The recording of the transaction in the accounting equation of Melton's door company implies that rent expense will be increased
What is an accounting equation?
The accounting equation indicates that the total assets at the disposal of Melton's door Company ate funded by a combination of its equity capital and liabilities(external funding), as a result, our task in this case is to determine the impact of the rent on building facilities paid on the accounting equation of the company.
Without mincing words, the rent means that the expense of the company has increased, it would be effected by showing an increase in the rent expense, which in turn decreases the equity balance in the accounting equation, in the same, cash would reduce since a portion of it is paid out as rent.
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Which of the following is NOT true about emergency funds?
a,They can keep you from borrowing money from friends and family.
b,They help remove the worry about expenses not in the budget.
c,They are used for anything listed on the budget.
d,They help you prepare for unexpected expenses.
Answer:
The answer is "They are used for anything listed on the budget."
The option that is NOT true about emergency funds is: c. They are used for anything listed on the budget.
What is emergency funds?Emergency funds are usually not used for things that are planned and included in the budget. Instead, emergency funds are money saved specifically for unexpected expenses that you didn't plan for in your usual budget.
The reason for having an emergency fund is to have money saved for unexpected things that might happen, like when someone gets hurt and needs to go to the hospital or when a car or home needs fixing. It can also help if someone loses their job or if something else happens that they didn't expect.
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the current price of parador industries stock is $57 per share. current sales per share are $22.20, the sales growth rate is 8 percent, and parador does not pay a dividend. the expected return on parador stock is 11 percent. a. calculate the sales per share one year ahead.
The sales per share one year ahead is:
1. Sales per share = Current sales per share (1 + Growth Rate)
Sales per share = $22.2(1 + 0.08)
Sales per share = $23.98
2. Stock price one year ahead = Current price (1 + Required rate)
Stock price one year ahead = $57(1 + 0.11)
Stock price one year ahead = $63.27
P/S Ratio = Stock price one year ahead / Sale per share one year ahead
P/S Ratio = $63.27 / $23.98
P/S Ratio = 2.64.
A sale is a transaction among or extra events wherein items or offerings are exchanged for cash or different assets. In the monetary markets, a sale is a settlement among a purchaser and supplier concerning the charge of a safety and its shipping for agreed-upon compensation.
In popular enterprise operations, income refer to any transactions in which cash or fee is exchanged for the possession of an amazing or entitlement to a service. In an accounting context, income refers to a company's sales earned from the income of merchandise or offerings (internet income).
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All of these are true for parasympathetic neurons, except a. part of the autonomic nervous system b. usually cause excitation of an organ c. found entirely outside of CNS d. part of peripheral nervous system
The statement that is not true for parasympathetic neurons is: b. usually cause excitation of an organ. So, the correct option is b.
Parasympathetic neurons are indeed part of the autonomic nervous system (ANS) (option a). They are responsible for regulating the body's involuntary functions and work in conjunction with the sympathetic neurons to maintain homeostasis. The ANS controls various physiological processes such as heart rate, digestion, and glandular secretions.
However, the statement that parasympathetic neurons usually cause excitation of an organ (option b) is incorrect. Parasympathetic neurons generally have an inhibitory effect on organs rather than causing excitation. When parasympathetic neurons are activated, they tend to decrease heart rate, constrict blood vessels, and promote rest and digestion.
Regarding option c, parasympathetic neurons are not found entirely outside the central nervous system (CNS). While the cell bodies of parasympathetic neurons are located outside the CNS, in ganglia close to the target organs, their axons extend from the CNS to these ganglia and then innervate the organs.
Lastly, parasympathetic neurons are indeed part of the peripheral nervous system (PNS) (option d). The PNS consists of nerves and ganglia located outside the CNS, and both parasympathetic and sympathetic neurons are components of the PNS.
In summary, the statement that is not true for parasympathetic neurons is option b, as they usually cause inhibition rather than excitation of an organ.
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Hey y'all !! Can some body help me out!!
1.What is the role of engineer in development of nation.
2. Elucidate the importance of an animal doctor.
3.Finance sector is a very sensitive feild. Do you agree? Give reasons.
