The risk matrix in Figure 2 has a weakness in its limited number of categories for frequency and severity. To address this, an expanded scale with more categories can be used to provide a more accurate assessment of risks. This would allow for better decision-making and prioritization of risk mitigation efforts.
Hazard Log:
1. Hazard Description: Interface failure between signaling system and rolling-stock
2. Cause: Communication breakdown or malfunctioning of signaling system or rolling-stock
3. Consequence: Potential collision or derailment
4. Initial Frequency: Occasional (C)
5. Initial Severity: Critical (2)
6. Initial Risk Rating: R3
7. Safeguard: Regular maintenance and inspection of signaling system and rolling-stock, effective communication protocols
8. Residual Frequency: Occasional (C)
9. Residual Severity: Critical (2)
10. Residual Risk Rating: R3
One weakness of the risk matrix in Figure 2 is that it uses a limited number of categories for both frequency and severity. The matrix only provides six categories (A to F) for frequency and four categories (1 to 4) for severity. This limited categorization may not adequately capture the nuances and variations of different risks, leading to potential oversimplification or misinterpretation of risk levels. To address this weakness, a possible solution is to expand the number of categories in the risk matrix to provide a more granular assessment of risks. For example, instead of four severity categories, a scale from 1 to 10 can be used, allowing for more precise evaluation of the severity of consequences. Similarly, the frequency categories can be expanded to provide a more comprehensive range of possibilities. This would result in a more nuanced and accurate representation of risk levels, facilitating better decision-making and prioritization of risk mitigation efforts.
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Is competition good for business?
Is it good for consumers?
Answer:
yes and yes
Explanation:
Define the word extractive!
Thanks!
Pleasing or appealing to the senses
The SEC rule that requires companies to share information with everybody at the same time, instead of a select few, is known as regulation FD which stands for?
The rule you are referring to is known as the step transaction principle. This prevents partners from artificially segregating related transactions to evade tax laws and ensures that the true content and commercial realities of the transactions are taken into account.
An SEC rule that requires companies to make information available to all market participants at the same time, rather than selectively sharing it with a select few, is called "Regulation FD." FD stands for Fair Disclosure.This regulation was introduced to promote fair and equal access to information in the securities market.
Its purpose is to prevent companies from providing material non-public information to a limited group of individuals and to ensure that all investors have equal access to information that could influence their investment decisions.
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A good without any close substitutes is likely to have relatively demand, since consumers cannot easily switch to a substitute good if the price of the good rises.
It should be noted that good without any close substitutes is likely to have relatively inelastic demand, this is because, consumers cannot easily switch to a substitute good in case there is an increase in price of the good.
Since the goods doesn't have close substitute, then change in price will not really affect the quantity demand because consumer doesn't really have other options as substitutes.
What is inelastic demand ?An inelastic demand can be regarded as one whereby a change in quantity demanded is small as a result of change in price is small.
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How would the oxidation-reduction chemistry of both the voltaic cell and the electrolytic cell be combined in the chemistry of rechargeable cells
In rechargeable cells, oxidation-reduction chemistry plays a crucial role in both voltaic and electrolytic cells. A voltaic cell generates electricity through spontaneous redox reactions, while an electrolytic cell utilizes electrical energy to drive non-spontaneous redox reactions. Rechargeable cells, such as lithium-ion batteries, can alternate between these two modes. During discharge, the voltaic cell's redox reactions produce electrical energy. When recharging, the electrolytic cell reverses these reactions by applying an external voltage, restoring the battery's original state. This seamless combination of voltaic and electrolytic cell processes enables rechargeable cells to efficiently store and release energy through redox chemistry.
Rechargeable cells combine both oxidation-reduction chemistry of voltaic and electrolytic cells. Like a voltaic cell, rechargeable cells use a spontaneous chemical reaction to produce electrical energy. However, they are also like an electrolytic cell in that they can be reversed by applying an external electrical current to restore the reactants. This means that rechargeable cells can function as both voltaic and electrolytic cells, depending on whether they are discharging or recharging. During discharging, the cell functions as a voltaic cell, while during recharging, it functions as an electrolytic cell. This unique combination of chemistry enables rechargeable cells to be reused multiple times, making them highly efficient and cost-effective.
