in preparation of the physical structure of the business, what are the task that an entrepreneur should perform?

Answers

Answer 1

Answer:

What I have to do in order to ensure that my business will move in the right direction? There are really different things that you will need to do for your business as entrepreneurial tasks on an everyday basis.

Some of them are predictable, but the real problem can be when you need to work on highly unpredictable tasks for your business. In such a case, you will need much harder efforts in order to ensure effective time management for yourself as an entrepreneur.

Because of that, I am using categorization in order to achieve some order in the chaos of entrepreneurial tasks.

When it comes to your entrepreneurial tasks, generally they can be classified in the following groups:

1. Tasks Related to Creativity and Ideation

The first category of your tasks as an entrepreneur are tasks related to creativity and ideation. Every business, absolutely every business will always need a new fresh or great ideas that can lead to innovation and improvement in their products or services they are offering on the market, in the processes and business models of their companies.

Although many do not put this as a separate category, I just want to emphasize this category taking into account the importance of these activities in terms of the increased business potential power of your company. Now, often times these tasks are not distinguished as a separate group or category of tasks because it is more difficult to manage the time in which they will perform as tasks.

When you will be more creative can’t be managed but you can only support the process. Therefore, you can’t tell that tomorrow from 9 am to 12 am you will be more creative and because of that, you will work on brainstorming creative business ideas. But, you can say that tomorrow on your agenda you will have the brainstorming session with your co-workers in order to generate ideas for something. It is better to have one such group work tasks on your agenda.

40 Tips to Brainstorm Business Ideas

2. Planning Tasks

The second category of tasks that you as an entrepreneur will need to do is planning tasks. These tasks represent the predecessors of other tasks that will need to be implemented.

Except for preparation of business plan and your personal plans, these group of activities can include research, analysis, testing, consulting and anything else that in some way will allow you to have a list of tasks that require implementation. So, creativity and ideation will lead to plans which undoubtedly should lead to the next set of tasks, and they are…

3. Implementation as Entrepreneurial Tasks

Implementation of your already prepared plans as a result of the earlier group of tasks. This category of tasks is simply doing the things for your company, or finishing planned tasks. Implementation is one of the most significant tasks and one of the most challenging as well. You should be able to handle the team and must have the right knowledge in managing projects as well. This is why some even take courses such as an online MBA for Canadians by JCU to develop their leadership and managerial skills.

87 Tips and Tricks on How to Become a Successful Entrepreneur

4. Monitoring and Controlling as Entrepreneurial Tasks

For successful work, there must be some kind of monitoring and controlling tasks for the implementation. This is the fourth category of tasks for you as an entrepreneur. Whether it comes to monitoring and controlling your personal work or the work of your employees, this category of tasks ensures that everything that was planned will be implemented as it was planned.

5. Communication as Entrepreneurial Tasks

And of course, the last group of tasks is the communication task. This category is one of the most constant categories, and therefore it will overlap with all the other categories that I have mentioned here. Communication is an essential category of things you will need to do that will provide the proper level of cooperation and improve the results of all other tasks.


Related Questions

The accounts receivable clerk for Evers Industries prepared the following partially completed aging of receivables schedule as of the end of business on July 31: Not Days Past Due Past OverCustomer Balance Due 1-30 31-60 61-90 90Acme Industries Inc. 3,000 3,000 Alliance Company 4,500 4,500 Zollinger Company 5,000 5,000 Subtotals 1,050,000 600,000 220,000 115,000 85,000 30,000 The following accounts were unintentionally omitted from the aging schedule and not included in the preceding subtotals:Customer Balance Due DateBoyd Industries $36,000 April 7Hodges Company 11,500 May 29Kent Creek Inc. 6,600 June 8Lockwood Company 7,400 August 10Van Epps Company 13,000 July 2Question Content Areaa. Determine the number of days past due for each of the preceding accounts as of July 31. If an account is not past due, enter 0.Customer Due Date Number of Days Past DueBoyd Industries April 7 fill in the blank b00650f91fd6f7f_1 daysHodges Company May 29 fill in the blank b00650f91fd6f7f_2 daysKent Creek Inc. June 8 fill in the blank b00650f91fd6f7f_3 daysLockwood Company August 10 fill in the blank b00650f91fd6f7f_4 daysVan Epps Company July 2

Answers

The number of days past the customer's due date Boyd Industries April 7: 115 days; Hodges Company: 63 days; Kent Creek, Inc.: 53 days; Lockwood, Inc.: 0 days; and Van Epps, Inc.: 29 days.

