The cost of goods sold (COGS) is $890, and the ending inventory is $180. To calculate the cost of goods sold and ending inventory using the perpetual inventory system, we need to track the purchases and sales of inventory.
Here is the calculation for Nicole's Getaway Spa (NGS):
1. Calculation of Cost of Goods Sold (COGS):
a. Beginning Inventory:
Units: 20
Cost per unit: $5.20
Total Cost: 20 units x $5.20 = $104
b. Purchases:
- February:
Units: 40
Cost per unit: $7.20
Total Cost: 40 units x $7.20 = $288
- March:
Units: 15
Cost per unit: $9.20
Total Cost: 15 units x $9.20 = $138
- May:
Units: 60
Cost per unit: $9.00
Total Cost: 60 units x $9.00 = $540
c. Total Cost of Goods Available for Sale:
$104 + $288 + $138 + $540 = $1,070
d. Ending Inventory:
Units: 20 + 40 + 15 + 60 - (60 + 55) = 20 units
Cost per unit: Based on the latest purchase, which is $9.00
Total Cost: 20 units x $9.00 = $180
e. COGS:
$1,070 - $180 = $890
2. Calculation of Ending Inventory:
The ending inventory is already calculated above:
Units: 20
Cost per unit: $9.00
Total Cost: 20 units x $9.00 = $180
Therefore, the cost of goods sold (COGS) is $890, and the ending inventory is $180.
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What is one advantage corporations have over other types of businesses?
O A. Corporations are the easiest businesses to set up.
B. Corporations have a nearly unlimited life span.
C. Corporations have fewer legal regulations to follow.
O D. Corporations are controlled by only one person.
SUBMIT
Answer:
B
Explanation:
ONE advantage corporations enjoy over other business forms is B. Corporations have a nearly unlimited life span.
Corporations do not cease to operate if one or some of the owners die. Each stockholder's shares are transferable by inheritance or sale. Corporations enjoy perpetual existence.
Other advantages of corporations over other business forms are:
Shareholders enjoy the protection of personal liability (limited liability of ownership)Shareholders have a business that is professionally managedThe business type has easy access to funds.
Unfortunately, corporations are not the easiest to form because of the rigid formalities accompanying their formation and management. Shareholders suffer double taxation because the corporation pays taxes as an entity, and shareholders pay another tax when they receive dividends. The legal regulations are many and time-consuming.
Thus, the unlimited life span of corporations makes them the best form of business since control and ownership of a corporation are not limited to one individual.
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Pls whoever answer this ASAP, I'LLMARK YOU BRAINLIEST... PROMISE
Enter the following transactions of Femmy in the sales day book for the month of August 2010,
Aug 1: Sold to Mila
20 bags of sugar at #40 each
12 plates at #140 each
Aug 12: Sold to Shina
12 bags of cement at #45 each
5 packets of tea at #15 each
Trade discount at 10%
Aug 27: Sold to Monisola
15 shoes at #65 each
100 packets shirts at #13 each
Trade discount at 5%
Answer:
I AM SO CONFUSED
Even before Michelle could explain why a prospect had not purchased her company's new line of ecofriendly outdoor furniture, her supervisor started explaining how she should have emphasized the fact that the furniture is made through a revolutionary recycling process and that the prices are justified by the furniture's quality and eco-friendly nature. In this scenario, the supervisor provided Michelle with __________ feedback by telling her how she could make better sales presentations.
Answer:
Informal feedback
Explanation:
In simple words, informal feedback relates to the feedback under which the feedback is not planned by either of the parties involved and the conversation regarding the review just happens occasionally unplanned. I
Generally, In such feedback there is no exchange of information but one party dictates their view to the other. Hence, from the above we can conclude that the given case is an instance of informal feedback.
What accounts are affected. issued check $644 to pay for an advertisement
Answer:
Bank and Advertisement accounts
Explanation:
Journal entries
Advertisement A/c Dr $644
To Bank A/c $644
(Being advertisement expenses made by cheque)
Bank and Advertisement accounts are affected
low inflation is a sign of?
