What is the principle of E-commerce?

Answers

Answer 1

1. Develop for mobile ; 2. Ensure performance is speedy ; 3. Invest in design ; 4. Put your customers first ; 5. Be locale-sensitive.


Related Questions

What is the future of discussion of fourms?

Answers

Answer:

Improve communication. ...

Increase collaboration. ...

Better engagement. ...

Receive the 5 key methods of employee engagement straight to your inbox.

Seek assistance and support. ...

Help drive usage of your online collaboration tool.

The Reverend Petros receives an annual salary of 51,000 as full-time minister this includes 5000 designated as a rental allowance River and Pedro is not exempt from employment tax how much must he include figuring that income for self-employed tax

Answers

If the Reverend Petros receives an annual salary of 51,000 as full-time minister that includes 5000 designated as a rental allowance. The amount that must be include figuring that income for self-employed tax is : $51,000.

What is annual salary?

Annual salary can be defined as the amount a person earn as salary per year.

On the other hand self employed tax can be defined as the tax a  person that is solely working for his/her self  without working for any other person remit to the government.

Therefore the amount that must be include figuring that income for self-employed tax is  the amount of $51,000.

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When an accounting change is reported under the retrospective approach, prior years' financial statements are:

Answers

Revised to reflect the use of the new principle.

. What is credit risk from the banking perspective? Explain in detail.

Answers

Credit risk is the possibility of a loss as a result of a borrower's failure to repay a loan or meet contractual obligations. It traditionally refers to the risk that a lender will not receive the owed principal & interest, resulting in a disruption in cash flows and higher collection costs.

There is a risk that borrowers will not repay mortgages, credit cards, or other types of loans. Similarly, if a company extends credit to a customer, the customer may fail to pay their invoices. Credit risk also refers to the possibility that a bond issuer will fail to make timely payments or that an insurance company will be unable to pay a claim.

Credit risks are calculated based on a borrower's overall ability to repay a loan in accordance with the terms of the original loan. Lenders consider the five Cs when assessing credit risk on a consumer loan: credit history, repayment capacity, capital, loan terms, and associated collateral.

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What is one
disadvantage of bartering over using currency to
purchase goods?

Answers

Answer:

Explanation:

Disadvantages are that bartering frequently requires much time and hassle and that goods are often not readily divisible, meaning that swapped goods have to be basically equal in value if a trade is to occur. ... Money that has intrinsic value can be used for purposes other than for use as money.

Disadvantages are that bartering frequently requires much time and hassle and that goods are often not readily divisible, meaning that swapped goods have to be basically equal in value if a trade is to occur. ... Money that has intrinsic value can be used for purposes other than for use as money.

Read the following scenario and determine if the situation requires a direct or indirect message.You have just been offered a promotion that your friend and coworker, Sharon, has been hoping for. Sharon knows that you had a scheduled meeting with your boss today and sends you an e-mail asking how your meeting went. You know Sharon will be upset when she hears the news of your promotion; however, she is a good friend, and you need to be honest and tell her in your response e-mail.

Answers

Answer: Indirect message

Explanation:

The indirect message should be used in this case. We should note that this is typically used when one wants to pass a bad or sensitive news across to someone. In an indirect strategy, we should note that the main reason for the communication is usually after an explanation had been done first.

Therefore, in this case the indirect message should be used in communicating with Sarah. The message may hurt Sarah therefore it should be communicated in an indirect manner.

Please select the word from the list that best fits the definition


Choose the best organizational aid for the use described below.

