have a $36,000 salvage value at the end of its useful life. Monthly depreciation expense of $3,000 was recorded using the straight-line method. The annual depreciation rate is Group of answer choices

Answers

Answer:

the annual depreciation rate is 25%

Explanation:

The computation of the depreciation rate is shown below:

= Yearly depreciation ÷ (Purchased cost - salvage value)

= ($3,000 × 12 months) ÷ ($180,000 - $36,000)

= $36,000 ÷ $144,000

= 25%

Hence, the annual depreciation rate is 25%

we simply applied the above formula

Which functionality would you include in the product category of the marketing mix?

Answers

In the marketing mix, product is one of the core components, alongside price, promotion, and place.

What is marketing mix?

The marketing mix is a framework that helps businesses to develop a strategic approach to marketing by focusing on four key elements: product, price, promotion, and place. Product refers to the actual goods or services that a business offers, while price refers to the amount customers pay for those offerings. Promotion encompasses all of the activities a business uses to market its products, including advertising, sales promotions, and public relations. Place refers to the distribution channels through which a business sells its products, such as physical stores or online marketplaces. By considering each of these elements and how they interact with one another, businesses can create effective marketing strategies that meet the needs of their target customers and drive sales.

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Difference between training and exercise​

Answers

Explanation:

For athletes and people with a definite performance objective in mind, Training is necessary. Training is physical activity performed for the purpose of satisfying a long-term performance goal, and is therefore about the process instead of the workouts themselves.

Answer:

Training is physical activity performed for the purpose of satisfying a long-term performance goal, and is therefore about the process instead of the workouts themselves

Exercise is a subset of physical activity that is planned, structured, and repetitive and has as a final or an intermediate objective the improvement or maintenance of physical fitness. Physical fitness is a set of attributes that are either health- or skill-related.

Explanation:

have a goo day/night

may i please have a branlliest

the magnitude of operating leverage for perkins corporation is 4.5 when sales are $100,000. if sales increase to $110,000, profits would be expected to increase by what percent? a. 4.5% b.14.5% c.45% d.10%

Answers

It would be anticipated that the profit would rise by 45%. The appropriate response to the given question is option (c).

What is Operating Leverage?

The percentage of a company's cost structure that is made up of fixed expenses as opposed to variable costs is measured by operating leverage. A corporation is said to have more operating leverage if its fixed expenses are higher than its variable costs.

Magnitude of operating leverage= 4.5

Old sales= $100000

New sales= $110000

Percentage increase in sales:

(New-old)/old = (110,000-100,000)/100,000

                       = 10%

Consequently, a percentage rise in profit might be anticipated:

sales percentage growth times the degree of operational leverage

                        = 10% * 4.5

                        = 45%

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Question 2(Multiple Choice Worth 5 points)
(02.06 MC)
In general, what kind of people earn the most money?
O People with skills that are in high demand and high in supply
O People with skills that are in high demand but low in supply
O People with skills that are in low demand and low in supply
People with skills that are in low demand but high in supply

Answers

Ans: people with skills that are high in demand but low in supply

They earn the most money since skills also follow the law of supply and demand, so consumers are willing to pay more due to low supply

Software that can help business owners and individuals manage their finances, track expenses for taxes, and highlight potential errors in bank and investment accounts falls under the general category of _____ programs.

A)addition
B)IRS
C)accounting
D)inventory

Answers

C) Accounting is correct answer

For Cindy’s position as the school nurse, she is required to keep her CPR and first aid certifications up to date. She organized a CPR and first aid course at the elementary school where she works. During the course, students are encouraged to practice CPR on dummies. As Cindy was doing her practice chest compressions, she sprained her wrist. Cindy visited the doctor, and he prescribed her physical therapy for her wrist. Which party is responsible for paying Cindy’s medical bills?

Answers

Answer:

the school where Cindy works

Explanation:

According to the rules created by Occupational Safety and Health administration,  incidents that occurred toward the employees within the workplace environment or employer's premises are presumed to be work related.