Answer:
usually signals demand for goods and services is lower than it should be, and this tends to slow economic growth and depress wages.Jun
Explanation:
Which withdrawal and deposit method do you think you would use most in your own life?
I would likely use a bank transfer as my most used withdrawal and deposit method in my own life. It's a convenient, secure, and fast way to move money between accounts, and it is widely accepted.
What is bank transfer?Bank Transfer is a type of electronic funds transfer from one bank account to another. It is the most secure and convenient way to move money from one account to another. With a bank transfer, one can easily move money from one account to another in a matter of minutes, as long as both accounts are in the same bank or in different banks that are connected through the same banking network. It is also possible to transfer money internationally, although this may take a few days to complete. Bank Transfers are usually free or with a minimal fee, depending on the bank and the amount transferred.
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A buyer has a 30 year, $750,000 loan with a 5. 75% interest rate. How much is the first monthly payment?
similarities between editing and proofreading
A university spent $1.8 million to install solar panels atop a parking garage. These panels will have a capacity of 400 kilowatts (kW) and have a life expectancy of 20 years. Suppose that the discount rate is 20%, that electricity can be purchased at $0.10 per kilowatt-hour (kWh), and that the marginal cost of electricity production using the solar panels is zero.
Answer:
9241.08 Hrs
Explanation:
Calculation to determine Approximately how many hours per year will the solar panels need to operate to enable this project to break
Let n represent hour of operation per year for breakeven
Breakeven annual cost = Annual savings
$1,800,000 * (A/P, 20%,20) = 400 * n * 0.1
$1,800,000 * 0.205357 = 400 * n * 0.1
n = 369,643/ 40
n= 9241.075
n=9241.08 Hrs (Approximately)
Therefore Approximately how many hours per year will the solar panels need to operate to enable this project to break will be 9241.08 Hrs
mission health services is reviewing a new project that costs $482,500 and has expected net cash inflows of $71,500 per year for 7 years. the first inflow occurs one year after the cost outflow and the project has a cost of capital of 12%. what is the project's payback in years?
Mission Health Services new project will have a payback period of 3.4 years.
To calculate the payback period for Mission Health Services' new project, we need to determine how long it will take for the net cash inflows to recover the initial cost outflow.
First, we need to calculate the cumulative net cash inflows for each year:
Year 1: $71,500
Year 2: $71,500 x 2 = $143,000
Year 3: $71,500 x 3 = $214,500
Year 4: $71,500 x 4 = $286,000
Year 5: $71,500 x 5 = $357,500
Year 6: $71,500 x 6 = $429,000
Year 7: $71,500 x 7 = $500,500
It will take 3.4 years for the cumulative net cash inflows to equal the initial cost outflow of $482,500.
To calculate the payback period, we take the number of years it takes for the cumulative net cash inflows to equal the initial cost outflow:
Payback period = 3.4 years
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List the six areas of interest.
Answer:
Six areas of interest are: building,thinking,creating,holding, persuading and organizing.
Explanation:
: A derivative is a financial security with a value that is reliant upon, or derived from, an underlying asset or group of assets. The derivative itself is a contract between two or more parties, and its price is determined by fluctuations in the underlying asset. The most common underlying assets include stocks, bonds, commodities, currencies, interest rates and market indexes. Derivatives can either be traded over-the-counter (OTC) or on an exchange. OTC derivatives constitute the greater proportion of derivatives and are not standardized. Meanwhile, derivatives traded on exchanges are standardized and more heavily regulated. OTC derivatives generally have greater counterparty risk than standardized derivatives. As a financial executive you are required to briefly explain the following: a) Define the relationship between a derivative market and physical or cash market. (4 Marks) b) Explain TWO (2) effects of asset price movement on its derivatives products. (4 Marks) c) State how financial institutions act as market makers for common derivatives instruments through the OTC markets.
a) Relationship between a derivative market and physical or cash marketDerivatives are traded in two types of markets: exchange-traded and over-the-counter. Derivatives are traded over-the-counter (OTC) or on an exchange. OTC derivatives constitute the greater proportion of derivatives and are not standardized.