We must calculate the difference between the due date and July 31 in order to establish the number of days each account is past due. These calculations are provided:

The customer is Boyd Industries.

Due on April 7, 2019.

Days Past Due: 115 days as of April 7 after July 31.

Buying Party: Hodges Company

Due on May 29.

Days past due: July 31 through May 29 is 63 days.

The client is Kent Creek Inc.

Due on June 8th.

Days past due: July 31 minus June 8 equals 53 days.

Buying Party: Lockwood Company

Due Date: August 10 Days Overdue: July 31 - August 10 = -10 days (not overdue, insert 0)

Client: Van Epps Company

deadline: July 2.

Days Past Due: July 31 - July 2 equals 29 days.

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Companies on due date are: Boyd Industries: 115 days, Hodges Company: 63 days, Kent Creek Inc.: 53 days, Lockwood Company: Not past due (0 days), Van Epps Company: 29 days

To calculate the number of days past due for each account as of July 31,  find the difference between the due date and July 31.

Customer: Boyd Industries

Due Date: April 7

Number of Days Past Due: July 31 - April 7 = 115 days

Customer: Hodges Company

Due Date: May 29

Number of Days Past Due: July 31 - May 29 = 63 days

Customer: Kent Creek Inc.

Due Date: June 8

Number of Days Past Due: July 31 - June 8 = 53 days

Customer: Lockwood Company

Due Date: August 10

Number of Days Past Due: July 31 - August 10 = -10 days (Not past due)

Customer: Van Epps Company

Due Date: July 2

Number of Days Past Due: July 31 - July 2 = 29 days

Thus, Lockwood company is not past the due date, rest are as follows Boyd Industries: 115 days, Hodges Company: 63 days, Kent Creek Inc.: 53 days, Van Epps Company: 29 days

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Suppose the income elasticity of demand for toys is +0.8. This means that

A. a 6 percent increase in income will increase the purchase of toys by 4.8 percent.

B. a 6 percent increase in income will increase the purchase of toys by 7.5 percent.

C. a 6 percent increase in income will decrease the purchase of toys by 4.8 percent.

D. toys are an inferior good.

Answers

If the income elasticity is +0.8, it means that  a 6 percent increase in income will increase the purchase of toys by 4.8 percent. (option A).

What is the income elasticity of demand?

The income elasticity of demand measures how the quantity demanded of a good would change when there is a change in income. It is the ratio of the percentage change in quantity demanded to the percentage change in income.

If the income elasticity of demand is positive, it means that the good is a normal good and if it is negative, it means that the good is an inferior good. The demand for a normal good increases as the income of the individual increases. The demand for an inferior good decreases as the income of the individual decreases.

Income elasticity of demand = percentage change in quantity demanded / percentage change in income

6% / 4.8% = +0.8

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Given the information below, calculate the net cash provided from operating activities for Baskin Peter Pty. Ltd.

Receipts from customers $279,247

Payments for property, plant & equipment $42,310

Interest paid $4,231

Proceeds from issue shares $25,836
Payments to supplier and employees $220,013

Repayment of borrowings $53,331

GST paid $16,924

Payments for motor vehicle $37,985

Interest received $6,770

Select one:

$61,773

$44,849

$55,345

$49,080

Answers

To calculate the net cash provided from operating activities, we need to add up the cash inflows from operating activities and subtract the cash outflows from operating activities.

The cash inflows from operating activities are:

Receipts from customers: $279,247

Interest received: $6,770

Total cash inflows from operating activities: $286,017

The cash outflows from operating activities are:

Payments to suppliers and employees: $220,013

GST paid: $16,924

Total cash outflows from operating activities: $236,937

Therefore, the net cash provided from operating activities is:

Net cash provided from operating activities = Cash inflows from operating activities - Cash outflows from operating activities
Net cash provided from operating activities = $286,017 - $236,937
Net cash provided from operating activities = $49,080

Therefore, the net cash provided from operating activities for Baskin Peter Pty. Ltd. is $49,080.

So the answer is D) $49,080.

Taxes pay for which of the following? Choose more than one answer.

Shopping mall

Train station

Private swimming pool

Public school playground

Gas station

Fire station

Answers

Answer:

Public school playgroundFire station

Explanation:

A government uses taxes to meets its recurrent and development expenses. Taxes form the main source of revenue for the government. Through taxes, the government is able to fulfill its obligations on workers and development. Taxes help the government provide goods and services such as education, health, and infrastructure development. It is the money raised through taxation that helps finance these projects.

Which activity combines inventory management, order processing, warehousing, material handling, and transportation

Answers

Answer:

Physical distribution.