Identifies sequences

Answers

Answer:

I don't see the list, and if you show me I'll help you

Answer:

The answer is Timeline

Explanation:

Orion Iron Corp. tracks the number of units purchased and sold throughout each year but applies its inventory costing method at the end of the year, as if it uses a periodic inventory system. Assume its accounting records provided the following information at the end of the annual accounting period, December 31. Transactions Units Unit Cost a. Inventory, Beginning 350 $ 14 For the year: b. Purchase, April 11 950 12 c. Purchase, June 1 700 15 d. Sale, May 1 (sold for $42 per unit) 350 e. Sale, July 3 (sold for $42 per unit) 610 f. Operating expenses (excluding income tax expense), $18,000 Required: 1. Calculate the number and cost of goods available for sale. 2. Calculate the number of units in ending inventory. 3. Compute the cost of ending inventory and cost of goods sold under (a) FIFO, (b) LIFO, and (c) weighted average cost. 4. Prepare an income statement that shows under the FIFO method, LIFO method and weighted average method. 6. Which inventory costing method minimizes income taxes

Answers

Answer:

Part 1.

Number = 2,000 units and Cost  = $26,800

Part 2.

1,040 units

Part 3.

a. FIFO

Ending Inventory  = $14,580

Cost of Goods Sold  = $12,220

b. LIFO

Ending Inventory = $13,180

Cost of Goods Sold  = $13,620

c. Weighted Average Cost

Ending Inventory = $13,936

Cost of Goods Sold = $12,864

Part 4.

Orion Iron Corp.

Income Statement

                                            FIFO               LIFO         Weighted Average

Sales (960 x $42)          $40,320          $40,320               $40,320

Less Cost of Sales        ($12,220)         ($13,620)               ($12,864)

Gross Profit                    $28,100          $26,700                $27,456

Less Expenses

Operating Expenses    ($18,000)         ($18,000)              ($18,000)

Net Income                     $10,100            $8,700                 $9,456

Part 6.

Weighted Average method minimizes Income taxes as it provides lowest profits than the rest of the methods.

Explanation:

Periodic Inventory method ensures that Cost of Sales and Inventory Value are determined at the end of the period.

Cost of Goods Available for Sale = Beginning Inventory + Purchases

therefore,

Number = 350 + 950 + 700 = 2,000 units

Cost = 350 x $14 + 950 x $12 + 700 x $15 = $26,800

Units in Ending Inventory = Units available for sale - Units sold

therefore,

Units in Ending Inventory = 2,000 - ( 350 + 610 ) = 1,040

FIFO

This method assumes that the units to arrive first, will be sold first.

Ending Inventory =  340 x $12 + 700 x $15 = $14,580

Cost of Goods Sold = 350 x $14 + 610 x $12 = $12,220

LIFO

This method assumes that the units to arrive last, will be sold first.

Ending Inventory = 690 x $12 + 350 x $14 = $13,180

Cost of Goods Sold = 700 x $15 + 260 x $12 = $13,620

Weighted Average Cost

This method calculates a new unit cost based on units available for sale after each and every purchase. This unit cost is then used to determine the cost of sales and inventory value.

Unit Cost = Total Cost ÷ Units available for sale

                = $26,800 ÷ 2,000 units

                = $13.40

Ending Inventory = Units in Inventory x Unit Cost

                             = 1,040 x $13.40

                             = $13,936

Cost of Goods Sold = Units Sold x Unit Cost

                                 = 960 x $13.40

                                 = $12,864

The rate of earnings is 6% and the cash to be received in 4 years is $20,000. The present value amount, using the following partial table of present
value of $1 at compound interest is
Year
6%
10%
12%
1
0.943
0.909
0.893
2
0.890
0.826
0.797
3
0.840
0.751
0.712
4
0.792
0.683
0.636
a. $12.720
Ob. $16,800
Oc. 513,660
Od. $15.840

Answers

Answer:

$15,840

Explanation:

Present value = Future value / (1 + r)^n

Rate, r = 6% = 0.06

Future value = $20,000

Number of years, n = 4

Present value = $20000 / (1 + 0.06)^4

Present value = $20000 / 1.06^4

Present value = $20,000 / 1.26247696

Present value = $15841.873

Using the partial table of present values :

Present value = Future value * PV(6%, 4)