Meanwhile, derivatives traded on exchanges are standardized and more heavily regulated. The physical or cash market, on the other hand, is a market in which a financial instrument is traded for its cash price, rather than for the promise of a future payment. In the physical market, commodities such as gold or crude oil are traded.
In some instances, the commodity is delivered to the buyer immediately after the transaction. The link between a derivatives market and the physical or cash market is crucial. Derivatives are used by traders and investors to hedge their positions in the physical market. Furthermore, derivatives may be employed to speculate on future asset prices in the cash market.
b) Two effects of asset price movement on its derivatives products The price of a derivative is directly linked to the underlying asset. The derivative's value is derived from the underlying asset. As a result, changes in the underlying asset's value affect the derivative's value. As a result, asset price changes have two effects on derivatives products. Firstly, the price of a derivative will fluctuate in tandem with the underlying asset's price.
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Which of the following is probably the MOST difficult environmental factor for owners
and managers to forecast, influence, or integrate into business plans?
Social change is a difficult environmental factor for owners and managers to forecast, influence, or integrate into business plans.
What is social change?Social change is one the external factors that affect market.
It makes it difficult for the marketing management and staffs to make decisions and plans regarding market.
Therefore, Social change difficult environmental factor for ownersand managers to forecast, influence, or integrate into business plans.
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What percent of the millionaire urveyed plan ahead and ave for large purchae?
How i thi a deciding action?
95% of the millionaire surveyed plan ahead and save for large purchases.
Taking decisions helps you control your finances and ensures that you are aware of where and for what your money is going. They can prevent you from overspending and help you become a millionaire by giving you money to think about instead of just spending it.
What is an action decision?Decision action diagrams (DADs), also known as information flow diagrams, can be used to show a process graphically by showing the decisions that need to be made and any associated actions that a person in the activity needs to do.
How much of the millionaires surveyed purposefully live below their means?Even though millionaires no longer have to worry about money, they still watch what they spend. Ninety-four percent of those surveyed stated that they live below their means, and nearly three-quarters of millionaires have never had a credit card balance!
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For retirement, identifying which of the following most correlates with generating income for retirement? A. Tangible assets B. Debt C. Insurance D. Cash flow
Answer:
it should be A
Explanation:
it generating income for retirement
BOX 2.5 Case Highlight Limiting Imports of Hormone-Treated Beef Case Name and Tribunal European Communities-Measures Concerning Meat and Meat Products (Hormones) (WTO Appellate Body, 1998)17 Facts In response to concerns of EU citizens about the risks presented by beef injected with natural and synthetic growth hormones, the European Union imposed a ban on the import of such beef. The United States challenged the restriction under the SPS Agreement, claiming that the panel reviewing the issue evalu- ated the risk associated with the use of hormones for growth promotion twice and the only evidence on record showed that the studies looked at a "theoretical framework for the systemic analysis of such problems" but did not actually investigate and evaluate the problems that arise from the use of such hormones. Issue Did the EU's ban on hormone-treated beef comply with the re- quirements of the SPS Agreement? Decision A risk assessment, as required by Article 5.1, is "a scientific process aimed at establishing the scientific basis for the sani- tary measure a Member intends to take." The ban was found not to be based on a risk assessment that followed scientific principles and procedures and, therefore, was in violation of the SPS Agreement. Analysis/Application In order to rely on exceptions to the GATT under the Agree- ment on Technical Barriers to Trade (TBT Agreement), member states must rely on sound scientific principles and provide evi- dence of such. Aftermath The case raised difficult issues and required a consideration of the uncertainty presented by divisions of scientific opinion. The European Union was unwilling to remove its restrictions on the import of the hormone-treated beef, with the result that the WTO in 1999 authorized the United States and Canada to col- lect penalties of more than $100 million per year in extra duties on European exports. The European Union brought the issue back to the WTO, where unprecedented open hearings were held in 2005. The European Union argued that new scientific evidence showed that the European Union complied with the 1998 WTO judgment. The impasse between the United States and the European Union was settled by way of a negotiated agreement in 2012 in which the European Union kept its ban on importing hormone-treated beef but increased its quota for importing beef from Canada and the United States.
