B) deficit that is greater than the trade surplus.
When domestic savings are insufficient to finance domestic private investment and exports exceed imports, it indicates that there is a capital outflow from the country. This means that the country is relying on external sources of financing to meet its investment needs and is running a trade surplus.
In this scenario, if the fiscal budget has a deficit, it means that the government is spending more than it is collecting in revenue. The deficit represents the amount of borrowing required by the government to cover its expenditure.
Since the country is already running a trade surplus, which implies a net inflow of funds from abroad, the fiscal budget deficit would need to be greater than the trade surplus to bridge the gap between insufficient domestic savings and the financing needs of private investment.
Therefore, option B) deficit that is greater than the trade surplus is the most likely outcome in this situation.
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From an internal control standpoint, the asset most susceptible to improper diversion and use is:.
From an internal control standpoint, the asset most susceptible to improper diversion and use is Cash.
What is cash?
Cash is the most liquid asset because it can easily be used in exchange unlike other assets.
Cash is classified under the Current Assets section of the balance sheet but is always presented first before debtors, inventory, and short-term investments.
Thus, from an internal control standpoint, the asset most susceptible to improper diversion and use is Cash.
If the government levies a $500 tax per car on sellers of cars, then the price received by sellers of cars would:.
a special journal used to record only cash receipt transactions.
a.purchase invoice
b.purchase on account
c.cash payments
d.cash discount
The special journal used to record only cash receipt transactions Cash receipts journal
The special journal used to record only cash receipt transactions is the "cash receipts journal."
A. Purchase invoice is a document received from the supplier of goods or services indicating the quantity, price, and terms of the sale.
B. Purchase on account is a transaction in which the buyer does not pay for the goods or services at the time of purchase but is allowed to pay at a later date.
C. Cash payments journal is a special journal used to record only cash payment transactions.
D. Cash discount is a reduction in the amount of cash to be paid by a customer if payment is made within a specified period of time.
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2. Process costing is used in companies thata. engage in road and bridge construction.b. produce sailboats made to customer specifications.c. produce bricks for sale to the public.d. construct houses according to customer plans.
Process costing is used in companies that produce similar or identical products in large quantities, such as c) bricks for sale to the public.
This method allows for the calculation of production costs by dividing the total production costs by the number of units produced. In the case of a company producing bricks, process costing would help to determine the cost per brick accurately.
In contrast, companies that engage in road and bridge construction (option a), produce sailboats made to customer specifications (option b), or construct houses according to customer plans (option d) typically use job costing. Job costing is more appropriate for these businesses because their projects are unique and customized, making it difficult to apply a standardized cost allocation method. Each job has its own set of specific costs and requirements, so job costing helps to track and allocate costs accurately for each individual project.
In summary, process costing is best suited for companies that produce large quantities of homogeneous products, like bricks, while job costing is more appropriate for businesses that work on unique, customized projects like road construction or custom-built sailboats and houses.
Therefore, the correct answer is c. produce bricks for sale to the public.
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A local golf course charges members $20 an hour for the first four hours, $40 an hour for the next three hours, and nothing for the last three hours, for a maximum of 10 hours. Express the cost C (in dollars) as a function of the time t (in hours) that a member plays golf at this golf course.. Enter a piecewise function for the situation,
A piecewise function is called so because the expression for the function changes with the range of values of the variable. For example, if x is the variable then a piecewise function can be expressed as x+2 for x<0, as x for x=0 and x-2 for x>0.
Given the local golf course charges members $20 an hour for the first four hours.
i. e.. the charge is c(t) =20t, for t≤ 4. which denotes $20/hour charge till 4 hours.
Now, its also given, for the next 3 hours (4<t≤7), the per hour charge is 40$. i.e.. for the 5th hour he has to pay 40$, 6th hour another 40$ and so on. So the equation cannot be 40t because if t = 5, then the cost would be 40x5 = 200$. So the value must be 40(t-4).
So we get c(t) = 40(t-4) if (4<t≤7)
If t> 7, there is no charge till 10 hours. Thus we have
c(t) = 0, 7<t≤ 10
Consolidating, we have
c(t)=40(t-4),
20t,
t≤4
4 <t≤7
0,
7 <t≤10
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True or false question and justify
thank you very much
1. If banks hold a larger fraction of deposits as reserves and the
monetary base remains constant, the equilibrium effect will be a fall in GDP and an increase
interest rates.