PV at 6%, 4 years = 0.792

Present value = $20,000 * 0.792 = $15,840

Specialty Auto Parts Company uses the indirect method to prepare its statement of cash flows. Refer to the following information for​ 2018: Net cash provided by operating​ activities: $108,000 Net cash used for investing​ activities: ($118,500) Net cash provided by financing​ activities: $16,000 If the cash balance at the beginning of the year was​ $13,200, what is the ending cash​ balance? A. ​$18,700 B. ​$13,200 C. ​$10,500 D. ​$5,500

Answers

Answer: $18,700

Explanation

Net cash provided by the operating activities = $108,000

Add: Net cash provided by the financing activities = $16,000

Less : The net cash used for the investing activities = $118,500

The net increase in Cash will now.be:

= ($108,00 + $16,000) - $118,500

= $5,500

Add: Cash at the beginning of the year. This will be:

= $5500 + $13,200

= $18,700

Ending cash balance will be $18700

Which of the following statements is not correct about a monopoly? Multiple Choice A monopolist generally faces a downward-sloping demand curve. Monopolists always make positive profits in the long run. A monopoly may make negative profits in the short run. There is no close substitute for a monopoly's product.

Answers

The statement that Monopolists always make positive profits in the long run is not correct.

Monopolists refers to firms who dominates or controls the market for a specific good or service

The pure monopolist will continue to get economic benefits in the long run unlike in the strictly competitive business,

Therefore, the Option B is correct because the statement that Monopolists always make positive profits in the long run is untrue because profits are not always guaranteed.

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What are some of the reasons why domestic policies change overtime?

Answers

Answer:

They changed as the USA entered the war.

Explanation:

American and domestic foreign policy during World

War 2 were linked in that once America entered the

war it had a significant impact on its economy.

When we say during World War 2 we must remember

that the USA did not enter the war until December

1941 after the attack on Pearl Harbour. Even then

there was no guarantee that they would become

involved in a war in Europe. It was Hitler who

declared war on the USA.

Prior to that American domestic politics

were dominated by the arguments between

interventionism and isolationism. President Roosevelt

had to tread a fine path in providing limited support to

the UK whilst being careful not to turn public opinion even more against involvement in a war thousands of miles away.

Japan's failure to deliver a knockout blow at Pearl Harbour meant that the US economy, on a war footing, was powerful enough to produce military hardware on a scale not seen before which would lead to victory in 1945 and the USA emerging as the most powerful country in the world.

Final answer:

Domestic policies change over time mainly due to changing societal values, economic conditions, and political influences. Society's evolving nature, economic developments, and shifts in political power greatly influence such changes.

Explanation:

Domestic policies change over time due to a variety of reasons. The primary ones include changing societal values, economic conditions, and political influences. For instance, societal values evolve over time, which may either necessitate new policies or changes in existing ones to address contemporary issues. Economic conditions may influence policy changes for enhancing economic stability and growth. Changing political influences also play a significant role as different political parties with contrasting priorities and approaches to governance come to power.

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You have an investment that will provide $1,000 at the end of each of the next 24 months and
$1,500 at the end of each of the following 24 months (periods 25 through 48). If your opportunity cost of funds is 10%, how much would you pay for this investment (what is the present value)?

Answers

Answer:A. $48,307

Explanation: Did the test.

Where can you find an image database of free and simple graphics in many
slide presentation programs?
A. Users of slide software do not have access to simple and free
graphics.
B. The new slide button
C. Clip art
D. The View tab on your toolbar

Answers

The clip art is an image database of free and simple graphics in many

slide presentation programs. Thus, Option C. is correct.

A collection of images, drawings, and animations called "clip art" is available for use in slide shows. The built-in clip art gallery of multiple slide presentation programs contains simple and free images. Free and straightforward clip art can be found in many web collections. Icons8, Freepik, and Vecteezy are a few well-known libraries.

The alternate choices are incorrect. The View tab on the toolbar is used to manage how the slides are displayed, and users of slide software do have access to basic and free graphics. The new slide button is used to develop new slides.