Explanation:

In Business marketing, physical distribution can be defined as all the series of activities with respect to the supply of finished goods from production line (factory) to the end users or consumers.

Physical distribution is an activity which combines inventory management, order processing, warehousing, material handling, customer service, packaging, market forecasting, logistics and transportation.

Basically, physical distribution deals with the planning, organizing, implementation and control of the movement of goods and services in order to meet the demands of consumers.

(Ratio Computations and Effect ofTransactions)

Presented below is information related to Carver Inc.

CARVER INC.

Balance Sheet
December 31, 2007

Cash $45,000 Notes payable (short-term) $50,000
Receivables $110,000 Accounts payable 32,000
Less: Allowance
15,000

95,000 Accrued liabilities 5,000
Inventories 170,000 Capital stock (par $5) 260,000
Prepaid insurance 8,000 Retained earnings 141,000
Land 20,000
Equipment (net)
150,000

$488,000

$488,000

CARVER INC.

Income Statement
For the year ended December31, 2007

Sales $1,400,000
Cost of goods sold
Inventory, Jan. 1, 2007 $200,000
Purchases
790,000

Cost of goods available forsale 990,000
Inventory, Dec. 31,2007
170,000

Cost of goods sold
820,000

Gross profit on sales 580,000
Operating expenses
170,000

Net income
$410,000

Instructions

(a) Compute the following ratios orrelationships of Carver Inc. Assume that the ending accountbalances are representative unless the information providedindicates differently. (Round answers to 2 decimalplaces.)

Current ratio. times
Inventory turnover. times
Receivables turnover. times
Earnings per share. $
Profit margin on sales. %
Rate of return on assets on December 31, 2007. %
(b) Indicate for each of the followingtransactions whether the transaction would improve, weaken, or haveno effect on the current ratio of Carver Inc. at December 31,2007.

Write off an uncollectible account receivable, $2,200.
Purchase additional capital stock for cash.
Pay $40,000 on notes payable (short-term).
Collect $23,000 on accounts receivable.
Buy equipment on account.
Give an existing creditor a short-term note in settlement ofaccount.

Answers

Answer:

Carver Inc.

a. Ratio Analysis:

Current ratio = Current assets/Current liabilities

= $318,000/87,000

= 3.66 times

Inventory turnover = cost of goods sold/average inventory

= $820,000/$185,000

= 4.43 times

Receivable turnover = Sales/Receivables

= $1,400,000/$95,000

= 14.74 times

Earnings per share = Net income/No. of shares

= $410,000/52,000

= $7.88 per share

Profit margin on sales = Net Income/Sales * 100

= $410,000/$1,400,000 * 100

= 29.29%

Rate of return on assets = Net income/Total assets * 100

= $410,000/$488,000 * 100

= 84.02%

b) Indication of whether the transaction would improve, weaken, or have no effect on the current ratio of Carver Inc. at December 31,2007:

1. weaken

2. weaken

3. no effect

4. no effect

5. weaken

6. no effect

Explanation:

a) Data and Calculations:

CARVER INC.

Balance Sheet

December 31, 2007

Cash                                $45,000      Notes payable (short-term) $50,000

Receivables      $110,000                    Accounts payable                  32,000

Less: Allowance   15,000   95,000      Accrued liabilities                     5,000

Inventories                      170,000       Capital stock (par $5)         260,000

Prepaid insurance              8,000       Retained earnings               141,000

Land                                 20,000

Equipment (net)              150,000

                                   $488,000                                                  $488,000

CARVER INC.

Income Statement

For the year ended December 31, 2007

Sales                                             $1,400,000

Cost of goods sold

Inventory, Jan. 1, 2007 $200,000

Purchases                        790,000

Cost of goods

available for sale          990,000

Inventory, Dec. 31,2007  170,000

Cost of goods sold                         820,000

Gross profit on sales                     580,000

Operating expenses                       170,000

Net income                                   $410,000

During March, Perpetual Envy Inc. provides $37,000 in consulting services for a customer. The customer paid $18,500; the other $18,500 was on account. Which of the following statements about these transactions is correct?

Answers

Cash increases by $18,500, Accounts Receiveable increases by $18,500, and Consulting Rev increases by $37,000. These statements are correct.

A consulting firm, or simply a consultancy, is a business that offers specialised labour and knowledge for hire while utilising

consultants

. A consulting firm may employ one person or thousands, and it may provide advice in a

variety

of fields, including management, engineering, and other fields.