The case mentioned is the European Communities-Measures Concerning Meat and Meat Products (Hormones) case, which was brought before the WTO Appellate Body in 1998.
The case involved a dispute between the European Union (EU) and the United States regarding the EU's ban on the import of beef treated with growth hormones.
The EU had imposed the ban in response to concerns raised by its citizens regarding the potential risks associated with the consumption of beef injected with natural and synthetic growth hormones. The United States challenged the ban, arguing that the EU had not conducted a proper risk assessment as required under the Agreement on the Application of Sanitary and Phytosanitary Measures (SPS Agreement).
The Appellate Body, in its decision, determined that the EU's ban on hormone-treated beef did not comply with the requirements of the SPS Agreement. It stated that a risk assessment should be a scientific process aimed at establishing the scientific basis for the sanitary measure, and the EU's ban did not follow scientific principles and procedures.
The case highlighted the importance of relying on sound scientific principles and providing evidence when implementing trade measures that may restrict imports. Under the Agreement on Technical Barriers to Trade (TBT Agreement), exceptions to the General Agreement on Tariffs and Trade (GATT) require adherence to scientific principles.
The aftermath of the case resulted in tensions between the United States and the European Union, with the WTO authorizing the United States and Canada to impose extra duties on European exports. Subsequent efforts were made to resolve the dispute, and in 2012, a negotiated agreement was reached. The European Union maintained its ban on importing hormone-treated beef but increased its quota for importing beef from Canada and the United States.
Overall, the case showcased the challenges of balancing trade restrictions based on public health concerns and the need to ensure that such measures are supported by scientific evidence and comply with international trade agreements.
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EX. 7-3 General capital assets are accounted for differently in fund and government-wide financial statements. A city engaged in the following transactions during a year:
1. It acquired computer equipment at a cost of $40,000.
2. It completed construction of a new jail, incurring $245,000 in new costs. In the previous year the city had incurred $2.5 million in construction costs. The project was accounted for in a capital projects fund.
3. It sold for $16,000 land that it had acquired three years earlier for $28,000.
4. It traded in a four-year-old sanitation department vehicle for a new model. The old vehicle had initially cost $27,000, its carrying value at the time of trade was $17,000, and its market value was $13,000. The city paid an additional $39,000 cash for the new model. The fair value of the new model was $52,000.
1. Prepare journal entries to reflect the transactions in an appropriate governmental fund (e.g., a general fund or a capital projects fund).
2. Prepare journal entries to reflect the transactions in the city's government-wide statements.
Answer:
Journal entries for transactions in an appropriate governmental fund:
Computer equipment acquisition:
Debit: Computer equipment $40,000
Credit: Cash $40,000
Jail construction:
Debit: Expenditures $245,000
Credit: Other financing sources - Capital projects fund $245,000
Land sale:
Debit: Cash $16,000
Credit: Land $28,000
Credit: Gain on sale of land $12,000
Sanitation department vehicle trade-in:
Debit: Equipment $13,000
Debit: Accumulated depreciation $4,000
Debit: Loss on trade-in $4,000
Credit: Equipment $27,000
Credit: Cash $39,000
Journal entries to reflect the transactions in the city's government-wide statements:
Computer equipment acquisition:
Debit: Computer equipment $40,000
Credit: Cash $40,000
Jail construction:
Debit: Construction in progress $2,500,000
Credit: Bonds payable $2,500,000
Debit: Construction in progress $245,000
Credit: Cash $245,000
Land sale:
Debit: Cash $16,000
Credit: Land $28.