Thank you!!♡
Answer:
1.) Engineer play very important role in the development of society and nation. Engineer plan and build new bridges, huse building, roads, railways, dams, canals, etc. that helps agricultural, living, transportation and commuting. Appliance and gadgets at home are degined by engineers. They built the infrastructure and the tools necessary for progress.
2. A veterinary (Animal doctor) treat disease, disorders, and injuries in animlas. Most veterinary physician workbin clinical setting, treating animal directly.
3. Yeah, I do agree because finance sector is essential for day to day operation. It is the task of examining and controlling ecnomic transaction on the regular basic fir the financial sucess, based on law
which of the following statements about potential competitors in an industry is true? group of answer choices they threaten the profitability of established companies. they are usually encouraged by established companies. they find it easier to enter an industry when the entry barriers are high. they find it easier to enter an industry when established companies have economies of scale. they usually have an absolute cost advantage over established companies
The following statements about potential competitors in an industry is true They threaten the profitability of established companies.
Customers, suppliers, substitutes and capacity entrants—together called a prolonged rivalry—are competition to businesses inside an enterprise. The 5 aggressive forces mutually decide the power of enterprise opposition and profitability. The presence of effective buyers reduces the earnings capacity in a given enterprise. Buyers boom opposition inside an enterprise via way of means of forcing down prices, bargaining for progressed pleasant or extra services, and gambling competition in opposition to one another.
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According to classical theory, national income depends on ______, while keynes proposed that ______ determined the level of national income.
In a closed economy, the Keynesian-cross analysis's equilibrium condition is that income must equal the total of government spending, investment, and consumption.
Interest rates in the economy are impacted by monetary policy changes. Interest rate changes have an impact on inflation and economic activity. Unexpected inventory investments are bad. When businesses encounter unanticipated inventory accumulation, they typically: cut production and lay off employees keynes. According to the government-purchases multiplier, there will be a change of $1 in government purchases, plus any further changes. When the Fed modifies its monetary policy, the aggregate demand curve may be shifted. The money supply curve moves to the right as the money supply rises. The interest rate decreases in the absence of a shift in the money demand curve. Demand for products and services rises when interest rates decline. According to the Keynesian model, the change in output has no impact on export. Either a change in the income of the rest of the world or a change in the exchange rate has an impact on export. The economy will be in balance when the aggregate expenditure line reaches the 45-degree line. It is the only location along the aggregate expenditure line where total spending on aggregate demand and total production are equal. Interest rates and the amount of money in circulation are inversely related. A bigger money supply results in lower market interest rates, which reduces the cost of borrowing for consumers. In contrast, lower money supply tends to result in higher market interest rates, increasing the cost of borrowing for consumers income.
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empowered teams have the responsibility and authority to achieve their goals. group of answer choices true false
Empowered teams have the responsibility and authority to achieve their goals. This statement is true.What is an empowered team?An empowered team is a group of workers who are responsible for a specific task, project, or objective. They are given the authority to make decisions and execute their duties in a manner that they believe will best achieve their objectives.
The authority provided to empowered teams enables them to work independently of their bosses and to establish objectives, priorities, and methods. The team is responsible for achieving these objectives and goals. Their management is a shared responsibility among all members of the team.How do empowered teams work?Empowered teams have the power to make their own decisions, and they can alter their strategies as necessary to achieve their objectives. This level of control enables them to be more productive and innovative than other teams because they are not required to wait for their managers to approve every decision. Empowered teams are responsible for both their successes and failures. They are self-managing teams that hold each other accountable for their work and take responsibility for their mistakes. This enables them to have a more significant impact on their work and a sense of ownership over their results.In conclusion, empowered teams are responsible for achieving their goals, and they have the authority to make decisions that will help them do so. They operate independently, hold each other accountable, and have a strong sense of ownership over their work.
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60 points please help
Review Questions
1. What is logistics?
2. What is hospitality? What is one career in hospitality?
3. What are three locations or sites that people in hospitality or tourism careers work?
4. If you were an innkeeper, what would do for work?
5. What is mobile equipment maintenance?
Critical Thinking Questions
1. Imagine you want to become a chef and restaurant owner. What education and skills would you need?
2. Think about a city bus system. What goes into getting buses where they need to be on time to get people where they need to be?
3. Imagine that you run an amusement park. You have to hire people to work in your park. What skills or characteristics would you look for? Why?