2. The income tax cuts announced by the Prime Minister of Canada during
the 2015 election campaign should lead to an increase in national savings and
investments
3. A decline in consumer confidence (modeled as a decline in
constant c0 in the linear consumption function) decreases the equilibrium GDP and the
investments in balance.
4. In equilibrium, an increase in the money supply leads to a fall in the price of
obligations.
5. The income tax cuts promised during the election campaign by the
candidates should lead to an increase in national savings and investments.
If banks hold a larger fraction of deposits as reserves and the monetary base remains constant, it would decrease the money supply in the economy. ---- False
This would likely lead to a decrease in GDP and an increase in interest rates, rather than the stated effects.
2. Income tax cuts can potentially lead to an increase in disposable income, which may stimulate consumption rather than national savings. --- false
The impact on national savings and investments depends on various factors, including how individuals choose to allocate their additional income.
3. A decline in consumer confidence, represented by a decrease in the constant c0 in the linear consumption function, would decrease aggregate consumption. --- True
Since GDP is the sum of consumption, investments, government spending, and net exports, a decline in consumption would decrease the equilibrium GDP and potentially affect investments.
4. In equilibrium, an increase in the money supply is likely to lead to an increase in the price level rather than a fall in the price of obligations. -- False
An increase in the money supply can create inflationary pressures, causing the price level to rise.
5. Similar to statement 2, the impact of income tax cuts on national savings and investments is not straightforward. --- False
It depends on various factors, including how individuals and businesses respond to the tax cuts. The effects on savings and investments would be influenced by other factors, such as changes in consumption and business confidence.
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Coach Sieb Has a treadmill desk. Walking on the treadmill will break down her triglyceride Levels 90% faster what is the percent that it breaks down while sitting
Answer:
0%
Explanation:
Base on the scenario been described in the question, where we saw coach Seib has 90% faster breaking her triglyceride Levels while working, when sitting, she has a 0% of breaking her triglyceride Levels because no movement, there will be no breakdown in the triglyceride Levels
When sport/event organizations seek sponsors who will exploit the sponsorship, what benefit are they seeking to gain?
Answer: they want to generate more income from doing so, the greater the allowance the more income they will generate for the event they intend holding.
Explanation:
Exploiting of sponsorship would be described as allowing a sponsor to utilize every opportunity in the event to promote their brand.
When event organizers look out for sponsors who would handle their event and allow them explore it, it'll mean they want to generate more income from doing so, the greater the allowance the more income they will generate for the event they intend holding. For them to allow a particular brand to exploit the event would mean that brand would virtually take care of all expenses for the event since it'll be the face the audience would see when they come to the event. It is a way of generating more income for events.
You run a regression of a stock's returns versus a market index and find the following:
Coefficients
Lower 95%
Upper 95%
Intercept
0.789
-1.556
3.457
Slope
0.890
0.6541
1.465
Please interpret the above results in the context of CAPM.
The intercept is zero when the stock return is equal to the risk-free rate. The lower and upper limits are the boundaries within which the true intercept is expected to lie with 95% confidence.
CAPM or Capital Asset Pricing Model is a model that relates the expected return of an asset to its systematic risk or market risk. The following table shows the regression coefficients and their lower and upper limits along with their interpretation in the context of CAPM.
Coefficients
Lower 95% Upper 95% Intercept0.789-1.5563.457
The intercept of 0.789 is interpreted as the alpha or excess return on the stock when the market index has zero return. The intercept is negative when the stock return is less than the risk-free rate and positive when it is greater than the risk-free rate.
The intercept is zero when the stock return is equal to the risk-free rate. The lower and upper limits are the boundaries within which the true intercept is expected to lie with 95% confidence.
Slope0.8900.65411.465The slope of 0.890 is interpreted as the beta or market risk of the stock. The beta measures the sensitivity of the stock's return to the market return.
A beta of one indicates that the stock's return is perfectly correlated with the market return. A beta less than one indicates that the stock's return is less volatile than the market return.