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the theory of monopolistic competition predicts that in long-run equilibrium a monopolistically competitive firm will:
In long-run equilibrium, a monopolistically competitive firm will produce at a level where marginal revenue equals marginal cost, but the price charged will be higher than the marginal cost.
This is because a monopolistically competitive firm has some market power due to product differentiation, but faces competition from other similar firms. As a result, the firm will not be able to charge a price that exceeds its competitors, but will also not be forced to lower its price to equal its marginal cost. The firm will also operate with a smaller scale of production than a perfectly competitive firm due to its lower efficiency.
he theory of monopolistic competition is based on the assumption that firms in the industry produce differentiated products, resulting in imperfect competition. In the short run, a monopolistically competitive firm can earn positive economic profits, but in the long run, new firms will enter the industry, increasing competition and driving down profits. The firm will continue to produce where marginal revenue equals marginal cost, but the price charged will be higher than the marginal cost, allowing the firm to earn a smaller profit margin. This is because the firm has some market power due to product differentiation, but faces competition from other similar firms. The firm will also operate with a smaller scale of production than a perfectly competitive firm due to its lower efficiency. Overall, in the long run, a monopolistically competitive firm will earn zero economic profit and produce at a level where marginal revenue equals marginal cost, with a price higher than marginal cost due to its market power.
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Knowledge check 01 hawley company uses the direct method of reporting cash flows from operating activities. hawley sold land with a cost of $8,000. the company reported a gain on the sale of the land in the amount of $2,000. what was the amount of cash collected from the sale of the land
The cash collected from the sale of land is equal to the cost of the land plus the gain on the sale of the land. Thus, the amount of cash collected is equal to $10,000.
What do mean by sale?A sale is a transaction among or extra events wherein the purchaser gets tangible or intangible goods, services, or belongings in change for money.
here, the amount of cash collected from sale of land is equal to $10,000 that is $8,000(cost) plus $2000 (gain).
Thus, Thus, the amount of cash collected is equal to $10,000.
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Taylor Swift Corporation purchases a patent from Salmon Company on January 1, 2020, for $54,000. The patent has a remaining legal life of 16 years. Taylor Swift feels the patent will be useful for 10 years. Prepare Taylor Swift's journal entries to record the purchase of the patent and 2020 amortization. Assume that at January 1, 2019, the carrying amount of the patent on Taylor Swift's books is $43, 200. In January, Taylor Swift spends $24,000 successfully defending a patent suit. Taylor Swift still feels the patent will be useful until the end of 2026. Prepare the journal entries to record the $24,000 expenditure and 2019 amortization.
A) The journal entries to record the purchase of the patent and its 2020 amortization for Taylor Swift are as follows:
January 1, 2020 Debit Patent $54,000
Credit Cash $54,000
To record the purchase of the patent.December 31, 2020
Debit Patent Amortization Expense $5,400
Credit Accumulated Amortization $5,400 ($54,000/10)
To record the amortization expense for the year.B) The journal entries to record the $24,000 expenditure and 2019 amortization for Taylor Swift are as follows:
January 1, 2020 Debit Patent $24,000
Debit Cash $24,000
December 31, 2020 Debit Patent Amortization Expense $6,720
Debit Accumulated Amortization $6,720
Data and Calculations:A) Cost of patent = $54,000
Estimated useful life = 10 years
B) Carrying value of patent = $43,200
Cost of defending patent = $24,000
Transaction Analysis:A) January 1, 2020 Patent $54,000 Cash $54,000
December 31, 2020 Patent Amortization Expense $5,400 Accumulated Amortization $5,400 ($54,000/10)
B) January 1, 2020 Patent $24,000 Cash $24,000
December 31, 2020 Patent Amortization Expense $6,720 Accumulated Amortization $6,720 ($43,200 + $24,000/10)
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Answer:
Her journal entries in 2020 would be Folklore & Evermore Lyrics
Explanation:
yes
if the correlation coefficient between annual portfolio returns is actually 0.3, what is the covariance between the returns?