A functional and psychological picture in the consumer's mind of a retail store is called a) retail positioning. b) atmospherics. c) store image.
The functional and psychological picture in the consumer's mind of a retail store is commonly referred to as its "store image."
Store image encompasses a consumer's perceptions and beliefs about a retail store, including its product offerings, quality, prices, and overall atmosphere. This includes the physical and sensory aspects of the store, such as its design, layout, lighting, music, and scent, which are collectively known as "atmospherics." Retail positioning, on the other hand, refers to a retailer's strategic placement in the market and the ways in which they differentiate themselves from their competitors.
While retail positioning can influence store image, it is not the same thing. In conclusion, store image is a key factor in a retailer's success, as it shapes consumers' attitudes and behaviors towards the brand. A store image refers to the overall perception and mental representation that consumers have about a particular store based on their experiences, preferences, and beliefs. Retail positioning and atmospherics contribute to the formation of a store's image but are not the overall picture in the consumer's mind.
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Describe factors that encourage conspicuous
consumption by the purchase of status sym-
bols.
Veblen's initial thesis said that better social standing and peer recognition were the two key factors influencing ostentatious consumption.
Conspicuous consumerism is the act of acquiring things or services specifically with the intention of flaunting one's affluence. When publicly exhibited products and services are too expensive for other people in a person's class, conspicuous spending is a way to demonstrate one's social position.
What is the conspicuous consumerism theory?
Conspicuous consumption is defined as. Displaying extravagant riches in order to improve one's standing and reputation in society is known as conspicuous spending.To Learn more about conspicuous consumption, click the links
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A company reported that its bonds with a par value of $50000 and a carrying value of $66.500 are retired for $71,400 cash, resulting In a loss of $4,900. The amount to be reported under cash flows from financing activities is: a. $(71,400). b. $(16,500). c. $(66,500). d. $16,500. e. $(4,900).
The correct answer is (a) $(71,400).
When a company retires bonds, cash flows from financing activities will be affected. Bonds with a par value of $50,000 and a carrying value of $66,500 were retired for $71,400 cash, resulting in a loss of $4,900.
The company will report cash flows from financing activities of $(71,400). This is calculated by subtracting the carrying value of the bonds ($66,500) from the amount received for the retirement of the bonds ($71,400). The loss of $4,900 is not reported in the statement of cash flows.
The other answer choices are incorrect because:
- (b) $(16,500) is incorrect because it is the difference between the par value of the bonds ($50,000) and the cash received for the retirement of the bonds ($71,400).
- (c) $(66,500) is incorrect because this is the carrying value of the bonds, which was not reported in the statement of cash flows.
- (d) $16,500 is incorrect because it is the difference between the cash received for the retirement of the bonds ($71,400) and the par value of the bonds ($50,000).
- (e) $(4,900) is incorrect because this is the amount of the loss that was not reported in the statement of cash flows.
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the first step in planning how to price a product is to develop pricing objectives. T/F
The statement is True. Developing pricing objectives is the first step in planning how to price a product.
What purpose does pricing serve?Pricing objectives are the goals that a company sets for its pricing strategy. These objectives can be short-term or long-term and can vary based on the company's overall business objectives.
Pricing objectives can include maximizing profits, increasing market share, maintaining a competitive edge, or building customer loyalty. Once pricing objectives are established, companies can determine the most appropriate pricing strategy to achieve these goals.
It's essential to set pricing objectives at the beginning of the planning process to ensure that the pricing strategy aligns with the company's overall objectives and goals.
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What do you think it means that your money is FDIC/NCUA insured up to $250,000
I believed that my deposit money is insured up to $250,000 by FDIC/NCUA because it is a legal banking requirement.
What is the banking requirement?The insurance of deposit is necessary to prevent to banks from huge liability incase they lose their customer's deposit because of theft, fraud etc
In conclusion, I believed that my deposit money is insured up to $250,000 by FDIC/NCUA because it is a legal banking requirement.