Since Cindy sprained her wrists during her job, this can be related as a work-related injury or illness. Because of this, the employer will be the one that is responsible in paying Cindy's medical Bill. In this case, the employer is the school.

FILL IN THE BLANK. Giving hr managers full control access to files in a folder called hr policies while giving hr representatives read-only access to the files in the same hr policies folder is an example of ___ access controls

Answers

Giving HR managers full control access to files in a folder called HR policies while giving HR representatives read-only access to the files in the same HR policies folder is an example of role based access controls.

What is role based access control?

It is a term in computer system security which means giving the right access to the authorized users only. The role based access control restricts the access to the system for unauthorized users, so it secures the system from unwanted changes. The role based access control involves certain permission settings and privileges based on what is the role of the users and whether the user is an authorized personnel to perform any change to the system or data.

Your question is incomplete, but most probably the answer choice were:

SharedManagedSecurityRole based

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What is the biggest business in the world right now and why.

Answers

Answer:

Apple

Explanation:

It is worth the most money. It is worth 2 trillion dollars.

Answer:

anime

Explanation:

an anime? jus cu.z i luv anime

Which describes the qualifications for someone in Law Enforcement Services?
O Communication skills for interviewing citizens, and confidence in challenging criminal behaviour.
O Knowledge of medical procedures, and emergency room codes.
O Knowledge of architectural concepts and bulidng plans.
O High awareness of ocean practices for in water rescue

Answers

Answer: Communication skills for interviewing citizens, and confidence in challenging criminal behaviour.

Explanation:

A person working in law enforcement needs to be able to convince citizens that they are working in their best interest. They need to know how to communicate effectively with people so as to get information from them and build trust.

They should also be brave enough to confront crime when needed because their main purpose is to keep people safe.

Answer:

A

Explanation:

Cuz god. And i meant to not capitalize the G.

assume the bid rate of a new zealand dollar is .33 while the ask rate is .335 at bank x assu,e the bid rate of the new zealadn dollar is .32 where the ask rate is ..325

Answers

The bid rate of the new zealadn dollar is .32 where the ask rate is ..325. The amount you end up with will be $15,384.62 more than the $1,000,000 started with.The rate is $ 1,000,000.

We exchange 1 New Zealand dollar, which may be purchased by = 1,000,000/0.325 NZ dollars, for $0.325 from Bank Y and $0.33 from Bank X. Gain on $1,000,000 of $3,076,923.08 is $3,076,923.08(0.33 - O.325) = $15,384.62. As a result, you will end up with an additional $15,384.62 to the $1,000,000 you started with.First, we must convert $1,000,000 to NZ dollars using the formula below. in New Zealand Amount in US dollars equals $1,000,000/$0.3249 per Canadian dollar. Amount in New Zealand dollars $ = NZ$ 3,077,870.11.Sell the funds at Bank X now.Dollar amount after sale equals New Zealand dollar amount. Dollars available after the transaction divided by the bid rate at the bank is NZ$3,077,870.11 divided by $0.3324 per NZ. Dollar amount that remains after the transaction is $1,023,084.03 Determine the arbitrage profit now. Arbitrage gain = $1,000,000 - $1,023,084.03 Total arbitrage gain: $23,084.03.Arbitrage gain is $23,084.

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Jennifer Rodriguez plans to attend graduate school in 5 years. She thinks that she will need a total of $32,000 to pay for school, and she wants to save money each month to reach her goal. What type of computation should she use?

Answers

Answer:

"Future value of an annuity" is the appropriate solution.

Explanation:

The future amount of an annuity seems to be the interest or price of a collection of additional payments throughout the aggregate beyond a certain point of time, considering a better rate of interest, or dividend yield. The higher the demand, the greater the potential quality of the investment account.