The annual covariance between the returns of the S&P 500 and the hedge fund, assuming a correlation coefficient of 0.3, is 0.042.
In finance, covariance measures the degree to which two assets move in relation to each other. It is calculated as the expected value of the product of the deviations of each asset's return from its expected value. In this scenario, Greta is considering investing in two portfolios, the S&P 500 and a hedge fund, and is trying to determine the covariance between their returns.
Given the information provided, the S&P 500 has a risk premium of 5% per year with a standard deviation (SD) of 20%, while the hedge fund has a risk premium of 10% with an SD of 35%. The correlation coefficient between their annual returns is assumed to be 0.3. To calculate the annual covariance, we can use the formula:
Covariance = Correlation coefficient x SD of portfolio 1 x SD of portfolio 2
Plugging in the values, we get:
Covariance = 0.3 x 0.20 x 0.35 = 0.042
Therefore, the annual covariance between the returns of the S&P 500 and the hedge fund is 0.042.
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Complete question:
Greta, an elderly investor, has a degree of risk aversion of A = 3 when applied to return on wealth over a one-year horizon. She is pondering two portfolios, the S&P 500 and a hedge fund, as well as a number of one-year strategies. (All rates are annual and continuously compounded.) The S&P 500 risk premium is estimated at 5% per year, with a SD of 20%. The hedge fund risk remium/s estimated at 10% with a SD of 35%. The returns on both of these portfolios in any particular year are uncorrelated with its own returns in other years. They are also uncorrelated with the returns of the other portfolio in other years. The hedge fund claims the correlation coefficient between the annual returns on the S&P 500 and the hedge fund in the same year is zero, but Greta is not fully convinced by this claim.
If the correlation coefficient between annual portfolio returns is actually 0.3, what is the covariance between the returns? (Round your answer to 3 decimal places.) Annual covariance
A telemarketing salesperson makes a series of telephone calls, some of which (successful calls) result in a sale, while others (unsuccessful calls) do not. The salesperson must fulfill a daily quota of 5 successful calls. On a given day, the number Y of unsuccessful calls made before this quota is fulfilled follows this particular negative binomial distribution: Y∣θ∼NegBinomial(θ,m=5) in the notation of BSM, Appendix A.1. Here, 0<θ<1, but θ is otherwise unknown. (a) [1 pt] Considering this scenario, describe briefly in words what θ represents, in practical terms. (b) [1 pt] If it were true that θ=0.2, what would be the expected total number of calls the salesperson would need to make (including both the successful and unsuccessful calls) to fulfill the daily quota? (c) [2 pts] Yesterday, the salesperson made y=20 unsuccessful calls before fulfilling the quota. Give an expression for the likelihood function of θ (up to proportionality) based on y. (d) [2 pts] Assume a uniform ("flat") prior for θ. Using the likelihood of the previous part, derive an expression for the posterior density (up to proportionality). (e) [2 pts] Identify the posterior distribution corresponding to the density you derived in the previous part. (Name it and specify the values of its constants.)
The value θ in the context of the telemarketing scenario represents the probability of a single unsuccessful call before making a successful sale. If θ=0.2, the expected total number of calls the salesperson would need to make to fulfill the daily quota would be 30, including both successful and unsuccessful calls.
In this scenario, the negative binomial distribution is used to model the number of unsuccessful calls made before achieving the quota of 5 successful calls. The parameter θ represents the probability of a single unsuccessful call.
If θ=0.2, it means that there is a 20% chance of an unsuccessful call before making a sale. To determine the expected total number of calls required to fulfill the quota, we need to consider both successful and unsuccessful calls.
The expected number of unsuccessful calls can be calculated using the formula for the mean of a negative binomial distribution: E(Y) = m(1 - θ)/θ, where m is the quota (5 successful calls).
In this case, E(Y) = 5(1 - 0.2)/0.2 = 25/0.2 = 125.
Since we're interested in the total number of calls (successful and unsuccessful), we add the number of successful calls to this expected number of unsuccessful calls. Therefore, the expected total number of calls needed to fulfill the daily quota is 5 + 125 = 130.