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Hasgood Industries has just received a major long-term contract. They need to expand the production capabilities particularly in stamping out large parts. They gathered information on four hydraulic presses that would perform this task. The product will be sold at $100 per unit. Information on the cost of the four possible hydraulic presses are presented below. Raster Jacobs Matsuki Helgard $90,000 120,000 145,000 Fixed Costs 160,000 Variable Costs $40 $38 35 What is the break-even point for the use of each machine? (round to nearest whole number) Raster Jacobs Matsuki Helgard Based on crossover quantities, only 2 machines should be considered. Identify that crossover quantity (nearest whole number) and which machine is the best choice for the range of quantities: Machine < Quantity < Machine
Best machines:• If the quantity is less than 750, Raster hydraulic press is the best choice.• If the quantity is greater than 750, Matsuki hydraulic press is the best choice.
Calculation of break-even point for each machine:
Calculation of break-even point for Raster hydraulic press = Fixed costs ÷ (Selling price - Variable costs)
= $160,000 ÷ ($100 - $40)
= $160,000 ÷ $60
= 2667 units
Calculation of break-even point for Jacobs hydraulic press = Fixed costs ÷ (Selling price - Variable costs)
= $160,000 ÷ ($100 - $38)
= $160,000 ÷ $62
= 2581 units
Calculation of break-even point for Matsuki hydraulic press = Fixed costs ÷ (Selling price - Variable costs)
= $160,000 ÷ ($100 - $35)
= $160,000 ÷ $65
= 2462 units
Calculation of break-even point for Helgard hydraulic press = Fixed costs ÷ (Selling price - Variable costs)
= $160,000 ÷ ($100 - $38)
= $160,000 ÷ $65
= 2581 units
Crossover quantity = (Fixed cost difference ÷ (Variable cost difference ÷ Selling price))
= $15,000 ÷ ($2 ÷ $100)
= 750 units
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You are managing a large project for which your company may have to use several outside suppliers. The method and guidelines for managing these potential suppliers should be clearly defined in the:
The technique and suggestions for dealing with ability suppliers must be defined in the procurement control plan.
The procurement management plan is a report that outlines how procurement can be controlled, consisting of the technique for identifying capability providers, evaluating their proposals, and selecting the maximum suitable ones for the venture.
The plan should additionally element how contracts may be managed once they're in vicinity, along with how adjustments could be handled and how overall performance could be monitored.
By way of definitely defining those tips and processes, the procurement management plan facilitates ensure that the procurement process is conducted effectively, efficaciously, and in a manner this is steady with the dreams of the challenge.
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What is a command economy controlled by?
Command economy is controlled by the Central Government.
A command economy is a key aspect of a political system in which a central governmental authority dictates the levels of production that are permissible and the prices that may be charged for goods and services. Most industries are publicly owned. The main alternative to a command economy is a free market system in which demand dictates production and prices. The command economy is a component of a communist political system, while a free market system exists in capitalist societies.
In a command economy, the central government dictates the level of production of goods and controls their distribution and prices. Proponents of command economies argue government control rather than private enterprise can ensure the fair distribution of goods and services.
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According to the video, what tasks are commonly performed by Farmworkers instead of by machines? Select three
options.
weeding
Opruning
preparing soil
transplanting
planting
Answer:
A: weeding
B: pruning
D: transplanting
Explanation:
trust me i just did it
enjoy :)
Which of the following is not consistent with the efficient market hypothesis? News has an effect on stock prices. Ignoring management costs, index funds should outperform highly managed funds. O Stock prices should follow a random walk. O There is a benefit to spending many hours studying the business pages looking for undervalued stocks. Ignoring management costs, highly managed funds should outperform index funds.
The following statement is not consistent with the efficient market hypothesis is: There is a benefit to spending many hours studying the business pages and looking for undervalued stocks.