A beta greater than one indicates that the stock's return is more volatile than the market return. The lower and upper limits are the boundaries within which the true slope is expected to lie with 95% confidence.
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As a factor of production, what is capital?
A. an industrial good
B. the natural resources used to create a product
C. the entrepreneur who sees how to make something useful
D. the tangible products made by labor
Answer:
Option "D" is the correct answer.
Explanation:
Labor produces tangible goods, which are referred to as capital. There are production-related man-made items such as machinery, vehicles, and chemicals. That is what sets them apart from commercial products.
Long Text (essay)
Journal: Please respond to the following:
Why do you think entrepreneurship is important to the economy?
Entrepreneurship is important to the economy as they act as a support system in the growth of the economy.
What is entrepreneurship?A person who has a strong interest in conducting business based on creativity and technology and who is willing to take risks in order to improve the lives of others is referred to as an entrepreneur. This is the process that is known as entrepreneurship.
The ratio of annual production to annual consumption, as well as the analysis of an individual's purchasing power, serve as the primary indicators of a nation's economic health.
By developing new goods and services, businesses encourage the creation of new jobs, which lowers the nation's unemployment rate and raises people's spending power, both of which has the net effect of speeding up economic growth.
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You have $42,000 to invest in Sophie Shoes, a stock selling for $100 a share. The initial margin requirement is 75 percent. Do not round intermediate calculations. Round your answers to two decimal places. Use a minus sign to enter negative values, if any. Ignoring taxes and commissions, calculate your rates of return if the stock rises to $110 a share and if it declines to $40 a share assuming you pay cash for the stock. Rate of return if the stock rises to $110 a share: % Rate of return if the stock declines to $40 a share: % Ignoring taxes and commissions, calculate your rates of return if the stock rises to $110 a share and if it declines to $40 a share assuming you buy it using maximum leverage. Rate of return if the stock rises to $110 a share: % Rate of return if the stock declines to $40 a share:
The rate of return if the stock declines to $40 a share and if you buy it using maximum leverage is -240%. Sophie Shoes is selling for $100 a share, and you have $42,000 to invest. The initial margin requirement is 75%.
Ignoring taxes and commissions, we have to calculate your rates of return if the stock rises to $110 a share and if it declines to $40 a share, assuming you pay cash for the stock. We will also have to calculate your rates of return if the stock rises to $110 a share and if it declines to $40 a share, assuming you buy it using maximum leverage.
Rate of return if the stock rises to $110 a share and if you pay cash for the stock:
We have to calculate how many shares of Sophie Shoes we can purchase. We can do this by dividing the total amount of money we have by the price per share.
42,000 / 100 = 420 shares
We can find the total cost of this purchase by multiplying the number of shares by the price per share.
420 x 100 = $42,000
The initial margin requirement is 75%. This means we have to pay 25% of the total purchase cost, and the broker will loan us the remaining 75%. Thus, our initial investment will be:
$42,000 x 0.25 = $10,500
If the stock price rises to $110 per share, the total value of our investment will be:
420 x 110 = $46,200
The profit will be:
$46,200 - $42,000 = $4,200
The rate of return can be found by dividing the profit by the initial investment.
4,200 / 10,500 = 0.40 = 40%
Thus, the rate of return if the stock rises to $110 a share and if you pay cash for the stock is 40%.
Rate of return if the stock declines to $40 a share and if you pay cash for the stock:
If the stock price declines to $40 per share, the total value of our investment will be:
420 x 40 = $16,800
The loss will be:
$16,800 - $42,000 = -$25,200
The rate of return can be found by dividing the loss by the initial investment.
-25,200 / 10,500 = -2.40 = -240%
Thus, the rate of return if the stock declines to $40 a share and if you pay cash for the stock is -240%.
Rate of return if the stock rises to $110 a share and if you buy it using maximum leverage:
If we buy the shares using maximum leverage, we will borrow 75% of the purchase cost and pay 25% as the initial margin requirement. Thus, the number of shares we can purchase will be:
($42,000 x 0.75) / 100 = 315 shares
The total cost of this purchase will be:
315 x 100 = $31,500
Our initial investment will be:
$31,500 x 0.25 = $7,875
If the stock price rises to $110 per share, the total value of our investment will be:
315 x 110 = $34,650
The profit will be:
$34,650 - $31,500 = $3,150
The rate of return can be found by dividing the profit by the initial investment.