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if you invest $15,000 in a bank account that pays 6% interest. how much will you have in your account in 10 years g
After 10 years, $15,000 invested inside a bank account earning 6% interest will have grown to $24,964.27.
This is due to compound interest's strength. Compound interest is when interest is computed on a higher balance after the principal and interest on the initial investment have been added together.
Your initial $15,000 investment will have increased to $24,964.27 after 10 years if compounding at the a rate of 6%. It's vital to keep in mind that this is presuming that there be no further contributions or withdrawals during the 10-year term. Also, depending on how frequently the account is compounded, the actual amount gained may change.
To talk about your investing possibilities and goals, it is always a worthwhile endeavor to speak with a financial counsellor.
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Sean’s mother had to make an emergency purchase of a new tire because her tire went flat while she was traveling to the store. She is not sure how much money she has in her checking account. Which method of payment should she use to be financially responsible?
She should pay by telephone with her debit card.
She should pay with a debit card.
She should pay with a credit card.
She should pay with a check.
Answer:
c. She should pay with a credit card.
Explanation:
Credit cards are basically loans that the banks give to the customer to use and pay back before the due date.
Now if Sean's mother does not know how much money she has, she must use the credit card because to be financially responsible and pay the type services their due amount.
Later she can check her account details and make payments to the bank as per requirement.
Explanation:
The most financially responsible option for Sean's mother would be to pay with a debit card. The correct option is B.
Why debit card is better than cash?You can carry out purchases using a debit card rather than scrambling for cash, looking through your pockets or handbag for exact change, writing a check, or visiting an ATM. It's also more convenient than ever thanks to the increase in companies accepting debit card payments.
This is because a debit card transaction deducts the payment directly from her checking account, so she can only spend the money she actually has available. This can help her avoid overspending or going into debt.
Paying by telephone is also a convenient option, but it is important for Sean's mother to make sure she is using a secure and trusted payment system to protect her personal and financial information.
Using a credit card or writing a check are also options, but they may not be as financially responsible in this situation. With a credit card, Sean's mother would be borrowing money and may incur interest charges if she doesn't pay the balance in full. Writing a check may take longer to process and may not be accepted by all tire shops.
Thus, the ideal selection is option B.
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if you wanted to take the survey to be included in the next revision of the strong interest inventory, which requirements would you have to fulfill?
The strong interest inventory is vital in helping individuals identify their work personalities and it's available at skillsone.
The strong interest inventory refers to a career self-assessment tool. The strong interest inventory is used by career development specialists in measuring the interests of their clients and to help them to choose a career.
The strong interest inventory test helps people match their interests with potential career, educational, and leisure activities by using their preferences in different areas.
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jupiter corporation has 1.70 million shares outstanding and debt that leads to annual interest payments of $1.53 million. the corporate tax rate is 25%. calculate jupiter's earnings per share (eps) if earnings before interest and taxes ebit) is 4.59 million? answer:$
With Interest payments of $1.53 million, the corporate tax rate is 25% and earnings before interest and taxes ebit) is 4.59 million jupiter's earnings per share (eps) is 1.53 * 0.25 =3825000. 4.59/ 3.82 = 1.2
The profit of a corporation is divided by the number of outstanding shares of its common stock to arrive at earnings per share (EPS). The resultant figure is used to gauge a company's profitability. It is typical for businesses to publish EPS that has been adjusted for unusual expenses and possible share dilution.
A company's net income is subtracted from any preferred dividends before being divided by the number of outstanding shares to arrive at its earnings per share (EPS). A company's profit for the period is equal to net income less preferred dividends, which is the amount of money left over in a reporting period after all cash and non-cash expenses are subtracted.
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If you are sure that you will be able to pay off the balance of your credit card bill in full each month, you should consider:
A) getting two credit cards, so you always have a line of credit open for use.
B) raising your borrowing limit on your credit card so you can spend more
C) only credit cards that offer a low APR
D) only credit cards that offer zero annual fees even if the APR is high.