Particularly with company executives, management consultants frequently supply them with generalists and industry-specific specialists, known as

subject-matter experts

, who are typically educated in management or in business schools. A management consultant's deliverable is often a set of recommendations for accomplishing a business goal that will result in a project for the business.

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Suppose that you run two regression models between college GPA, high school GPA (both measured in four-point average) and ACT scores. The ACT is a standardized test that measures a student's skills in five core areas: English, math, reading, science, and writing (optional). Students in grades 11 and 12 take the ACT so that they can submit their scores to colleges as part of the college application process. You report your results as follows colGPA colGPA 2.40 +0.0271ACT 1.29 +0.453 hsGPA + 0.0094ACT itibbs boon DO n= 141 a. Interpret the intercept in equation (2) Is it meaningful? 12 points) noizoup) E noiteuO To Interpret the coefficient on ACT in equation (1) [2 points] b. Is the positive sign on the OLS estimator of the coefficient on hsGPA in model (2) justified? [2 points] c. d. Compare the OLS estimates for the coefficient on ACT in model (1) and model (2). Exp points] 1(2). Explain. [4

Answers

In this case, it is possible that some of the effect of ACT score on college GPA is being captured by the high school GPA variable in model (2), leading to a smaller estimated coefficient for ACT score in that model.

a. The intercept in equation (2) is 2.40, which represents the predicted college GPA when the ACT score and high school GPA are both equal to zero. However, it is not meaningful in this context because it is not possible for a student to have an ACT score and high school GPA of zero. b. The positive sign on the OLS estimator of the coefficient on hsGPA in model (2) could be justified if there is a positive correlation between high school GPA and college GPA. A higher high school GPA may indicate that the student has better study habits, a stronger academic background, or more motivation to succeed in college, all of which could lead to a higher college GPA. c. The OLS estimate for the coefficient on ACT in model (1) is 0.0271, while the estimate for the coefficient on ACT in model (2) is 0.0094. This suggests that the relationship between ACT score and college GPA is weaker in model (2) when high school GPA is included in the model. d. The difference in the OLS estimates for the coefficient on ACT in model (1) and model (2) may be due to multicollinearity between ACT score and high school GPA. If the two independent variables are highly correlated with each other, it can be difficult for the regression model to distinguish the separate effects of each variable on the dependent variable (college GPA).

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Which type of car insurance policy usually has the highest premium?

Which type of car insurance policy usually has the highest premium?

Answers

Comprehensive car insurance policy usually has the highest premium among all the other types of car insurance policies. Hence the correct answer is A.

Comprehensive car insurance is an optional coverage that provides protection against damage to your vehicle from various risks such as theft, vandalism, fire, and natural disasters. It also covers damages to your car from collisions with animals. Comprehensive car insurance provides broader coverage than liability insurance, including damage to both other people and property and your own car, making it more expensive.

Therefore, comprehensive car insurance policy usually has the highest premium among all the other types of car insurance policies. Hence the correct answer is A.

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How do you do the do?

Answers

Answer: just do it

Explanation:

Sibila, Inc. sells its product for $40. The variable costs are $18 per unit. Fixed costs are $16,000. The company is considering the purchase of an automated machine that will result in a $2 reduction in unit variable costs and an increase of $5,000 in fixed costs. Which of the following is true about the break-even point in units?

a. It will remain unchanged
b. It will decrease.
c. It will increase.
d. It cannot be determined from the information provided.

Answers

Answer:

c. It will increase.

Explanation:

Break even point is the level of activity at which a firm neither makes a profit nor a loss.

Break - even units = Fixed Costs ÷ Contribution per unit

therefore,

Existing break-even point in units :

Break - even units = $16,000 ÷ ($40 - $18) = 727.27 or 728 units

New break-even point in units :

Break - even units = $21,000 ÷ ($40 - $16) = 875 units

Conclusion :

The results show that break-even point in units will increase from 728 units to  875 units as a result of the changes

12.) A hypothetical condition would be employed in an assignment to

Answers

Answer:

n an appraisal assignment, a hypothetical condition is used when a property is appraised under a condition that is contrary to what is known by the appraiser to exist on the effective date of the assignment results.

Explanation:

What are the three writing guidelines to follow when writing a résumé?

Answers

The three rules or guidelines for making a resume are to write clearly and succinctly, to provide specific examples and numbers, and to use strong action verbs.

It provides information about your education, work history, and accomplishments with prior employers. It also includes information about your skills and training.

It should also clearly state your career objective, the position seeking,  and the advantages you would bring to the company if hired.

To list their qualifications for a position, job applicants must create a formal document called a resume. A personalized cover letter with a resume typically expresses interest in a particular business and draws attention to the resume's most crucial details.

