The statement "The main advantage of the chargeback funding approach is the perceived fairness and accountability it creates for both users and IS functions" is true. The chargeback funding approach refers to a method where users of Information Systems (IS) services are billed for the specific resources and services they consume.
This approach promotes fairness and accountability in several ways:
1. Transparency: By allocating costs based on actual usage, users can see how their actions impact the overall IS budget. This increased visibility encourages the responsible use of resources.
2. Cost allocation: The chargeback model ensures that users pay for the services they utilize, which leads to a more equitable distribution of expenses among different departments or business units.
3. Incentive for efficiency: With the chargeback approach, users are motivated to use IS resources more efficiently, as they are directly responsible for the costs associated with their usage.
4. Better resource management: The IS functions can allocate resources more effectively based on the usage patterns of different users or departments, resulting in better resource management and cost control.
5. Encouraging collaboration: Since the chargeback model highlights the cost of using IS resources, users may be more inclined to collaborate with the IS functions to optimize the use of resources and find cost-effective solutions.
In summary, the chargeback funding approach creates a sense of fairness and accountability for both users and IS functions by promoting transparency, equitable cost allocation, resource efficiency, and collaboration.
To know more about funding refer here:
https://brainly.com/question/31419911#
#SPJ11
What is an investment portfolio?
A. A selection of varied accounts
B. A selection of varied instruments
C. A selection of varied applications
D. A selection of varied stocks and bonds
Answer:
In finance, a portfolio is a collection of investments aka stocks and bonds!
Dennis is doing the bookkeeping for his business. He is determining his assets, liabilities,
and owner's equity so he can see the financial state of his business on any given day.
What financial statement would MOST likely help him with this process?
The financial statement that would most likely help Dennis with determining his assets, liabilities, and owner's equity is the balance sheet. The balance sheet is a snapshot of a business's financial position at a specific point in time. It lists the assets of the business, such as cash, accounts receivable, inventory, and property, plant, and equipment.
By examining the balance sheet, Dennis can see the financial state of his business on any given day. He can see how much cash he has available to operate his business, how much inventory he has on hand, and how much he owes to creditors. He can also see how much of the business's assets are financed by debt and how much by owner's equity. It also lists the liabilities of the business, such as accounts payable, loans payable, and accrued expenses.
Finally, it lists the owner's equity, which is the difference between the assets and liabilities. The balance sheet is an important tool for business owners, as it provides a clear picture of the financial health of the business. It allows Dennis to make informed decisions about how to manage his business and plan for its future. By regularly reviewing his balance sheet, Dennis can identify trends and take action to improve the financial performance of his business.
For more such questions on balance sheet
https://brainly.com/question/1113933
#SPJ11
Out of a list of the values 12, 7, 3, 5, 8, and 2, which result would the MIN function return?
Answer:
2
Explanation:
It’s just right, trust
How do the events of the nation affect the national debt?
Answer: Growing debt has a direct effect on economic growth and the opportunities available to every individual in the country. If excessive levels of debt crowd out private or public or mutual investments in capital goods or works, workers would have less to use and get from their jobs, which would translate to lower productivity work and, therefore, lower wages in multiple aspects of the country's work done. High levels of debt would affect many other aspects of the economy in the future. For eq, higher interest rates result from increased borrowing from multiple agencies and invite under the various segments of college education house loan work loan. Less education and work opportunities will need skills up for various degrees and work to be followed under any scheme.
Explanation:
If we fail to act before a stipulated time the long time fiscal challenges will remain unaddressed and unchanged. The economic crisis and the overall economic environment weaken as confidence suffers, the access to capital funds gets reduced, interest costs crowd out key investments in our future, the conditions for growth deteriorate, and our nation is put at greater risk of economic crisis. If our long-term fiscal imbalance is not addressed, our future economy will be minimized, with fewer economic opportunities for families and workers down there in their own country.To _____ is to modify or improve upon code.
propriate
tweak
kernel
debug
The facts that a proprietorship, as a business, pays no corporate income tax, and that it is easily to raise capital, are two key advantages to that form of business.
a. True
b. False
Answer: False
Explanation:
While Proprietorship do indeed have the tax advantage of not having to pay Corporate income tax, the same cannot be said for the ease at which they can raise capital.