4. Why are transportation jobs important?
5. If you were putting together a bus route in your town, what would you need to think about to make it run well?
Answer:
Logistics is generally the detailed organization and implementation of a complex operation. In a general business sense, logistics is the management of the flow of things between the point of origin and the point of consumption to meet the requirements of customers or corporations.
Company folktales and stories frequentlyMultiple ChoiceO capture a significant part of a company's culture.O articulate a company's strategic vision and strategic intent.O are indicative of a company's openness in sharing its financial performance and strategic plan with all staff members.O document troublesome customers who return products or who encounter problems with deliveries.O mirror formal documentation about what are a company's best practices and performance benchmarks.
Folktales and stories from the workplace usually depict a crucial aspect of corporate culture.
What exactly are Company folktales?Company folktales and legends are important components of a company's culture because they help define the values, beliefs, and behaviours that are fundamental to the organisation. They aid in explaining the company's history and fostering a sense of what is important and valuable to the company.
These stories, which can also be used to impart important lessons to staff members, reflect the organization's objective and vision. Additionally, they can be used to help workers experience a sense of identity, belonging, and community, all of which have been shown to improve employee morale, motivation, and productivity. They can be disseminated to new hires and generations in the future.
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Select the correct answer.
Which of these is an informal group?
A. command group
B. self-managed work group
C. task group
D. virtual group
E. interest group
Answer:
B
Explanation:
hope this helps
A, B & C lie on a straight line.
D, B & E lie on a different straight line.
∠
CBE = 26°.
Work out the angle marked
x
To determine the value of angle x, we can use the fact that angles on a straight line add up to 180 degrees. Since C, B, and E lie on a straight line, we know that ∠CBE + ∠EBD + ∠DBE = 180 degrees. Given that ∠CBE is already known as 26 degrees, we can substitute this value into the equation.
Thus, 26° + ∠EBD + ∠DBE = 180°.
To find the value of angle x, we need to calculate the sum of ∠EBD and ∠DBE. Unfortunately, the information provided in the question does not specify the values of these angles. Without this additional information, it is not possible to determine the precise value of angle x.
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How can diversity in the workplace make a company more competitive in a global market?
a)Diversity inhibits critical thinking and prevents disagreement among team members about global business strategies.
b)Diversity minimizes group think and can bring new ideas, attitudes, and experiences to the development of global products and services.
c)Diversity promotes global domination of the marketplace.
d)Diversity is a moral virtue, and morals are consistent worldwide.
Answer:
A: Diversity inhibits critical thinking and prevents disagreement among team members about global business strategies
Joe's Jalopies sold one of its warehouses for $300,000 cash plus a tractor with a fair market value of $25,000. The building had a mortgage against it for $50,000 that was assumed by the buyer and an adjusted basis of $130,000. Joe's had to pay $20,000 in sales commissions to the Realtor who coordinated the sale. What is the amount realized by Joe's Jalopies
Answer:
$355,000
Explanation:
Joe's jalopies sold one of its warehouse for $300,000 and a tractor that has a fair market value of $25,000
The warehouse had a mortgage of $50,000 against it.
The adjusted basis was $130,000
Joe had to make a payment of $20,000 in sales commission to the realtor
Therefore, the amount realized by Joe's jalopies can be calculated as follows
=$300,000+$25,000+$50,000-$20,000
= $375,000-$20,000
= $355,000
Hence the amount that was realized by Joe's jalopies is $355,000
Tomas and Saturn are partners who share income in the ratio of 3:1. Their capital balances are $40,000 and $60,000 respectively. Income summary has a credit balance of $20,000. What is Saturn's capital balance after closing income summary to capital?
Tomas and Saturn are partners who share income in a ratio of 3:1. The income summary has a credit balance of $20,000, which represents the total income that needs to be distributed to both partners based on their income sharing ratio.
Hi! I'd be happy to help with your question. First, we'll calculate the income shares for Tomas and Saturn. The sum of the ratio is 3+1=4. Tomas receives 3/4 of the income, while Saturn receives 1/4. Now, let's distribute the $20,000 income:Tomas' share: (3/4) * $20,000 = $15,000
Saturn's share: (1/4) * $20,000 = $5,000
To find Saturn's capital balance after closing the income summary to capital, add Saturn's share of the income to his initial capital balance:Initial capital balance: $60,000
Saturn's income share: $5,000
Saturn's capital balance after closing income summary to capital = $60,000 + $5,000 = $65,000
So, Saturn's capital balance after closing the income summary to capital is $65,000.