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Mr. and Mrs. Haley are purchasing beachfront property in an upscale development. The home comes equipped with all furnishings. The Haleys want to get a mortgage that will cover the purchase price plus all the furnishings. What kind of mortgage are they looking for?

Answers

Answer: package mortgage

Explanation:

From the question, we are informed that Mr and Mrs. Haley are purchasing beachfront property in an upscale development and that the home comes equipped with all furnishings.

We are further told that the Haleys want to get a mortgage that will cover the purchase price plus all the furnishings. This shows that they are looking for package mortgage.

A package mortgage is a form of mortgage whereby the personal property and the furniture will have to be included when buying the house.

Two key aspects of financial planning are cash planning and profit planning. Cash planning involves the preparation of the cash budget and profit planning involves preparation of pro forma statements. To make cash budget and pro forma statements for a firm, accounting knowledge is needed. Do accounting courses you took before help you better understand how to make cash budget and pro forma income statement and balance sheet? Explain.

Answers

Yes. Accounting courses I took before helps us understand how to make cash budget and pro forma income statement and balance sheet.

Here's how accounting courses can help individuals in creating cash budgets, pro forma income statements, and balance sheets:

Cash Budget: Accounting courses teach students about the importance of cash flow management and how to prepare a cash budget. Pro Forma Income Statement: Accounting courses teach students how to analyze historical financial data and use it to forecast future performance. Balance Sheet: Accounting courses provide a comprehensive understanding of balance sheets and their components. Students learn how to analyze assets, liabilities, and shareholders' equity to assess the financial position of a company.

By studying accounting, individuals gain a solid foundation in financial concepts, reporting standards, and analytical techniques. This knowledge equips them with the skills necessary to create cash budgets, pro forma income statements, and balance sheets effectively.

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that its before-tax cost of debt is 9.0%. Its cost of preferred stock is 13.0%. Its cost of internal equity is 17.0%, and its cost of external equity is 22.0%. Currently, the firm's capital structure has $310 million of debt, $60 million of preferred stock, and $130 million of common equity. The firm's marginal tax rate is 45%. The firm is currently making projections for the next period. Its managers have determined that the firm should have $97 million available from retained earnings for investment purposes next period. What is the firm's marginal cost of capital at a total investment level of $269 million

Answers

Answer:

9.05%

Explanation:

Calculation to determine the firm's marginal cost of capital at a total investment level of $269 million

Capital Budget = $269 million

To be financed through Equity = 269 million*130/(310+60+130)

To be financed through Equity = 269 million*130/500

To be financed through Equity = 69.9 million

Available from retained earnings = $97 million

Hence, No external equity will be required

Now let calculate the the firm's marginal cost of capital using this formula

WACC = Cost of debt*Weight of Debt + Cost of Preferred Stock*Weight of Preferred Stock + Cost of Equity*Weight of Equity

Let plug in the formula

WACC= 9%(1-45%)*310/500 + 13%*60/500 + 22%*130/500

WACC= 9%(55%)*310/500 + 13%*60/500 + 17%*130/500

WACC=.03069+.0156+.0442

WACC=0.09049*100

WACC=9.049%

WACC=9.05%(Appropriately)

Therefore the firm's marginal cost of capital at a total investment level of $269 million is 9.05%

Job enrichment differs from job rotation in that job enrichment Select one: a. empowers workers by adding more decision-making authority to their jobs. b. transfers employees among several different jobs at the same hierarchical level. c. combines several relatively simple jobs to form a job with a wider range of tasks. d. allows employees to mutually exchange work roles at the same organizational level. e. assesses the relative dollar value of each job to an organization.

Answers

Answer:

a. empowers workers by adding more decision-making authority to their jobs.

Explanation:

Job enrichment differs from job rotation in that job enrichment empowers workers by adding more decision-making authority to their jobs.

Job enrichment can be defined as a strategic approach or technique adopted by organizations, which typically involves the process of adding more authority, dimensions and responsibility to the job of an employee in order to get them motivated and induce greater satisfaction. For example, an employee whose job description is to stock shelves, could be enriched to take customer orders, incoming inventory and closing sales.

On the other hand, job rotation can be defined as the process in which employees are shifted or moved from one job function to another at regular intervals in order to boost their knowledge, skills and experience.

What is a TRUE statement about who is affected by the stock market? A. No one is affected by the stock market. B. Only big companies are affected by the stock market. C. All people are affected by the stock market. D. Only investors are affected by the stock market.