In general, Proprietorships find it hard to raise capital as investors will be worried of investing into a one person run operation. They would rather prefer that their investments were protected by the law and that the company had enough experienced people on board as well which is why they would prefer a Corporation.
Even getting loans as a Proprietorship can be hard because banks will set a high rate for the business to cater for a default risk.
a stakeholder objects to the steps of your analysis. what are some appropriate ways to respond to this objection? select all that apply. 1 point defend the results of your analysis communicate the assumptions you made in your analysis take steps to investigate your analysis question further explain why you think any discrepancies exist
A stakeholder objects to the steps of your analysis. Some appropriate ways to respond to this objection as to take steps to investigate your analysis question further and communicate the assumptions you made in your analysis.
What is the analysis of the market?It has been the component of the analysis of the industry, which in the turn affects the analysis of the global environment. A company's strengths as well as the weaknesses, opportunities, and the threats can all be determined through these studies.
The competitive environment within the particular industry has the market analysis. When one expose the brand and it has the products to customers in the market, this has been the study that enables you to forecast the level of the success.
Therefore, A stakeholder objects to the steps of your analysis. Some appropriate ways to respond to this objection as to take steps to investigate your analysis question further and communicate the assumptions you made in your analysis.
Therefore, A stakeholder objects to the steps of your analysis. Some appropriate ways to respond to this objection as to take steps to investigate.
Learn more about stakeholder on:
https://brainly.com/question/28625232
#SPJ1
The market value of the firm's assets is $280,800. The market value of the firm's debt is $131,300. The firm has 26,000 shares of stock outstanding and a book value per share of $2.72. What is the market to book ratio? 2.01 times 1.86 times 2.68 times 2.37 times 2.11 times
Market-to-Book Ratio is a ratio of the market value of a company's equity to the book value of its equity. To determine the market-to-book ratio, we will use the following formula:
Market to Book Ratio = Market Value of the Company's Equity / Book Value of the Company's Equity
Here, we have given the Market Value of the firm's assets is $280,800, and the Market Value of the firm's debt is $131,300.
And the firm has 26,000 shares of stock outstanding and a book value per share of $2.72.So, first we need to calculate the Book Value of the Company's Equity.
Book Value of the Company's Equity = Total Assets - Total Liabilities= ($280,800 - $131,300) = $149,500
The book value per share = Book Value of the Company's Equity / No. of Shares= $149,500 / 26,000 = $5.75Market-to-Book Ratio = Market Value of the Company's Equity / Book Value of the Company's EquityNow,
let's find out the Market Value of the Company's Equity:
Market Value of the Company's Equity = Market Value of the Firm's Assets - Market Value of the Firm's Debt= ($280,800 - $131,300) = $149,500
Finally, we can calculate the Market-to-Book Ratio:
Market-to-Book Ratio = Market Value of the Company's Equity / Book Value of the Company's Equity= $149,500 / $5.75= 26,000 / 1, or 26,000:1
Therefore, the Market to Book Ratio is 26,000:1.
To know more about Market-to-Book Ratio visit:
https://brainly.com/question/28503595
#SPJ11
1. Which of the following does the Occupational Safety and Health Administration (OSHA) require companies to do to help keep employees safe?
A. Hire safety hazard officers" to help protect employees
B. Call the police whenever an accident occurs
C. Train employees how
to respond when an accident occurs
D. Provide accident insurance in case employees get hurt while working
The Occupational Safety and Health Administration (OSHA) requires companies to train employees how to respond when an accident occurs in order to help keep employees safe.
Explain about the term OSHA?The Occupational Safety and Health Administration (OSHA) is a regulatory agency of the United States Department of Labor that is responsible for ensuring safe and healthy working conditions for employees in the workplace. OSHA was established in 1970, with the goal of reducing the number of workplace injuries, illnesses, and fatalities through the enforcement of workplace safety and health standards, as well as by providing education and outreach programs to employers and workers.
One of OSHA's primary functions is to establish and enforce workplace safety and health standards that employers are required to follow. These standards cover a wide range of topics, such as electrical safety, fall protection, hazardous materials, and personal protective equipment. Employers are required to identify and address workplace hazards, train employees on safe work practices, and maintain records of workplace injuries and illnesses.