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from the broadest perspective, the goal of training is to contribute to:
From the broadest perspective, the goal of training is to contribute to the overall growth and development of an individual or group. This can involve a variety of outcomes, depending on the specific goals and objectives of the training program.
At its core, training is about equipping individuals with the tools, knowledge, and skills they need to be successful in their chosen field or area of expertise. This can involve a range of activities, such as classroom instruction, hands-on learning, mentoring and coaching, and on-the-job training. The ultimate aim is to help individuals and organizations achieve their full potential by providing them with the resources and support they need to succeed.
Beyond the individual level, training can also play an important role in contributing to the broader goals of an organization or society. Ultimately, the goal of training is to create a more skilled, knowledgeable, and capable workforce that is better equipped to meet the challenges of the future.
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Why is the housing market not a perfectly competitive market
Answer:
houses are essential. a need doesn't fall in perfect competition conditions.
Landscapers must be
knowledgable of which of the
following?
A. Pesticides
B. Economics
C. Human Relations
D. Crop Rotation
Answer:
B
Explanation:
because they need to deal with all practices that are done by people on environment
Answer:
C
Explanation:
Landscapers need to know human relations because if they want to get something to do for their job, marketing and having an asset is important for the business, if you don't know anyone that needs help, it wouldn't be very good for your business.
Have an awesome day!! I hope this helped!! ^ ^
The price of orange juice falls from $2.49 a jug to $1.99 a jug. (1) Explain whether the demand curve for apple juice will shift left, shift right, or if there is only movement along the demand curve for apple juice.
Answer:
there is only movement along the demand curve for apple juice.
Explanation:
The demand curve shows the graphical relationship between the price of a good or service and the quantity demanded at each point in time. It shows the quantity demanded at each price. There is an inverse relationship between price and quantity demanded, as the price increases the quantity demanded reduces (but demand itself stays the same) while If the price decreases, quantity demanded increases.
The price of orange juice falls from $2.49 a jug to $1.99 a jug, the demand curve remains the same, but there is only movement along the demand curve for apple juice.
Time Remaining 23 minutes 29 seconds00:23:29 Item 1 Time Remaining 23 minutes 29 seconds00:23:29 If Jack earns an 8% after-tax rate of return, $10,000 received in three years is worth how much today (rounded)
The present value of $10,000 received in three years, assuming an 8% after-tax rate of return, is approximately $7,945 when rounded.
To calculate the present value of $10,000 received in three years, we need to discount the future value by the after-tax rate of return. Assuming an 8% after-tax rate of return, we can use the formula for the present value:
Present Value = Future Value / (1 + Rate)^n
Where:
Future Value is the amount to be received in the future ($10,000)
Rate is the after-tax rate of return (8% or 0.08)
n is the number of years (3)
Plugging in the values, we have:
Present Value = $10,000 / (1 + 0.08)^3
Calculating this, we get:
Present Value = $10,000 / (1.08)^3
Present Value = $10,000 / 1.2597
Present Value ≈ $7,945 (rounded)
Therefore, the present value of $10,000 received in three years, assuming an 8% after-tax rate of return, is approximately $7,945 when rounded.
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how to use service economy and consumer and also producer in a sentence
To use service economy and consumer and also a producer in a sentence, you could say:
"The service economy relies on both consumers and producers to drive growth, as consumers demand services and producers meet those demands through their offerings."
What is a Service Economy?The term "service economy" might apply to either of two current economic developments: The growing prominence of the service industry in developed economies.
The current Fortune 500 list includes more service businesses and fewer manufacturing than prior decades.
The service-based economy is distinguished by a dominant tertiary sector, an availability of services, a limited number of manufacturers, and the majority of service-based economies being located in first-world nations.
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interview any business owner on impact of crime
Answer:
Businesses that had been affected by crime were found to be 17 to 22 percent less likely to increase employment. Almost half the businesses said that fear of crime among their clients or customers had had a negative impact on their businesses. This figure was particularly high in townships and inner city locations.