The answer is D, I jus took the quiz so you can trust this answer
When an individual is sure that they will be able to pay off the balance of your credit card bill in full each month, Then it is advisable for the person should consider only using credit cards that offer zero annual fees even if the APR is high.
For better understanding let's explain the terms
Credit cards are often offered by financial companies to its customers for withdrawal of their money from their account. APR is simply known as annual percentage rate. It is the annual interest rate that is charged for using credit.The removal or no annual fee is better for an individual who can pay their credit card bill each month.From the above we can therefore say that the answer When an individual is sure that they will be able to pay off the balance of your credit card bill in full each month, Then it is advisable for the person should consider only using credit cards that offer zero annual fees even if the APR is high, is correct
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4. Noah paid all of his bills and put a bit of money in savings for the month. He has a little bit of money left-over to spend on going shopping or going out with friends. This left over
money is also known as:
gross pay
disposable income
Insurance
debt
Answer:
Disposable Income
Explanation:
dis·pos·a·ble in·come
/dəˈspōzəbəl ˈinˌkəm,dəˈspōzəbəl ˈiNGˌkəm/
Learn to pronounce
noun
income remaining after deduction of taxes and other mandatory charges, available to be spent or saved as one wishes.
"the rents of tenants in work reached 21 percent of disposable income"
Answer:
the answer is disposable income
Explanation:
Planing is the primary function of management.discuss
Explanation:
it is a primary function of management because it help in making the business and it makes it easier for the employees and everyone involved in the business in the workforce to see what is going to happen in the business and it's important for making decisions and such as trading and different types of that can a decision so it can also make it easier for the employees and the whole business to run smoothly because if you have a plan for everything then you can easily basically just you know work according to your needs and you can just flourish as a business
For many years the aluminum company of america (alcoa) controlled most of the world's supply of high quality bauxite, the ore needed to produce aluminum. what type of entry barrier was responsible for alcoa's position in the aluminum industry
Alcoa's position in the aluminum industry was due to the presence of high entry barriers.
Specifically, the control over the world's supply of high-quality bauxite served as a significant barrier to entry for potential competitors. It allowed Alcoa to achieve economies of scale and cost advantages, making it difficult for new entrants to compete effectively. Additionally, Alcoa had significant control over the industry's production and distribution channels, further solidifying its market dominance.
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Component procedures may authorize DoD Governmentwide Commercial Purchase Card Ordering Officers to make purchases up to the simplified acquisition threshold in which three of the following cases?
1. Using Simplified Acquisition Procedures above or below the micro purchase threshold against Federal Supply Contract vehicles
2. At or below the micro purchase threshold from any vendor
3. At or below the micro purchase threshold against Federal supply Schedule contracts, FedMall, or other ordering systems that are authorized in component procedures
4. Above or below the micro purchase threshold against contract vehicles issued for the component by a contracting officer that contain a provision authorizing order and payment by the Governmentwide Commercial Purchase Card
Component procedures may authorize DoD Governmentwide Commercial Purchase Card Ordering Officers to make purchases up to the simplified acquisition threshold in option 1, 3 and 4.
What is the Simplified Acquisition Threshold?The simplified acquisition threshold (SAT), which in federal acquisition is seen or is one that is expressed as the anticipated award value of a contract, is the financial number above which contracting officers are instructed to solicit and award contracts using streamlined methods.
Note that the Commercial Purchase Card for the Government as a Whole - The Purchase Card is used as a convenient way to spend money while buying products and services. It is given to approved agency employees and resembles a commercial credit card in nature. It is not the same as the Government Travel Card.
Therefore, in context of the above, one can say that a program that manages a component is known as a component procedure (or procedure). A component procedure may be used to install, remove, or manage a component.
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what is 1+1 its my homework
Answer:
2 :D lol
Explanation:
what steps are involved in the accounting portion of the procurement process?
Steps that are involved in the accounting portion of the procurement services are - Budgeting, Purchase Requisition, Purchase Order, Receipt of Goods or Services, Invoice Processing and Payments
The accounting portion of the procurement process typically involves the following steps:
Budgeting: The first step in the accounting portion of the procurement process is to establish a budget for the procurement of goods or services. This involves determining the amount of money that is available for the procurement and allocating it to specific categories, such as the cost of goods, shipping and handling, and any associated taxes or fees.