To know more about OSHA, check out:
https://brainly.com/question/13591663
#SPJ1
Performance reviews fail when they lack a clear objective and are not standardized across departments False True Question 11 1 pts When an emplayee has made a decision to resign from their employment because the change made by their employer fundamentally changes their employment. What type of dismissal is this? Breach dismissal Summary Dismissal Hust dismissal Constructive Dismiss:1
Performance reviews fail when they lack a clear objective and are not standardized across departments. This statement is true as it affects the entire review process and may lead to a disparity in terms of how employees are judged.
When performance reviews lack a clear objective, there is no consistency, and employees cannot be compared fairly or accurately. Standardizing the review process across departments ensures that each employee receives fair treatment. When an employee decides to resign from their employment because the change made by their employer fundamentally changes their employment, it is called a constructive dismissal. This happens when the employer breaches the terms of the employment contract, such as reducing salary or altering the employee’s job duties, and the employee resigns because of it. The employee must demonstrate that the employer’s actions were fundamental, serious, and breached the employment contract. The resignation in this situation is treated as a termination, and the employee is entitled to compensation and benefits, as well as any unpaid wages.
To know more about employee visit:
https://brainly.com/question/33012724
#SPJ11
Jill filed her taxes and found out that she owes an additional $1,500.
Unfortunately, she can't afford to pay that amount immediately. What options
does she have? What are the pros and cons of using these options?
Answer:
Take out a loan from a bank don't borrow from family it could ruin your relationship with them
Explanation:
If you take a loan you might have to pay interest depends on the bank and the time you take to pay it back.
If you take a loan from a family member it depends on their financial situation if they have loads of money they might be patient but if they have not lots of money but still some money they might be annoyed on how long you take so my conclusion is take money from the bank.
a flexible budget shows what budgeted amounts should have been at the actual level of activity. as a result of this change in activity, the flexible budget will show a change in total ______.
Flexible budgeting will show a change in the total of what fixed costs, variable costs and what revenues should have been at the actual level of activity.
Flexible budgeting differs from static budgeting in that it includes a leeway in organizational budgets according to production or sales in a given period.
This type of budget is prepared at the end of the accounting period and is used for organizational control purposes, as it allows for unforeseen situations that may occur in the micro or macro environment.
Therefore, flexible budgeting is used as a control instrument that considers costs as variables based on defined estimates.
Its main advantage is its greater flexibility and ability to keep budgets up to date.
Learn more here:
https://brainly.com/question/15244518
- revenue
- variable cost
NOT
- fixed costs
- fixed costs in the flexible budget will be the same as fixed costs in the static or master budget.
Most real estate agencies are created by what?
this is for you so i dont feel bad
The income statement for the apple-jack partnership for the year ended december 31, 20x5, follows: apple-jack partnership income statement for the year ended december 31, 20x5 net sales $ 300,000 cost of goods sold (190,000 ) gross margin $ 110,000 operating expenses (30,000 ) net income $ 80,000 additional information for 20x5 apple began the year with a capital balance of $40,800. Jack began the year with a capital balance of $112,000. On april 1, apple invested an additional $15,000 into the partnership. On august 1, jack invested an additional $20,000 into the partnership. Throughout 20x5, each partner withdrew $400 per week in anticipation of partnership net income. The partners agreed that these withdrawals are not to be included in the computation of average capital balances for purposes of income distributions. Apple and jack have agreed to distribute partnership net income according to the following plan: apple jack 1. Interest on average capital balances 6 % 6 % 2. Bonus on net income before the bonus but after interest on average capital balances 10 % 3. Salaries $ 25,000 $ 30,000 4. Residual (if positive) 70 % 30 % residual (if negative) 50 % 50 % required: a. Prepare a schedule that discloses the distribution of partnership net income for 20x5. (do not round intermediate calculations. Round your final answers to nearest whole dollar. Amounts that are to be deducted from an individual partner's capital balance should be entered with a minus sign. )
The distribution of partnership net income for 20x5 is $40,339 for Apple and $39,661 for Jack.
This distribution includes interest on average capital balances, bonuses, salaries, and residual income allocated based on their respective ownership percentages.