Answers

Answer: c is the answer everyone if affected by the stock market. Inflation and other factors such as bank crashes and business going out of business is bad for all

Explanation:

Pepper Department store allocates its service department expenses to its various operating (sales) departments. The following data is available for its service departments:


Expense Basis for allocation Amount
Rent Square feet of floor space $ 30,000
Advertising Amount of dollar sales 36,000
Administrative Number of employees 51,000

The following information is available for its three operating (sales) departments:


Department Square Feet Dollar Sales Number of employees
A 3,200 $ 236,000 5
B 4,800 $ 354,000 7
C 8,000 $ 590,000 8
Totals 16,000 $ 1,180,000 20

What is the total expense allocated to Department B?

Answers

To allocate the expenses to Department B, we first need to determine the allocation rates for each of the service departments:

- Rent: $30,000 / 16,000 sq ft = $1.875 per sq ft
- Advertising: $36,000 / $1,180,000 = 0.03 per dollar of sales
- Administrative: $51,000 / 20 employees = $2,550 per employee

Using these allocation rates, we can allocate the expenses to each department:

- Department A: (3,200 sq ft x $1.875/sq ft) + ($236,000 x 0.03) + (5 employees x $2,550/employee) = $6,000 + $7,080 + $12,750 = $25,830
- Department B: (4,800 sq ft x $1.875/sq ft) + ($354,000 x 0.03) + (7 employees x $2,550/employee) = $9,000 + $10,620 + $17,850 = $37,470
- Department C: (8,000 sq ft x $1.875/sq ft) + ($590,000 x 0.03) + (8 employees x $2,550/employee) = $15,000 + $17,700 + $20,400 = $53,100

Therefore, the total expense allocated to Department B is $37,470.

What makes penny stocks risky investments with uncertain rates of return? Choose four correct answers.

They generally have a low trading volume.
They have a low market price of less than $5.
They represent a share of a company’s value.
It is difficult to find reliable information about the company.
They are more likely to be a part of a “pump and dump” scheme.

Answers

Answer:1,2,4,5

Explanation: just took the assignment

Answer:

1, 2, 4, 5

Explanation:

Got it right on edge 2020

Suppose Ginger deposits $12,000 in cash into her checking account at the Bank of Skidoo. The Bank of Skidoo has no excess reserves and is subject to a 4 percent required reserve ratio.

Answers

Answer:

The question is incomplete since the requirements are missing, but I guess that it deals with the bank's ability to create money.

When you deposit money into a bank account, the bank will then lend most of that money to other clients. This is possible due to the money multiplier = 1 / required reserve rate = 1 / 4% = 25

the total increase in money supply = $12,000 x 25 = $300,000

Once you have this, you can most likely begin creating your slide presentation.

A. An outline of the material you want to cover in your slide presentation.

B. The date and location of your slide presentation.

C. The best colors and size to use for your fonts.

D. A good collection of images

Answers

Answer:

A. An outline of material you want to cover in your slide presentation.

Answer:

A.

Explanation:

All of the following are correct statements about transfers between divisions located in countries with different tax rates except that

A. differences in tax rates across countries complicate the determination of the appro-priate transfer price
B. a decreasing number of transfers are between divisions located in different countries
C. companies must pay income tax in the country where income is generated
D. many companies prefer to report more income in countries with low tax rates.

Answers

I think it’s A .................

All of the following are correct statements about transfers between divisions located in countries with different tax rates except that the companies must pay income tax in the country where income is generated. Thus option (C) is correct.

What is tax?

Taxes are mandatory contributions levied on individuals or corporations by a government entity—whether local, regional, or national.

Tax revenues finance government activities, including public works and services such as roads and schools, or programs such as Social Security and Medicare.

In economics, taxes fall on whoever pays the burden of the tax, whether this is the entity being taxed, such as a business, or the end consumers of the business’s goods.

From an accounting perspective, there are various taxes to consider, including payroll taxes, federal and state income taxes, and sales taxes.

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which situation would cause the price of a product to fall the most ?
A. the demand rise while the supply falls
B. the demand falls while the supply rises
C. Both the demand and supply rise
D. Both the demand and the supply fall.

Answers

Answer: B. the demand falls while the supply rises

Explanation:

The price of a product is determined by the interaction of two major economic factors: demand and supply. The law of supply and demand states that if demand for a product increases while the supply remains constant, the price of the product will rise. On the other hand, if demand decreases while supply remains constant, the price of the product will fall. In the case where both demand and supply rise, the price of the product will increase, but to a lesser degree than if only demand had risen. Finally, if both demand and supply fall, the price of the product will fall the most, since there is a decrease in both the desire for the product and the ability to produce it.