Crest toothpaste has selected new moms as their target market. In the process of positioning their new product BabySafeToothpaste, Crest will adjust its marketing mix variables in order to give the target market Group of answer choices More features than the competition offers. A more flexible supply chain strategy A perceptual map of the toothpaste product category A clear, distinctive, and desirable understanding of BabySafe Toothpaste relative to competing products. Lower prices than the competitors offer

Answers

Answer:

ok

Explanation:

Crest will adjust its marketing mix variables in order to give the target market : A clear, distinctive, and desirable understanding of BabySafe Toothpaste relative to competing products.

Marketing mix variables

Crest will make use of product differentiation for the target market by making use of  different marketing mix activities such as:

AdvertisingProduct features

As this will enables  to help consumers to know that the product is different and better than  other competing products in the market.

Therefore Crest will adjust its marketing mix variables in order to give the target market : A clear, distinctive, and desirable understanding of BabySafe Toothpaste relative to competing products.

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If an engine has a Base Timing of 10° BTDC, but is currently firing at 5°, which is it

Answers

Based on the principle of starting engine, the correct answer is turbocharged engine

Turbocharged engine

Starting a turbocharged engine, the timing is reduced to compel the peak starting pressure later in the combustion stroke.

In conclusion, we can conclude that the correct answer is turbocharged engine.

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the carlile family wants to begin savings for their child's college. they begin contributing $5000 per year at the end of this year. they will continue contributing to the account until their daughter goes to college in 16 years. however, the carliles fell on some bad financial luck in year 4, and only year 4, and are not able to make the usual $5000 contribution. using an interest rate of 4.60%, how much will they have accumulated in their child's college fund at the end of 16 years?

Answers

If the family begin contributing $5000 per year, then the value of the fund at the end of year 16 will be $105940.

The annual contribution amount is = $5000,

The interest-rate is = 4.60% = 0.046,

So, number of contribution is = 16;

The FV(Ordinary Annuity) is = C×((1+i)ⁿ-1)/i),

Where, C = $5000 (cash flow per period),

i = interest rate (4.60%),

n = 16 (number of payments),

So, FV (Ordinary Annuity) = 5000 × ((1 + 0.0460)¹⁶ - 1)/0.046),

= $114517.17

Now, the future value of the 4th Year contribution can be calculated as :

⇒ Contribution Amount(P) = $5000,

⇒ Time(n) = 16 - 4 = 12 years,

⇒ Rate Of Interest (r) = 4.60% = 0.046,

The formula for the future value is = P × (1 + r)ⁿ,

⇒ 5000 × (1 + 0.046)¹²,

⇒ $8577.30,

So, the future value of $5000 is $8577.30,

The Value Of the fund at the end of year 16 can be calculated as :

Value of Fund is = FV(Ordinary Annuity) - Future Value of $5000 ;

Substituting the values from above ,

We get,

⇒ $114517.17 - $8577.30 ,

⇒ $105939.87

≈ $105940

Therefore, the value of the fund will be $105940.

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Paulette, Camille, and Hortense each own wineries in France. They produce inexpensive, mass-market wines. Over the last few years, such wines sold for 7 euros per bottle, but with a global recession, the price has fallen to 5 euros per bottle. Given the information below, calculate each winemaker's profit. Winemaker Fixed Costs Variable Costs Recession Revenues Profits Paulette 50,000 80,000 120,000 Camille 100,000 40,000 70,000 Hortense 200,000 250,000 200,000

Answers

The each winemaker's profit is 70000 and -250000 for Camille and Hortense respectively and Paulette's profit is - 10000.

Profit is the amount that the company earns over the cost of the production they have used in the business

Elaborating:

For Paulette it is 120000-50000-80000= -10000

So this is calculated by deducting fixed and variable cost from revenue

Same will be for other two mentioned.

-70000 and -250000 for Camille and Hortense respectively

Variable costs:

Costs that fluctuate in response to changes in the quantity of a product or service produced by a company are referred to as variable costs.The sum of marginal costs for all units produced constitutes variable costs. They can also be regarded as standard expenses. The total cost is made up of two parts: fixed costs and variable costs.

Costs that do not change when production or sales volumes increase or decrease are known as fixed costs. This is on the grounds that they are not straightforwardly connected with assembling an item or conveying a help. Consequently, fixed costs are regarded as indirect costs.