The schedule that discloses the distribution of partnership net income for Apple-Jack Partnership for 20x5 as required:
1. Calculate average capital balances:
Apple:
Beginning balance: $40,800
Additional investment on April 1: $15,000
Average capital balance: ($40,800 + $15,000/2) = $48,300
Jack:
Beginning balance: $112,000
Additional investment on August 1: $20,000
Average capital balance: ($112,000 + $20,000/2) = $122,000
2. Calculate interest on average capital balances:
Apple: $48,300 * 6% = $2,898
Jack: $122,000 * 6% = $7,320
3. Calculate bonus on net income (before bonus but after interest):
Net income after interest: $80,000 - ($2,898 + $7,320) = $69,782
Apple's bonus: $69,782 * 10% = $6,978
4. Calculate the residual income:
Total income allocated (interest + salaries + bonus): $2,898 + $7,320 + $6,978 + $25,000 + $30,000 = $72,196
Residual income: $80,000 - $72,196 = $7,804
Residual distribution:
Apple: $7,804 * 70% = $5,463
Jack: $7,804 * 30% = $2,341
Distribution of partnership net income for 20x5:
Apple:
- Interest: $2,898
- Bonus: $6,978
- Salary: $25,000
- Residual: $5,463
Total: $40,339
Jack:
- Interest: $7,320
- Bonus: $0
- Salary: $30,000
- Residual: $2,341
Total: $39,661
The distribution of partnership net income for 20x5 is $40,339 for Apple and $39,661 for Jack.
To know more about partnership , refer here:
https://brainly.com/question/12983082#
# SPJ11
5. Which is the best cost accumulation procedure to use for continuous mass production of like units?a. actualb. standardc. job orderd. process
The best cost accumulation procedure to use for continuous mass production of like units is (d) process costing.
Process costing is an accounting method that is most suitable for industries that produce homogeneous products in large quantities. This approach accumulates costs for each production process or department and then assigns these costs to individual units produced within that process or department.
Process costing is preferred in this context because it provides an accurate and consistent way to allocate costs across all units, ensuring that each unit bears its fair share of the production costs. This method allows for better cost control and performance evaluation as it reflects the production flow, making it easier to identify inefficiencies and areas of improvement.
Actual, standard, and job order costing methods are less suitable for continuous mass production of like units. Actual costing uses actual costs incurred, but can lead to inconsistent cost allocation due to fluctuations in prices and production levels. Standard costing, which uses predetermined costs based on expected conditions, is more applicable to situations where cost control and variance analysis are essential, but it can be less accurate for allocating costs in mass production. Finally, job order costing is designed for customized, distinct products or projects, making it unsuitable for continuous mass production scenarios where all units are identical.
Therefore, the correct answer is (d) process costing.
Learn more about Process costing here: https://brainly.com/question/19052105
#SPJ11
Economics Grade 12 QUESTION 3: 3.1 Assume that the South African government have requested you to do a CBA with regard to the two projects. Conduct a research about the two pictures below and answer the questions that follow. PROJECT 1: COSTS AND BENEFIT ANALYSIS PROJECT 2 NW Project QP //2023 (2 × 1) (2) (2 x 1) (2) 3.1.1 Identify the TWO projects needed by the South African citizens. 3.1.2 List any TWO private costs that will be incurred in project 2. 3.1.3 Why should the government apply the cost benefit analysis for big projects? 3.1.4 Examine the external benefits of Project 1 illustrated above? (8) (8) [20] GRAND TOTAL: 50
The government should apply cost-benefit analysis for big projects because it provides a systematic and objective framework for evaluating the potential advantages and disadvantages of undertaking a particular project.
For big projects and government initiatives, cost-benefit analysis facilitates effective resource allocation, improves openness and accountability, encourages unbiased decision-making, evaluates risks, and prioritizes initiatives that will have the greatest positive societal impact. It is a helpful tool for the government to employ when making decisions and maximizing the use of resources for the good of society.
Learn more about big projects here:
https://brainly.com/question/30835321
#SPJ1
which of the following is the most direct effect of decentralization? group of answer choices the flexibility of the organization decreases the monitoring burden on top managers is reduced the time required to make decisions increases the specific environment of the organization gets stabilized
The most direct effect of decentralisation is that the monitoring burden on top managers is reduced.
What is decentralisation?
Decentralisation refers to the distribution of authority and decision-making power within an organization. By delegating power to lower-level managers or employees, top managers can reduce their workload and focus on broader organizational issues. At the same time, lower-level managers are given more autonomy to make decisions that are best suited to their local context, which can lead to more effective and efficient problem-solving.