Answer:

The demand falls while the supply rises would cause the price of a product to increase the most. Thus, option B is correct.

What is the price?

The quantity of money being supplied or needed to be paid for a commodity or service is referred to as the price.

The demand would generally fall when the supplier would increase the quantity within the market. This would further call for the price of the product to increase significantly to maintain the flow of the commodity or the service in the market. As demand and supply have an inverse relationship.

Therefore, option B is the correct option.

The Americans with Disabilities Act requires that employers make reasonable accommodations for individuals with disabilities. How might this requirement affect law enforcement officers and firefighters

Answers

The way in which this requirement would affect law enforcement officers and firefighters is that more disabled persons would be admitted into the force.

What is an Act?

This refers to the law passed which gives explicit instructions about a particular thing that has to be carried out and is legally backed.

With this in mind, we can see that the Americans with Disabilities Act mandated that employers make reasonable accommodations for individuals with disabilities and this Act would reduce discrimination against the employment of disabled persons.

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When serving alcohol at it event you must always remember to

Answers

When serving alcohol at an event, it is important to remember the following: Check legal requirements, Verify the age of attendees

What to do when being served alcohol?

Check legal requirements: It is important to check local laws and regulations regarding alcohol service. Depending on the location and type of event, you may need a permit or license to serve alcohol.

Verify the age of attendees: Make sure to verify the age of attendees and ensure that only those who are legally allowed to consume alcohol are served.

Offer non-alcoholic drinks: Provide non-alcoholic drink options for those who choose not to drink or who are designated drivers.

Limit alcohol consumption: Encourage responsible drinking by limiting the amount of alcohol served per person and monitoring consumption.

Provide food: Offer food throughout the event to help absorb alcohol and slow down the rate of alcohol absorption.

Stop serving alcohol: Stop serving alcohol well before the end of the event to give attendees time to sober up before leaving.

Arrange for transportation: Encourage attendees to plan ahead for safe transportation, such as designated drivers, taxis, or ride-sharing services.

Remembering these guidelines will help ensure a safe and enjoyable event for all attendees.

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PLEASE HURRY 90 POINTS AND BRAINLIEST TO WHOEVER ANSWERS

Trade School vs. College - How to Decide?
The choice to go to college or choose a trade school is a huge decision you may need to make in the near future. There are a lot of factors to consider when making this choice, so it is a good idea to start reading about the advantages and disadvantages of college and trade schools. Each path can lead to success depending on what you want to do with your life.

After reading the article, make your own list of pros and cons for both trade school and college. Highlight the most important details that will help you make your decision.

Next, develop a basic career and education plan. Your plan should briefly outline the following:

Any long and short-term goals for your education and career future
What high school and college programs might help you reach your goals
This plan can be created in any word processing program.

Once you have completed your list of pros and cons and developed your career and educational plan, answer the following questions:

The article states, “In the past, there may have been some stigma about trade schools not being a viable option to pursue well-paying, long-term careers. However, times have changed! Now more than ever students are looking for alternative education options that allow them to complete school on a faster timeframe with less financial investment.” A stigma is defined as a mark of disgrace associated with a situation or person. What does the author mean by saying that in the past there may have been some stigma about trade schools? Why do you think this stigma existed?
Why do you think this article was written? Does it seem that the author favors trade school and college as equally enriching experiences? Why?
How did the author organize the information? Did the structure of the article help you see the clear pros and cons of trade schools and colleges? Why?
What is the author’s point of view? Analyze and discuss how they distinguish their point of view from others.
What are two (or more) central ideas in this text? How are these ideas developed over the course of the article?
If you had to choose a path right now—college or trade school—which would you choose? Include details from the article that helped sway your decision.
How College Loans Exploit Students for Profit
Explain the issue Samuel discusses that has 40 million Americans in debt.
Samuel mentions three truths that you can’t ignore—briefly explain at least one of the following truths:
What is Income-Based Tuition? Discuss the three advantages to Income-Based Tuition.
4 Pillars of College Success in Science
Why did Hrabowski join the Children’s Crusade in Birmingham? What was the most important lesson that he learned?
Hrabowski states, “…most people don’t realize that it’s not just minorities who don’t do well in science and engineering.” Please explain this statement and give a brief summary regarding how Hrabowski supports this statement.
Why do students who attend the most prestigious universities in our country begin in pre-med or pre-engineering and engineering but end up changing their majors?
Explain the four things that Hrabowski’s university did to help minority students that are now helping all students?