3,150 / 7,875 = 0.40
= 40%
Thus, the rate of return if the stock rises to $110 a share and if you buy it using maximum leverage is 40%.
Rate of return if the stock declines to $40 a share and if you buy it using maximum leverage:
If the stock price declines to $40 per share, the total value of our investment will be:
315 x 40 = $12,600
The loss will be:
$12,600 - $31,500 = -$18,900
The rate of return can be found by dividing the loss by the initial investment.
-18,900 / 7,875 = -2.40
= -240%
Hence, the required rates of return have been calculated.
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Your son is about to start kindergarten in a private school. currently, the tuition is $11,000 per year, payable at the start of the school year. you expect annual tuition increases to average 6% per year over the next 13 years. assuming that your son remains in this private school through high school and that your current interest rate is 7%, then the present value of your son's private school education is closest to:
The present value of your son's private school education is :
≈ $ 9,735.98
Analysis
First step : Determine the future value of the tuition
Tuition( PV ) = $11,000 , r = 6% , n = 13
FV = PV ( 1 + r )ⁿ --- ( 1 )
Back to equation ( 1 )
FV = 11,000 ( 1 + 0.06 )¹³
= 11,000 (1.06)¹³ = $23462.21
Last step : Determine the present value of your son's private school education
PV = FV ( 1 / ( 1 + r )ⁿ ) ------- ( 2 )
where : FV = $23462.21, r = 7% , n = 13 years
PV = 23462.21 ( 1 / ( 1.07 )¹³
= 23462.21 * 0.41496
= $ 9,735.98
Hence we can conclude that The present value of your son's private school education is :≈ $ 9,735.98
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what are the answers for all 3 of them?
Answer:
See below
Explanation:
(i) €585.00
As per the statement, Taylor owed €585.00 to Franklyn photographic supplies Ltd at the end of April. The closing balance for April is the Amount owed at the end of April.
(ii) €75.00
The opening balance for April as indicated in the statement is the closing balance for March.
(iii) €375.00
As per the statement an amount of €375.00 was paid on April 15
In your own words, describe each management style listed and its impact on students. Then answer the following questions.
Management Style
Authoritarian Style
Description
Impact on students
Permissive Style
Authoritative Style
Someone please help asap it’s (principals of education)
A top-down approach and total control and decision-making by the authority figure are characteristics of the authoritarian management style. Clear expectations and a regulated environment may be well received by some pupils as it instills a sense of order and discipline.
Lack of structure and regulations, as well as little control or leadership intervention, define the permissive management style. Some kids might flourish in a setting that allows for freedom and autonomy since it encourages creativity, independence, and the ability to express oneself.
Between authoritarian and permissive management approaches, the authoritative style strikes a balance. While allowing for flexibility and student interaction, this teaching method encourages a feeling of order, accountability, and respect for the law.
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Jill works at a factory where she is responsible for producing collector dolls. More than likely, Jill's employer uses ________.A. merit plansB. individual incentive plans C. group incentive plansD. bonus plansE. company-wide incentive plans
It is more likely that Jill's organisation uses B) individual incentive plans to inspire and reward employees.
Individual incentive plans are designed to inspire and reward employees for their character overall performance, productiveness, and output.
This form of incentive plan is frequently used in production settings, in which employees have clear performance metrics and desires, together with producing a certain number of collector dolls consistent with hour or day.
Individual incentive plans can be primarily based on various factors, such as the variety of dolls produced, satisfactory of work, or assembly unique goals. with the aid of the usage of character incentive plans, employers can encourage employees to work tougher and increase productiveness while rewarding folks who meet or exceed overall performance standards.
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The most productive way to find a job lead is to
a. find advertisements on the Internet
b. network
c. find advertisements in the newspaper
d. read brochures from professional organizations
Please select the best answer from the choices provided
A
В
C
D
Answer:
B. Network
Explanation:
took quiz on edge
Answer:
B
Explanation:
Classify each of the following statements as positive or normative AND explain why. b. A reduction in the rate of growth of money will reduce the rate of inflation.