While decentralisation can also have an impact on the flexibility of an organisation, increase the time required to make decisions, or stabilise the specific environment of the organisation, these are indirect or secondary effects.
To know more about decentralisation, visit:
https://brainly.com/question/27661901
#SPJ4
Kay has decided to take out a $23,100 loan, and she wants to pay it back in quarterly installments. She has narrowed her options down to two banks. Bank V offers a six-year loan with an interest rate of 4. 6%, compounded quarterly, and has a service charge of $822. 45. Bank W offers an eight-year loan with an interest rate of 3. 9%, compounded quarterly, and a service charge of $722. 25. Which loan will have the greater total finance charge, and how much greater will it be? Round all dollar values to the nearest cent. A. Loan W's finance charge will be $335. 96 greater than Loan V's. B. Loan W's finance charge will be $436. 16 greater than Loan V's. C. Loan V's finance charge will be $263. 10 greater than Loan W's. D. Loan V's finance charge will be $100. 20 greater than Loan W's.
Answer:… um um um um
Explanation:why am I getting these questions
Enter text- Apply A text Effect
Each asset account has a normal credit balance.
a. True
b. False
Each asset account has a normal credit balance is true.
Do assets have a normal credit balance?Expenses have a regular debit balance and income has a typical credit balance. As a result, the credit balance in each asset account is normal. There is a typical debit balance in each liabilities account. Liabilities and owner's equity typically have credit balances, while assets typically have a debit balance.
An account's balance rises on the same side as the side with the typical balance. On the credit side, asset accounts decline. To put it another way, positive numbers for assets and expenses are debited, and negative balances are credited. A revenue account typically has a credit balance; if the revenue account has a debit balance, the business has experienced a loss.
To learn more about credit balance, visit:
https://brainly.com/question/12722194
#SPJ1
This jacket is so thin. It can't possibly keep out the rain."(Use the boomerang method.)
Answer:
The jacket is thin because it uses a fiber called thinsulate that enables it to have the lightest weight but is also the warmest.
Explanation:
In general marketing, the boomerang method refers to the 'reconstruction' of the customer's objection into the main reason for buying. In other words, using the same excuse that a customer has about a product to entice him/her to buy that product by reframing it as a selling point is known as the boomerang method.
In the given scenario, the customer's objection is about the thinness of the jacket can be used as a selling point by the salesman by stating that the lightness of the jacket is what makes it a good product. So, if the seller tells the customer "the jacket is thin because it uses a fiber called Thinsulate that makes it thin but also warm", then that will make it an interesting and important factor for the customer to like the product more.
public choice economists contend public bureaucracies are inefficient primarily because multiple choice public sector workers are more security-conscious than are private sector workers. relatively low pay in government attracts workers of lesser quality. the value of public goods is more easily measured than is the value of private goods. of the absence of competitive market pressures.
Public choice economists contend that public bureaucracies are inefficient primarily because of the absence of competitive market pressures.
Unlike private sector firms, public sector organizations do not face the same level of competition and profit incentives that drive efficiency and innovation. This can lead to a lack of motivation and accountability among public sector workers, as well as a tendency towards bureaucratic red tape and inefficiency.
Additionally, public choice economists argue that government workers may be less productive and innovative than their private sector counterparts due to a lack of competition, job security, and lower pay scales. However, the claim that public sector workers are inherently less qualified or more security-conscious than private sector workers is generally considered to be a matter of debate and is not universally accepted. The difficulty of measuring the value of public goods compared to private goods may also contribute to inefficiencies in the public sector, but it is not considered the primary factor by public choice economists.
To know more about Public choice economists here
https://brainly.com/question/1100980
#SPJ4
Public choice economists argue that public bureaucracies are inefficient due to security consciousness, lower quality workers attracted by low pay, and lack of competitive market pressures in measuring the value of public goods.
According to public choice economists, there are several reasons why governmental bureaucracies are inefficient. First, employees in the public sector make decisions that are less risky because they are more likely to be security-conscious. Second, the comparatively low compensation in government may draw people of lower calibre, leading to a decline in productivity.
Third, compared to private commodities, the value of public goods is frequently simpler to calculate. Last but not least, the absence of competitive market forces in the public sector might result in complacency and decreased efficiency in the distribution of resources and the provision of services.