What is the efficient market hypothesis?The efficient market hypothesis (EMH) asserts that all available information about securities is already included in their market price. As a result, securities are always priced correctly, and investors cannot consistently outperform the market through financial or fundamental analysis.
EMH claims that the market is effective and reacts to all relevant information about a specific security. This means that if a company releases positive news about its future revenue and earnings growth, the stock price would rise because the market will have incorporated this news into the price.
Similarly, if the business releases negative news, the stock price would fall, indicating the market's reaction.
Among the options given in the question, only "There is a benefit to spending many hours studying the business pages looking for undervalued stocks" is not consistent with the efficient market hypothesis.
This option suggests that it is possible to find mispriced stocks by analyzing the market and that some stocks can be purchased at a lower price than their actual value, allowing investors to make a profit.
However, according to EMH, all relevant information about the securities is already included in their price, so it is not possible to discover undervalued stocks by analyzing the market.
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In a risk management plan, the scope boundaries can include an entire organization or a single system or process. ? True or false?
The given statement, "In a risk management plan, the scope boundaries can be defined to include an entire organization or a single system or process" is true because depending on the specific needs and objectives of the plan. It is important to clearly define the scope boundaries to ensure that all potential risks are identified and addressed appropriately.
In a risk management plan, the scope boundaries can indeed include an entire organization or a single system or process. The scope defines the extent of the risk management activities and identifies the specific areas or elements that will be covered by the plan. It can vary depending on the needs and objectives of the organization.
For example, an organization may choose to develop a risk management plan that encompasses the entire organization, taking into account risks across various departments, functions, and activities. This broad scope allows for a comprehensive approach to identifying, assessing, and managing risks at an organizational level.
Alternatively, a risk management plan can have a narrower scope, focusing on a specific system or process within the organization. This approach is common when dealing with complex or critical systems, such as information technology infrastructure, production processes, or financial operations. By narrowing the scope, specific risks associated with the targeted system or process can be effectively addressed.
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Who do you contact when its time to enroll in a repayment plan.
The individual contacts the loan servicer when it's time to enroll in a repayment plan.
What is a loan servicer?The procedure through which a corporation receives interest, principle, and escrow repayments from a borrower is known as loan servicing. The great majority of mortgages in the United States are guaranteed by the government or government-sponsored companies through purchase.
If an individual want to explore repayment choices or amend your repayment plan, contact your loan servicer. By checking in to "My Federal Student Aid," you may view information about all of your federal student loans and discover the loan servicer for your loans.
Therefore, it can be concluded that When it comes time to enroll in a repayment plan, the individual contacts the loan servicer.
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A loan servicer is contacted when its time to enroll in a repayment plan.
How to know who to contactYour loan will be managed by a loan servicer or lender, who can also tell you of your alternatives for making repayment.
They will walk you through the enrolling process and assist you in selecting the best repayment option based on your preferences and financial condition.
When getting in touch with them to begin the registration process, be sure to have your loan information and any pertinent financial paperwork available.
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how is weeks of supply calculated? answer by dividing annual sales at cost by the average aggregate inventory value maintained during the year by dividing the average aggregate inventory value by sales per week at cost by totaling the average value of all items held in inventory by a firm by assessing the time lag between paying for the services and materials needed to produce a service or product and receiving payment for it
Weeks of supply is calculated by dividing the average aggregate inventory value by sales per week at cost. The right answer is b.
The weeks of supply (WOS) measure is essential for controlling the retail supply chain. In accordance with current sales demand, weeks of supply informs the inventory manager about how long the existing stock will last. You may prevent inventory stock outs and lost sales by keeping an eye on the number of weeks of supply.
On hand inventory / average weekly units sold makes up the fundamental formula for weeks of supply. You should take into account the rate by which your demand fluctuates when determining the number of weeks to use for determining the weeks of supply. The last thing to note about figuring out weeks of supply is to talk to your retail buyer about the time frame they are using for demand.
The correct answer is option b.
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