The statement "A reduction in the rate of growth of money will reduce the rate of inflation" is a positive statement because it is a statement that can be tested and verified through empirical evidence.
It is a statement that can be proven true or false based on observable facts and data. Positive statements are statements that are based on facts and can be empirically tested or verified. They are statements that describe what is or what will be. Positive statements are objective and can be proven through scientific observation, experimentation, or data analysis.
Normative statements, on the other hand, are statements that are based on opinions or values. They are statements that describe what ought to be. Normative statements are subjective and cannot be proven through empirical evidence. They are based on personal beliefs, values, or opinions.
The relationship between the growth rate of the money supply and the rate of inflation is an empirical question that can be tested through statistical analysis. Therefore, it is a positive statement.
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In a periodic inventory system, a return of defective merchandise to a supplier is recorded by crediting
A) purchase returns and allowances.
B) inventory.
C) purchases.
D) accounts payable.
In a periodic inventory system, a return of defective merchandise to a supplier is recorded by A) purchase returns and allowances.
This account is used to record any returns made to the supplier due to defects or other issues with the merchandise. It is important to keep track of these returns in order to accurately reflect the inventory levels and cost of goods sold. When the defective merchandise is returned, the cost is subtracted from the purchase price of the original order and recorded as a reduction in the cost of goods sold. This helps to ensure that the financial statements accurately reflect the company's inventory levels and profitability. In addition, it is important to monitor the frequency of returns in order to identify any potential issues with the quality of the merchandise or the supplier's performance. By tracking and analyzing these returns, companies can make informed decisions about their inventory management and supplier relationships. Thus correct
option is A) purchase returns and allowances.
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an increase in leads to a higher steady-state capital stock, and a decline in leads to a lower steady-state capital stock. group of answer choices the depreciation rate; the labor stock none of these answers is correct. productivity; the initial capital stock the saving rate; the depreciation rate the saving rate; productivity
An increase in the saving rate leads to a higher steady-state capital stock, and a decline in productivity leads to a lower steady-state capital stock. The answer is D -"the saving rate; productivity".
An increase in the saving rate leads to a higher steady-state capital stock, as it means more resources are being saved and invested in productive assets, resulting in a higher level of productivity. Conversely, a decline in productivity leads to a lower steady-state capital stock, as workers are becoming less efficient, resulting in a decrease in the rate of return on capital, which in turn discourages investment.
Therefore, a higher saving rate and higher productivity levels lead to a higher steady-state capital stock, while a lower saving rate and lower productivity levels lead to a lower steady-state capital stock.
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In a market economy, decisions about which goods are produced are based
on:
A. what health care organizations suggest will be best for citizens.
B. what the local community has made for generations.
C. what the government decides is important for society.
D. what businesses believe will generate the most profits.
SUBMIT
Name any FIVE causes of stress in the workplace
Answer:
1. long hours
2. tight deadlines
3. heavy workload
4. changes to duties
5. job insecurity
Which of the following are ways in which people can get an aptitude?
D born with it
buy it
O acquire it
borrow it
Answer:
born with it
Explanation:
hopefully it helps if not then I'm sorry
Answer:
Born with it & Acquire it
Explanation:
You can naturally be born with it or you can learn it. I got it right so gg to whoever needs this.
A student has 4 mangos, 2 papayas, and 3 kiwi fruits. if the student eats one piece of fruit each day, and only the type of fruit matters, in how many different ways can these fruits be consumed?
There are 210 ways that he can consume fruits. This can determined using the concept of factorial in mathematics.
Factorial, in mathematics, the product of all positive int or numbers less than or equal to a given positive int or number and denoted by that integer and an interjection point. therefore, factorial seven is written seven!, meaning one × 2 × 3 × 4 × 5 × six × seven.
Factorial zero is defined as equal to one.
Here, we have given the student has three mangoes, two papayas and two kiwi fruits.
so in total he has (3 plus 2 plus 2) =7 fruits.
Let all the fruits be eaten. If he eats one fruit each day then it will take seven days to complete this process.