Explanation:
I hope this helps you sorry if it doesn’t
The Smiths purchased a home twp years ago for $150,000. A current appraisal valued the property at $135,000. What is the average decline per year
The average decline per year in the value of the property is $7,500.
To find the average decline per year in the value of the property, you can calculate the difference in value over the two-year period and divide it by the number of years.
Initial value of the home = $150,000
Current value of the home = $135,000
Decline in value = Initial value - Current value
Decline in value = $150,000 - $135,000
Decline in value = $15,000
Number of years = 2
Average decline per year = Decline in value / Number of years
Average decline per year = $15,000 / 2
Average decline per year = $7,500
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The additional $600 unemployment benefit ended on July 25, 2020. Even with the $300 Lost Wages Assistance Benefit, many Texans are being evicted from their homes and cannot provide basic necessities for their family. The unemployment rate is now over 7% in Texas, above our natural rate of unemployment. Did the government make the right decision with ending the extra $600 unemployment benefit from the CARES Act? Why or why not? Explain your position.
Answer: No they did not at this rate many of the citizens will go bankrupt and the economy will suffer a great lost do to the increase of the unemployment rate
Explanation:
Davit and Kiley want to know the quantity they should produce to maximize profit. As their economic advisor, you recommend that they a. produce until price falls below the average variable cost. b. produce as much as possible, regardless of cost. c. produce until marginal revenue is equal to price. d. produce until marginal cost is equal to marginal revenue.
As an economic advisor, my recommendation for Davit and Kiley to maximize their profit would be to produce until the marginal cost is equal to the marginal revenue. This means that they should continue producing until the additional revenue they earn from producing one more unit is equal to the additional cost of producing that unit.
By doing so, they can ensure that they are producing at the most efficient level and not overspending on production costs. Producing until the price falls below the average variable cost would result in losses for the company as they would be selling their product for less than it cost to produce it. On the other hand, producing as much as possible regardless of the cost may lead to overspending on production costs and ultimately decrease profit margins.
Producing until marginal revenue is equal to price would only be optimal if the company had a constant marginal cost. However, in reality, the marginal cost tends to increase as production increases, which is why producing until the marginal cost is equal to marginal revenue is a better option.
In summary, the key to maximizing profit is to ensure that production is done at an optimal level where the marginal cost and marginal revenue are equal. This will ensure that the company is producing efficiently and not overspending on production costs.
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The level of risk management applies when on the run.
a. True
b. False
The level of risk management applies when on the run. - False
Identification, assessment, and control of financial, legal, strategic, and security threats to the assets and profits of an organisation constitute the process of risk management. Numerous risk management levels explain the operational risk management approach utilised at various project stages and under varied circumstances.
It describes the procedure of determining, evaluating, and prioritising risks before taking action to reduce or manage them. In order to assist the safety and security of personnel, property, and business operations, it is frequently employed in the context of corporations, organisations, and other legal bodies. The traditional context of risk management does not relate to the idea of being on the run.
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1. A buyer pays $100 million for the seller in an all-‐‑stock deal, but a day later the market decides that it's only worth $50 million. What happens?
2. The buyer is worth $1 billion, has 100 million shares outstanding, and
its current share price is $10.00. It wants to issue 10 million shares to acquire the
seller for $100 million.
But if the market believes that the seller is only worth $80 million rather than
$100 million, the buyer's share price might fall to $9.81 (implying a total value of
$1.08 billion) to reflect this lower value.
In an all-stock deal where a buyer pays $100 million for a seller, but the market values it at only $50 million, the buyer's investment takes a significant hit, losing 50% of its initial value.
How does the market valuation impact the buyer's share price and total value?The impact of market valuation on the buyer's share price and total value in an all-stock acquisition. In this scenario, if the market believes the seller is worth $80 million instead of the agreed $100 million, the buyer's share price may decrease to $9.81, reflecting the lower value.
This leads to a total value of $1.08 billion, considering the revised share price and the number of shares outstanding. Market perception of the target company's value can have a substantial influence on the buyer's share price and overall investment value.