Hence, the correct option is option C.

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Backcountry Adventures is a Colorado-based outdoor travel agent that operates a series of backcountry huts. Currently, the value of the firm is 3.5$ million. But profits will depend on the amount of snowfall: If it is a good year, the firm will be worth 5 $ million, and if it is a bad year it will be worth 2.5$ million. Suppose managers always keep the debt to equity ratio of the firm at 25% and the debt is riskless.
Calculate the percentage change in the value of the​ firm, its equity and its debt once the level of snowfall is​ revealed, but before the firm adjusts the debt level to achieve its target debt to equity ratio. The inital amount of debt is equal to 0.74 and equity 2.96
PLEASE FILL OUT THE TABLE AND PROVIDE PRECISE CALCULATIONS
Good state Bad state
Change in firm value 42.86% -28.57%
Change in equity value
Change in debt value

Answers

Answer:

                                               Good state                Bad state

Change in firm value                  42.86%                   -28.57%

Change in equity value              26.69%                   -36.66%

Change in debt value                 68.91%                    -15.54%

Explanation:

The following are given in the question:

Current firm value = $3.5 million

Firm value in good state = $5 million

Firm value in bad state = $2.5 million

Initial debt amount = $0.74 million

Initial equity amount = $2.96 million

Percentage of debt finance = debt to equity ratio = 25%

Percentage of equity finance = 1 - debt to equity ratio = 100% - 25% = 75%

We can therefore calculate as follows:

Percentage change in firm value in good state = [(Firm value in good state - Current firm value) / Current firm value] * 100 = ((5 - 3.5) / 3.5) * 100 = (1.5 / 3.5) * 100 = 42.86%

Percentage change in firm value in bad state = [(Firm value in bad state - Current firm value) / Current firm value] * 100 = ((2.5 - 3.5) / 3.5) * 100 = (-1.00 / 3.5) * 100 = -28.57%

Equity amount in good state = Firm value in good state * Percentage of equity finance = $5 million * 75% = $3.75 million

Percentage change in equity in good state = [(Equity amount in good state - Initial equity amount) / Initial equity amount] * 100 = ((3.75 - 2.96) / 2.96) * 100 = (0.79 / 2.96) * 100 = 26.69%

Equity amount in bad state = Firm value in bad state * Percentage of equity finance = $2.5 million * 75% = $1.875 million

Percentage change in equity in bad state = [(Equity amount in bad state - Initial equity amount) / Initial equity amount] * 100 = ((1.875 - 2.96) / 2.96) * 100 =  (-1.085 / 2.96) * 100 = -36.66%

Debt amount in good state = Firm value in good state * Percentage of debt finance = $5 million * 25% = $1.25 million

Percentage change in debt in good state = [(Debt amount in good state - Initial debt amount) / Initial debt amount] * 100 = ((1.25 - 0.74) / 0.74) * 100 = (0.51 / 0.74) * 100 = 68.91%

Debt amount in bad state = Firm value in bad state * Percentage of debt finance = $2.5 million * 25% = $0.625 million

Percentage change in debt in bad state = [(Debt amount in bad state - Initial debt amount) / Initial debt amount] * 100 = ((0.625 - 0.74) / 0.74) * 100 = (-0.115 / 0.74) * 100 = -15.54%

Bob Brain files a single tax return and decides to itemize his deductions. Bob's income for the year consists of $74,100 of salary, $3,450 long-term capital gain, and $2,450 interest income. Bob's expenses for the year consist of $890 in investment advice fees and $155 in tax return preparation fees. What is Bob's investment expense deduction

Answers

Answer:

$0

Explanation:

Based on the information give investment expense are NOT deductible reason been that

his income for the year was the amount of $74,100 of his salary , $3,450 of his long-term capital gain, and $2,450 of his interest income in which his expenses for the year was the amount $890 in investment advice fees and the amount of $155 in tax return preparation fees which means that his expenses amount that is been paid in order to help manage tax income just as the information given about Bob Brain will be not be deductible.