So according to one popular permutation type where , n=7, n1(mangoes)=3, n2(papayas)=2, n3(kiwi)=2.
Using factorial, number of ways =7!/(3!2!2!) =210
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The ________ model suggests that managers should structure the work environment and rewards to match employees.
The Expectancy Theory model suggests that managers should structure the work environment and rewards to match employees.
What is Expectancy Theory?The Expectancy Theory is a motivational model that suggests that individuals are motivated to behave in a certain manner based on their subjective expectations that particular behavior will lead to certain outcomes, and the attractiveness of those outcomes to the individual.
The Expectancy Theory explains how individuals are motivated to behave in a particular way based on their subjective expectations about the expected result and the attractiveness of that result to the individual.
In conclusion, the Expectancy Theory model suggests that managers should structure the work environment and rewards to match employees. This will lead to higher motivation and increased productivity from employees.
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Tom enters into a like-kind exchange is which he will transfer land with a FMV of $80,000 and an A/B of $52,000 to his exchange partner. Tom will receive land worth $68,000 and the exchange partner will assume Tom’s mortgage on land he is transferring in the amount of $12,000.
a. What is the realized and recognized gain to Tom on the exchange?
b. What is Tom’s A/B in the new property?
a. The realized gain to Tom on the exchange is $28,000, calculated as the FMV of the land transferred ($80,000) minus the adjusted basis (A/B) of the land ($52,000). However, the recognized gain may be different based on the tax treatment of like-kind exchanges.
b. Tom's adjusted basis (A/B) in the new property is $64,000, calculated as the FMV of the land received ($68,000) minus the assumed mortgage on the land ($12,000).
In the like-kind exchange, the realized gain represents the difference between the fair market value (FMV) and adjusted basis (A/B) of the property transferred. It determines the potential gain that is subject to taxation. The recognized gain, on the other hand, may be affected by tax rules and provisions related to like-kind exchanges.
Regarding Tom's adjusted basis in the new property, it takes into account the FMV of the property received and any liabilities assumed or transferred as part of the exchange.
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Because an insurance policy is a legal contract, it must conform to the state laws governing contracts which require all of the following elements EXCEPT?
All of the following, with the exception of conditions, are required.
Describe insurance.One party will agree to compensate another in the event of a certain loss, damage, or injury in exchange for a fee in order to safeguard oneself from financial loss. It is a risk management technique that is typically used to guard against the danger of a hypothetical loss that may or may not materialise.
An underwriter, insurer, firm, or carrier is a company that provides insurance. A person or organisation that obtains insurance is known as a policyholder, whereas a person or organisation that the policy protects is known as an insured.
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Explain the limitations of statistics
A milestone occurring in which of these increments of time will be the farthest to the left on a timeline? 4 months 5 days 3 weeks 2 years
Answer:
A milestone occurring in 3 years of increments of time will be the farthest to the right on a timeline.
Explanation:
Here in the given options the increments of time are given.
Here, 3 years > 8 months > 12 weeks > 60 days.
Because, 3 years ≡ (3 × 365) days ≡ 1095 days
8 months ≡ (8 × 30) days ≡ 240 days
12 weeks ≡ (12 × 7) days ≡ 84 days.
Therefore, a milestone occurring in 3 years of increments of time will be the farthest to the right on a timeline.
Managerial accounting places more emphasis on precision and less emphasis on flexibility and relevance of data than does financial accounting. a. true b. false
The correct answer is (a) true.
Compared to financial accounting, management accounting favors emphasizing timeliness while placing less focus on accuracy.
Where does a management accountant work?Governmental organizations, private enterprises, and public companies all employ management accountants. Cost accountants, managerial accountants, industrial accountants, private accountants, and corporate accountants are other names for these experts.
Despite the fact that there are twelve different accounting disciplines, three main forms of accounting are recognized by McAdam & Co. These include financial accounting, managerial accounting, and tax accounting.
Which four managerial accounting areas are there?The primary goal of managerial accounting, which primarily consists of four major functions:
(1) budgetary planning,
(2) cost discovery,
3) cost and profit analysis, and
(4) financial reporting,
is the preparation of these data and reports.
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