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The monetary policy of jaune is controlled by the country's central bank known as the bank of jaune. the local unit of currency is the jaunian dollar. aggregate banking statistics show that collectively the banks of jaune hold $220 million of required reserves, $55 million of excess reserves, have issued $5,500 million of deposits, and hold $440 million of jaunian treasury bonds. jaunians prefer to use only demand deposits and so all money is on deposit at the bank.
The value of the money supply after banks adjust to the change in the reserve requirement is $6,875 million (option b)
Required Reserves = 220million
Excess Reserves = 55 million
Deposits = 5,500 million
In hold = 440 millions
Tazians prefer to use only demand deposits
and the bank has all of the money on deposit. Thus, the amount of money in circulation is 0.
Reserve Requirement = Required Reserves/deposit
=220/5500
=4%
Currency deposit ratio = 0%
Excess reserves to deposit ratio
= Excess Reserves / Deposits
= 55 /5,500
= 1%
Monetary base = Currency in circulation + Required reserves + Excess reserves
= 0 +220 + 55 = 275 million
If the Bank of Tazi changes the reserve
need ratio to 3% while maintaining the same level of excess reserves
Therefore total reserves Required = 3% + 1%
= 4%
Money Multiplier = 1 divide by 0.04 = 25
Therefore Money Supply = Monetary Base * Money Multiplier = $275 * 25
= $6,875 million
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The complete question is given below
The Monetary Policy of Jaune is controlled by the country's central bank known as the Bank of Jaune. The local unit of currency is the Jaunian dollar. Aggregate banking statistics show that collectively the banks of Jaune hold $220 million of required reserves, $55 million of excess reserves, have issued $5,500 million of deposits, and hold $440 million of Jaunian Treasury bonds. Jaunians prefer to use only demand deposits and so all money is on deposit at the bank.
Refer to Scenario 29-1. Suppose that the Bank of Jaune changes the reserve requirement to 3 percent. Assuming that the banks still want to hold the same percentage of excess reserves what is the value of the money supply after banks adjust to the change in the reserve requirement?
a.
$7,175 million
b.
$6,875 million
c.
$7,875 million
d.
$1,375 million
What does making a good decision mean?? How can I make a good decision?
Answer:
A good decision is one that is made deliberately and thoughtfully, considers and includes all relevant factors, is consistent with the individual’s philosophy and values, and can be explained clearly to significant others.
Ways to make good decision:
Set Aside Time to Reflect on Your MistakesStop Thinking About the ProblemFrame Your Problems In a Different WayIdentify the Risks You TakeTake Note of Your OverconfidenceTalk to Yourself Like a Trusted FriendLabel Your EmotionsAcknowledge Your ShortcutsConsider the Oppositeorganizations must plan and carefully design their global sites so that they also cater to local needs and preferences, a process sometimes called .
Localization refers to the adaptation of products, services, and content to meet the cultural, linguistic, and regulatory requirements of a specific market or region.
In the case of global websites, localization involves designing and developing websites that can effectively communicate with local audiences, while also taking into account the cultural and linguistic differences between countries.
To ensure effective localization, organizations must take into account various factors such as local language and dialects, cultural nuances, currency and payment options, and legal and regulatory requirements. This requires a detailed understanding of the target market and a strategic approach to website design and development.
By investing in effective localization, organizations can better engage with local audiences, build brand awareness, and drive revenue growth. In today's globalized marketplace, localization is an essential aspect of any successful international strategy.
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what steps might an organization take to protect outgoing bank deposits from cash larceny schemes?
By taking these steps, like Assigning different employees to prepare the deposit and take it to the bank, an organization can reduce the risk of cash larceny schemes and protect its outgoing bank deposits.
An organization can take the following steps to protect outgoing bank deposits from cash larceny schemes:
Assign different employees to prepare the deposit and take it to the bank. This reduces the chance of one employee stealing the deposit.Use a tamper-proof deposit bag to transport the deposit. This will prevent employees from stealing the Bank deposit during transport.Implement a system of checks and balances. This can include requiring two employees to sign off on the deposit before it is taken to the bank, and having a third employee verify the deposit once it is at the bank.Conduct regular audits to ensure that all deposits are accounted for and there are no discrepancies.Provide training to employees on the importance of protecting company assets and the consequences of theft.By taking these steps, an organization can reduce the risk of cash larceny schemes and protect its outgoing bank deposits.
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