Learn more about economists:
https://brainly.com/question/30123521
#SPJ4
if a food server worker follows directions, how long does it take to wash his/her hands
Answer:
A food server worker should wash his/her hands for 20 sec or longer.
Hopefully this helped :)
what are some examples of successful tech startup founders that did not attend a first-tier university for either undergrad or grad school?
However, there are very successful tech leaders who never attended college, such Bill Gates and Mark Zuckerberg, who founded multibillion-dollar businesses.
What makes a good tech founder?The entrepreneurs who have the most sustained success with their startups will share a few traits in common. Vision, passion, the capacity to form effective teams, the capacity to maintain focus, the desire to ask for what is required, humility, and perseverance are among these qualities.The success of a new enterprise is predicted by startup experience, product knowledge, and industry capabilities.Six Essentials for Every Great Startup Founder
Seeing. Grit and Determination. Great founders need a vision for where they want to take their business. Starting and maintaining a business is frequently a very difficult journey. Coachability. The Ability to Recruit and Inspire. #6 An "Unfair" Advantage.To learn more about good tech founder refer to:
https://brainly.com/question/23692147
#SPJ4
what are the building blocks of a personality select all that apply A. emotional qualities B, ethnic identity
Answer:
A
Explanation:Bcause ethnic identity should not determine youre personality. Many peoplefrom the same ethic identity may have different personalities.
Answer:
emotional qualities, ways of behaving
Explanation:
correct on quick check.
An employer can refuse to hire you if you refuse a drug screening test or background check.
Answer:yes
Explanation:
Answer:
true
Explanation:
in alan lakiens book how to get control of your time and your life he divides times use into different levels called abs the c level stands for
In the ABC analysis approach, inventory is split into three groups, A, B, and C, in order of decreasing value. The items in category A are the most valuable, followed by those in category B, which are less valuable than A and those in category C, which are the least valuable.
Management and control of the inventory are essential for a business. A gadget maker is a good illustration of how ABC analysis is put to use. They might classify their expensive stuff, such cameras and phones, as category A items. They are very significant, extremely valuable, yet only make up a small portion of inventory.
To learn more about inventory, click here.
https://brainly.com/question/31500521
#SPJ4
The tiny town of Nemo has three neighborhoods located on a straight line: Neighborhood 1, Neighborhood 2, and Neighborhood 3, with Neighborhood 2 located equidistant between Neighborhood 1 and Neighborhood 3. There is one daycare center, located on Neighborhood 1. There are 10 families residing in each neighborhood, and each family has one child. Each family is willing to pay $70/day for daycare, and prefers daycare closest to its own neighborhood (though at current distances, families will purchase daycare services even if it’s two neighborhoods away). Families are indifferent between any two daycares in the same neighborhood. Suppose that daycare costs $30/day per child to provide. A new daycare center is thinking of opening in Nemo. If both daycares will keep their price at $70/day, which neighborhood should the new daycare open in?
Answer:
Neighborhood 2
Explanation:
Based on the information given if NEIGHBORHOOD 2 is located between Neighborhood 1 and Neighborhood 3 which means that in a situation where both daycares decide to keep their price at the amount of $70/day, the neighborhood that the new day care should open in is NEIGHBORHOOD 2 reason been that with NEIGHBORHOOD 2 all the families living in both Neighborhoods 2 and Neighborhoods 3 will be attracted to Neighborhoods 2 and on the other hand won't not be attracted to Neighborhood 1, for the amount of $800/day which is calculated as:
(10 Families *2) * ($70 for day care - $30 per child)
20*40= $800/day
Therefore the neighborhood that the new daycare should open in is NEIGHBORHOOD 2
Ravi works for a small company. the company owner makes all strategic decisions and manages the day-to-day operations. ravi's company has a _____ structure.
In a case whereby Ravi works for a small company and the company owner makes all strategic decisions and manages the day-to-day operations, in this case ravi's company has a simple structure organization.
What is simple structure organization?Simple structure organization can be regarded as the flat structure, this organization is a simple organizational structure because of the lack of the multiple layers of management or formal departments.
It is simple organizational structure with one director and no delegates tasks to employees directly.
Read more on the simple structure organization here:
https://brainly.com/question/17320867
#SPJ1