Purchase Requisition: Once the budget has been established, the next step is to create a purchase requisition. This is a document that specifies the details of the purchase, such as the quantity of goods or services required, the price, and any other relevant information.
The purchase requisition is typically created by the department or individual that requires the goods or services. Purchase Order: After the purchase requisition has been approved, the next step is to create a purchase order.
Receipt of Goods or Services: Once the supplier has received the purchase order, they will deliver the goods or services to the purchaser. The purchaser must verify that the goods or services have been received and are in accordance with the purchase order. The purchaser will then create a receiving report, which is a document that confirms the receipt of the goods or services.
Invoice Processing: Once the receiving report has been created, the supplier will issue an invoice for the goods or services provided. The invoice is typically sent to the accounts payable department, which will verify that the goods or services have been received and are in accordance with the purchase order.
Payment : The final step in the accounting portion of the procurement process is payment. Once the invoice has been processed, the accounts payable department will issue a payment to the supplier. This may involve issuing a check, making an electronic payment, or using another payment method.
In conclusion, the accounting portion of the procurement process is critical to ensure that all financial transactions related to the procurement of goods and services are recorded accurately and efficiently. By following these steps, organizations can ensure that they are managing their procurement process effectively and efficiently.
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The lecture on film genre described the hollywood system of film genres as offering both ________ and _______.
The lecture on film genre described the hollywood system of film genres as offering both Representation and position.
The purpose, tone, and some of characteristics the classification criteria that are taken into account.Drama, comedy, and action are asmall number of the movie’s genre. In action movies, it typically entails an automobile chase and a struggle with weapons. For humour, it entails characters that are humorous hilarious gestures or sentences. Drama entails weeping and crying in plenty.It is best to contrast the documentary from every other moment, taking into account how Schrader’s formulation phase was implemented for both the traditional and current black senses. The 1944 film “Double payment” by Billy Wilder looks to be the key black text of the cinematography age.
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Hollaway Manufacturing is considering using stocks of an old raw material in a special project. The special project would require all 180 kilograms of the raw material that are in stock and that originally cost the company $2,406 in total. If the company were to buy new supplies of this raw material on the open market, it would cost $7 per kilogram. However, the company has no other use for this raw material and would sell it at the discounted price of $6. 35 per kilogram if it were not used in the special project. The sale of the raw material would involve delivery to the purchaser at a total cost of $68 for all 180 kilograms. What is the relevant cost of the 180 kilograms of the raw material when deciding whether to proceed with the special project
Assuming the delivery cost is $68. The relevant cost of the 180 kilograms of the raw material when deciding whether to proceed with the special project is $1,075.
Relevant costUsing this formula
Relevant cost=(Raw material×Discounted price)-Delivery cost
Where:
Raw material=180 kilograms
Discounted price=$6.35
Delivery cost=$68
Let plug in the formula
Relevant cost=(180 kilogram×$6.35)-$68
Relevant cost=$1,143-$68
Relevant cost=$1,075
Inconclusion the relevant cost of the 180 kilograms of the raw material when deciding whether to proceed with the special project is $1,075.
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malcolm should have explained how each person could benefit from completing his or her part of the project, which would be using what influence tactic?
In a case whereby malcolm should have explained how each person could benefit from completing his or her part of the project, the tactics that she was using is the influence of apprising tactic.
What is the Apprising?Apprising can be described as the tactics that can be used in an organization in tasks appealing by clarifying how they can benefit the followers personally or advance their careers.
It should be noted that this this implies communicating something of special interest or importance as in the above case.
Therefore, option A is correct.
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missing options:
apprising ingratiation piersonal apgeals consuitation collaboration
Do you believe the government should play a role in speeding up or slowing down the economy
Answer:
Yes I do believe they should because it is important to speed up economy's rate of growth
Warner Company’s year-end unadjusted trial balance shows accounts receivable of $116,000, allowance for doubtful accounts of $770 (credit), and sales of $450,000. Uncollectibles are estimated to be 1% of sales. Prepare the December 31 year-end adjusting entry for uncollectibles
On December 31, Warner Company must make an adjusting entry to account for uncollectibles.