SELECT AN ORGANISATION OF YOUR CHIOCE.
1.1 SUMMARISE THE NATURE OF BUSINESS
1.2 SUMMARISE THE BUSINESS MODEL
1.3 WHAT ARE THE KEY BUSINESS DRIVERS
2.1 NATURE OF DECISION DESCRIBING WHAT DECISION NEEDED TO BE MADE AND WHY
2.2 SUMMARISE HOW WAS THE DECISION MADE
2.3 ANALYSE THE DECISION MADE AND DESCRIBE IF A QUALITATIVE OR QUANTITATIVE APPROACH WAS USED AND JUSTIFY YOUR RESPONSE
2.4CONFIRM WHY WAS THIS APPROACH TAKEN BY THE BUSINESS AND APPRAISE THIS APPROACH FROM RISK MODELLING PERSPECTIVE
3.1 USING THE SELECTED BUSINESS DECISION FROM ABOVE, IDENTIFY AT LEAST 5 RISKS THAT NEEDED TO BE CONSIDERED TO MAKE THE SAME
3.2 USING THE RISK REGISTER IN THE PREVIOUS SECTION, CONDUCT A QUALITATIVE RISK ANALYSIS FOR THESE 5 RISKS BY PROPOSING THE PROBABILITY OF OCCURRENCE AND IMPACT FOR EACH RISK
3.3 USING A MATRIX INCLUDED IN APPENDIX A, PLOT THE RISKS ON A HEAT MAP AND EXPLAIN WHAT THE MAP MEANS
4.1 USING THE REGISTER DERIVED IN QUESTION 3.1, CALCULATE THE AVERAGE IMPACT (EXPECTED MONETARY VALUE) USING AGGREGATION OF STATIC VALUES
4.2 SUMMARISE WHAT DOES THIS AVERAGE IMPACT VALUE MEANS FOR THE ORGANISATION
5.1 USING THE REGISTER FROM 3.1, CALCULATE THE 5 POSSIBLE EXPECTED MONETORY VALUES USING THE AGGREGATION OF THE RISK DRIVEN OCCURRENCES METHODOLOGY
5.2 DESCRIBE THE RESULT OF THIS METHODOLOGY USING AN APPROPRIATE DIAGRAM
5.3 SUMMARISE WHAT DOES THIS AVERAGE IMPACT VALUE MEANS FOR THE ORGANISATION

Answers

An organization that will be analyzed in this context is Coca-Cola.1.1 Summary of the nature of the business:Coca-Cola is one of the most well-known beverage manufacturers in the world. They create fizzy drinks, juices, and water for a variety of markets.

Their drink portfolio includes more than 200 brands sold in over 200 countries.1.2 Summary of the business model:Coca-Cola Company follows a business model based on creating strong brands that generate significant customer demand.

Their main goal is to build and enhance brand equity. They engage in extensive advertising and promotion campaigns to attract more consumers.1.3 What are the key business drivers:Coca-Cola's essential business drivers are its brand, extensive distribution network, market reach, product innovation, customer satisfaction, and product differentiation.2.1 Nature of decision describing what decision needed to be made and why:The business decision that was taken by Coca-Cola was regarding the selection of the right marketing mix, which is a critical decision.

This allowed them to gain valuable insights into how the consumers perceive their products, which they could use to develop targeted marketing strategies. From a risk modeling perspective, the approach is beneficial because it allows the company to minimize the risks by identifying the issues that consumers may face with their products.3.1 Using the selected business decision from above, identify at least 5 risks that needed to be considered to make the same:1. Competition from other beverage manufacturers2. Consumer preferences and behavior3. Changes in market trends4. Fluctuating economic conditions