Answers

The author of the article on trade schools versus college is encouraging students to weigh their options and make a decision based on what they want to do with their lives.

In the past, trade schools had a stigma attached to them as not being viable options for well-paying, long-term careers. However, now more than ever, students are looking for alternative education options that allow them to complete school in a faster timeframe with less financial investment.

The author wrote this article to provide information for students to make an informed decision. The author is not biased towards either college or trade schools but presents both as enriching experiences. The article is structured in a way that organizes the information in a clear and concise way, allowing the reader to see the pros and cons of both trade schools and colleges.

The author's point of view is that students should choose the path that best aligns with their goals and aspirations. They make it clear that college and trade schools can lead to success, depending on what the student wants to do with their life.

Two central ideas in the article are that both college and trade schools can lead to success, and students should choose the path that best aligns with their goals. These ideas are developed over the course of the article by providing pros and cons for both paths and discussing the importance of making a decision based on one's aspirations.

If I had to choose a path right now, I would choose college. This is because I am interested in pursuing a career in medicine, which requires a college degree. The article helped sway my decision by providing information on the advantages of college, such as the wide range of career options and opportunities for networking.

In "How College Loans Exploit Students for Profit," Samuel discusses the issue of student debt, which has left 40 million Americans in debt. One of the truths that Samuel mentions is that the student loan industry is a $100 billion industry that is making profits off of students.

Income-Based Tuition is a tuition payment option where the amount a student pays for tuition is based on their income. The three advantages of Income-Based Tuition are that it reduces the financial burden on students, it encourages students to pursue higher education, and it makes education more accessible to low-income families.

Hrabowski joined the Children's Crusade in Birmingham to protest against racial segregation and discrimination. The most important lesson he learned was the power of unity and how students can make a difference when they work together.

Hrabowski's statement means that there is a misconception that only minorities struggle in science and engineering when in reality, it is a problem that affects everyone. Hrabowski supports this statement by discussing the initiatives that his university has taken to help all students succeed in science and engineering.

Students who attend prestigious universities often begin in pre-med or pre-engineering because of societal pressure or the perceived status of these fields. However, they often end up changing their majors because they realize that their true passions lie elsewhere.

The four things that Hrabowski's University did to help minority students that are now helping all students are creating a supportive and inclusive community, providing mentorship opportunities, offering resources and support services, and promoting the importance of education.

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The selection of delegates to the national convention produces _____.

Answers

eligen a los presidentes

Which of the following would be an advantage of engaging in international
trade over domestic trade?

Answers

Larger growth opportunities based on market size would be an advantage of engaging in international trade over domestic trade. Thus, option (b) is correct.

Businesses can reach a larger market through international trade, increasing their revenue. A company can run a higher risk of failing if it primarily concentrates on the home market since it is more susceptible to domestic economic developments.

International trading enables a business to diversify its clientele and lessen its reliance on a single market.

As a result, the significance of the advantage of engaging in international trade over domestic trade are the aforementioned. Therefore, option (b) is correct.

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Your question is incomplete, but most probably the full question was.

Which of the following would be an advantage of engaging in international

trade over domestic trade?

A. Higher cost of production due to higher labor costs

B. Larger growth opportunities based on market size

C. Clear understanding of laws and statutes concerning business operations

D. Less choice for consumers because of fewer products

Keyser Mining is considering a project that will require the purchase of $980,000 in new equipment. The equipment will be depreciated straight-line to a zero book value over the 7-year life of the project. The equipment can be scraped at the end of the project for 5 percent of its original cost. Annual sales from this project are estimated at $420,000. Net working capital equal to 20 percent of sales will be required to support the project. All of the net working capital will be recouped. The required return is 16 percent and the tax rate is 35 percent. What is the amount of the after-tax salvage value of the equipment?
A. $17,150
B. $31,850
C. $118,800
D. $237,600
E. $343,000

Answers

The amount of the after-tax salvage value of the equipment is $31,850. Option B

How to  find the amount of the after-tax salvage value of the equipment?

To determine the after-tax salvage value of the equipment, we need to calculate the salvage value at the end of the project and then apply the tax rate.

Therefore, the salvage value is:

Salvage Value = 5% of $980,000

             = 0.05 * $980,000

             = $49,000

The tax rate is given as 35 percent, so we can calculate the after-tax salvage value as:

After-Tax Salvage Value = Salvage Value - Tax on Gain

                       = $49,000 - (Tax Rate * Gain)

                       = $49,000 - (0.35 * $49,000)

                       = $49,000 - $17,150

                       = $31,850

Therefore, the amount of the after-tax salvage value of the equipment is $31,850.

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