Question incomplete:

Paulette, Camille, and Hortense each own wineries in France. They produce inexpensive, mass-market wines. Over the last few years, such wines sold for 7 euros per bottle, but with a global recession, the price has fallen to 5 euros per bottle. Given the information below, calculate each winemaker's profit. Winemaker Fixed Costs Variable Costs Recession Revenues Profits Paulette 50,000 80,000 120,000 Camille 100,000 40,000 70,000 Hortense 200,000 250,000 200,000

A. Paulette -10,000, Camille = -70,000, Hortense = -250,000

B. Paulette 40,000, Camille = 30,000, Hortense = -50,000

C. Paulette 70,000, Camille = -30,000, Hortense = 0

D. Paulette = 90,000, Camille = 10,000, Hortense = 150,000

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Imagine that you are working at a clothing or grocery store, and answer the questions below about inventory and merchandising for the store.

Answers

Answer:

B. To help determine how much inventory to keep in stock of each item in the outlet, I would consider two factors. The first one is the certain amount of each item type in the first week - determining the number of each items input in the stock to be the original data to compare. The second is the number of items sold and still on stock. This would help determine invetory to keep in stock.

B. If I was running a store, I would prefer to use the pick up at store buying method. There would be cashier at the register to check the products and bills as well as receive money from the customers. This is the traditional and still always the most common methods. As the fact that people nowadays still like shopping in physical store, this is definitely the most effective method.

C. The inventory control method I would use when operating a store is to adopt modern technology like bar code to control the inventory stock. By using this technology, I would need to consider the bar code for each type and establishing software to automatically input the information about the number of items sold and in stock. With inputting the number of total items at the beginning and giving each item its corresponding bar code, the sales or number of stock would be tracked by the software.

D. An example of two commodities to be displayed together at store is pencil and rubber. Pencil and rubber undoubtedly are complementary products of each other. Complementary products are made to be used together. Each item requires the other for their complete uses. This is also the case of Rubber and Pencil and each item would not be fully used without the presence of the other.

Explanation:

Lisi Crichton operates a variety store. Her brother does custom welding and made some racks to hold videos. Lisi gave her brother $5,000 cash and did not get a bill. A similar rack was on display at a department store for $1,000. You are told to book an expense on the company financial statement for $5000. What will you book the amount for?

Answers

Answer:

$1,000

Explanation:

Fixed assets must be recorded at historic cost or purchase value. Their valuation is not affected by changes in market values, e.g. land might appreciate over time, but its historic cost will be used for accounting purposes.

In this case, Lisi doesn't have a bill to show the price of the rack, and since she paid in cash, she has no way of proving what she actually paid for it. In this case, in order to record the purchase of the rack you must use the fair market value of similar racks.

Imagine if someone could just say that they purchased things at X price but didn't get a bill, soon people would be recording buying pencils at $500 each because they are gorgeous and perfectly crafted.

Which of the following is not a question business executives will ask as part of their strategic planning?

When will our competitors succeed?
What do we do?
For whom do we do it?
What are our strengths and weaknesses?

Answers

I’d say “What do we do?”

Which of the following is a limitation of the AWS Simple Monthly Calculator?A. You can calculate resource use for only one service at a time.B. Not all AWS services are included.C. The pricing is seldom updated and doesn't accurately reflect current pricing.D. You're not able to specify specific configuration parameters.

Answers

Not all AWS services are included is a limitation of the AWS Simple Monthly Calculator, option B.

The AWS Simple Monthly Calculator is a tool that allows you to estimate your monthly AWS bill based on the usage of various AWS services. However, not all AWS services are included in the calculator, which can be a limitation for users who require cost estimates for services that are not listed. It is important to note that the calculator is updated regularly to reflect changes in AWS pricing, so option C is not a correct limitation. Additionally, while options A and D may be minor limitations, they are not the main limitation of the AWS Simple Monthly Calculator.

Therefore, the correct option is B. Not all AWS services are included.

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