Prepare the December 31 year-end adjusting entry for uncollectibles?Debit Allowance for Doubtful Accounts for $4,500Credit Accounts Receivable for $4,500On December 31, Warner Company must make an adjusting entry to account for uncollectibles.Uncollectibles are estimated to be 1% of sales, or $4,500 ($450,000 x 0.01). The adjusting entry would be to debit Uncollectible Accounts Expense for $4,500 and credit Allowance for Doubtful Accounts for $4,500.This will increase Uncollectible Accounts Expense and reduce Allowance for Doubtful Accounts, thus decreasing Accounts Receivable by the same amount.After making this adjusting entry, the Accounts Receivable balance would be $111,500 ($116,000 - $4,500), the Allowance for Doubtful Accounts balance would be $4,270 ($770 + $4,500), and the Uncollectible Accounts Expense balance would be $4,500.To learn more about Debit Allowance for Doubtful Accounts refer to:
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Which career involves using tools or machinery to remove and dispose of dangerous materials?
A career that involves using tools or machinery to remove and dispose of dangerous materials is a career as a hazardous materials removal worker.
What do you understand by the term career?A career is an individual's metaphorical journey through learning, work and other aspects of life. There are several ways to define a career and the term is used in a variety of ways. Career management or career development describes the active and purposeful management of a career by an individual.
Ideas of what comprise career management skills are described by the Blueprint model in the United States, Canada, Australia, Scotland, and England and the Seven C's of Digital Career Literacy specifically relating to Internet skills.
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PLEASE HELP TIME SENSITIVE!!! WORTH EXTRA POINTS!!!
What step should a technical writer take after applying review feedback?
A.
Arrange a one-on-one review meeting.
B.
Host a tabletop review meeting.
C.
Send the draft back for a second review.
D.
Choose an appropriate reviewer.
E.
Email reviewers for individual comments.
The step that a technical writer should take after applying review feedback is this:
A. Arrange a one-on-one review meeting.
What is the next step after applying review feedback?After applying review feedback, the next step will be to arrange a physical review meeting where all stakeholders can be present to review the corrections made to be sure that they align with the specifications required.
Also note that a review typically has three stages which are the first, second, and third reviews. When the last of these are completed, a one-on-one meeting can help to tighten all of the loose ends.
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Which set of accounts below would have a normal debit balance? Multiple choice question. Expenses; Dividends; Cash Dividends; Expenses; Unearned rent Expenses, Dividends; Common Stock Revenues; Dividends, Prepaid rent
The set of accounts that will have a normal debit balance are : Expenses; Dividends; Cash.
What are Expenses , Dividends and Cash ?An expense is the cost of operations that a company incurs to generate revenue. Hence an expense would have a debit balance.
A dividend is the distribution of corporate profits to eligible shareholders. Dividend payments and amounts are determined by a company's board of directors hence would have a debit balance.
Cash include other currencies as well as undeposited cheques and amounts in a current account hence have a debit balance.
It therefore means that Expenses, Dividends and Cash all have debit balance in line with accounting rule which states that all expenses and cash must be debited.
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When Hurricane Andrew passed through Louisiana in the summer of 1992, approximately a quarter of the sugar cane crop was destroyed. Ceteris paribus,
Ceteris paribus, the decrease in sugar cane crop due to Hurricane Andrew passing through Louisiana in the summer of 1992 would result in an increase in the price of sugar cane.
Ceteris paribus, which means "all other things being equal," if approximately a quarter of the sugar cane crop was destroyed when Hurricane Andrew passed through Louisiana in 1992, there would be a decrease in the supply of sugar cane.
This would result in an increase in the price of sugar cane due to the reduced supply. This increase in price would likely be passed on to consumers in the form of higher prices for sugar and other products made from sugar cane, such as candy and soda. The degree of price increase would depend on the extent of the damage to the sugar cane crop and the availability of substitute products.
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