5. Changing health and safety regulations3.2 Using the risk register in the previous section, conduct a qualitative risk analysis for these 5 risks by proposing the probability of occurrence and impact for each risk:The following table shows the qualitative risk analysis for the five risks that were identified:RiskProbabilityImpactCompetitionMediumHighConsumer preferences and behaviorHighHighChanges in market trendsLowHighFluctuating economic conditionsHighMediumChanging health and safety regulationsLowMedium3.3 Using a matrix included in Appendix A, plot the risks on a heat map and explain what the map means:The risks were plotted on a heat map, as shown below:The heat map shows that the competition and consumer preferences risks have a higher probability of occurrence and impact, while the changes in market trends and health and safety regulations have a lower probability of occurrence and impact.4.1 Using the register derived in question 3.1, calculate the average impact (expected monetary value) using aggregation of static values:

The five possible expected monetary values are calculated by multiplying the probability of each risk and the range of possible impacts.RiskProbabilityImpactRange of possible impactsExpected Monetary ValueCompetitionMedium$2,000,000-$4,000,000$1,200,000Consumer preferences and behaviorHigh$3,000,000-$5,000,000$3,000,000Changes in market trendsLow$1,000,000-$3,000,000$300,000Fluctuating economic conditionsHigh$1,000,000-$2,000,000$1,200,000Changing health and safety regulationsLow$500,000-$1,000,000$50,000Total Expected Monetary Value$5,750,0005.2 Describe the result of this methodology using an appropriate diagram:The following diagram shows the possible expected monetary values for the five risks:5.3 Summarize what does this average impact value mean for the organization:

The average impact value means that the Coca-Cola Company could potentially lose an estimated $5,750,000 due to the five risks that were identified. This value represents the range of possible impacts that the company may face, given the probability of occurrence of each risk. The company can use this information to identify the risk mitigation strategies that are required to minimize the impact of these risks.

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Draco, Inc. has the following overhead standards: Variable overhead: 4 hours at $8 per hour Fixed overhead: 4 hours at $10 per hour The standards were based on a planned activity of 20,000 machine hours when 5,000 units were scheduled for production. Actual data follow.

Answers

Answer:

he alloy produced more waste than normal, as evidenced by a direct-material quantity variance of $2,000U, and was also difficult to use. This slowed worker ...

1 answer

·

Top answer:

Favorable Direct-material price variance 9500 F Les...

Explanation:

which two statements accurately convey what differentiates shopping campaigns from search campaigns? choose two.

Answers

Device targeting allows you to reach customers using any device, including PCs, tablets, and smartphones. Thanks to location Target, advertisements can be displayed in the precise locations you designate. The correct response is B) campaign only candidates

A series of ads with a single message make up an advertising campaign. They are created to achieve a certain business goal and boost conversions variety of business goals can be attained.

Through advertising campaigns, including building brand recognition for a new product or service, boosting sales of a specific product or service, and generating leads by persuading potential customers to sign up for a mailing list, subscription, or other free offers.

complete question:

Which two statements accurately convey what differentiates shopping campaigns from search campaigns? choose two.

A) NO CHANGE

B) campaign only candidates

only candidates campaign

D) candidates campaign only

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The following information pertains to Cullumber Company. 1 Cash balance per books, August 31, $7,374. 2. Cash balance per bank, August 31, $7,338. 3. Outstanding checks, August 31, $690. 4. August bank service charge not recorded by the depositor $42. 5. Deposits in transit, August 31, $2,810. In addition, $2,126 collected for Cullumber Company in August by the bank through electronic funds transfer. The accounts receivable collection has not been recorded Cullumber Company Prepare a bank reconciliation at August 31, 2022. (List items that increase balance as per bank & books first.) CULLUMBER COMPANY Bank Reconciliation Journalize the adjusting entries at August 31 on the books of Cullumber Company

Answers

The bank reconciliation for the given company is given as follows:

Balance per books: $7,374

Add: Electronic funds transfer: $2,126

Less: Bank service charge: $42

Adjusted balance per books: $9,458

The Bank Reconcilation

CULLUMBER COMPANY

Bank Reconciliation

August 31, 2022

Balance per books: $7,374

Add: Electronic funds transfer: $2,126

Less: Bank service charge: $42

Adjusted balance per books: $9,458

Balance per bank: $7,338

Add: Deposits in transit: $2,810

Less: Outstanding checks: $690

Adjusted balance per bank: $9,458

JOURNAL ENTRIES:

Debit: Bank Charges Expense $42

Credit: Cash $42

Debit: Cash $2,126

Credit: Accounts Receivable $2,126

The entries recognize the bank service charge expense and receipt of electronic funds transfer, respectively. After these adjustments, the reconciled book and bank balances agree at $9,458.

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what is the top fastest car in the world from any brand.

Answers

Bugatti Chiron Buggati Veyron and Also Devil Sixteen. Devil Sixteen has a horse power of 5000.

Should VALORANT give out free skins?

Answers

Explanation:

Take a meme.

Should VALORANT give out free skins?

How important are structure and culture compared to the other primary internal considerations for a strategic plan?

Answers

Structure and culture are among the primary internal considerations for a strategic plan. The importance of structure and culture cannot be undermined, as they both play an important role in the success of a company's strategic plan. Although there are other factors that may contribute to the success of a strategic plan, structure and culture are vital. They can be used to leverage the strengths of an organization to achieve its goals.

Structure refers to how an organization is organized and the interrelationships between different departments. A company's structure determines how information flows within the organization, and how employees interact with one another.

An effective structure enables employees to work together efficiently, leading to a higher level of productivity.

Culture refers to the set of values, beliefs, and attitudes that guide the behavior of an organization's members. A positive culture promotes employee engagement, which is essential for achieving an organization's goals.

A company's culture can influence how it deals with problems, how employees communicate with each other, and how they make decisions, among other things.

In conclusion, structure and culture are essential components of an organization's strategic plan.

By investing in a positive culture and a well-defined structure, companies can increase employee engagement, productivity, and ultimately, achieve their goals.

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Which saying helps bring about desired customer service levels

Answers

The saying that helps bring about desired customer service levels is Option D. "It's not perfect, improve it."

This saying encourages people to never settle for mediocrity, and always strive for improvement. No matter how good something may seem, there is always room for growth and development. This is especially true when it comes to customer service, as customers are the lifeblood of any business. By consistently seeking to improve customer service, businesses can create a loyal customer base that will keep coming back for more.

The saying "If it ain't broke, it doesn't need line" is not applicable to customer service, as it suggests that there is no need for improvement if something is working properly. However, customer service is not something that can ever truly be considered "working properly," as there will always be areas that can be improved upon."Structure determines strategy" is also not directly applicable to customer service, as customer service is more about individual interactions with customers rather than overall business strategy.

While having a strong business structure is certainly important, it is not the key to providing excellent customer service. Finally, the saying "You can have any car you want today Model" is not related to customer service at all. It is simply a slogan used by a car company. Therefore, the correct option is D.

The question was incomplete, Find the full content below:

Which saying helps bring about desired customer service levels?

А. If it ain't broke, it don't need line

B. Structure determines strategy

C. You can have any car you want today Model

D. it's not perfect, improve it

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For each of the following scenarios, indicate whether we would use time series or cross-sectional data.
ITEMS
A. TO DETERMINE IF ENROLLMENT IN HIGHER EDUCATION IS INCREASING.
B. TO COMPARE THE CURRENT PRICE OF A GALLON OF GASOLINE ACROSS DIFFERENT GAS STATIONS IN LOS ANGELES, CA.
C. TO SEE IF THERE ARE DIFFERENCES IN THE AVERAGE NUMBER OF CALORIES CONTAINED IN SCHOOL LUNCHES SERVED IN EACH OF THE FIFTY STATES ON DECEMBER 1, 2015.
D. TO COMPARE THE INSECT POPULATION IN A GEOGRAPHIC REGION BEFORE AND AFTER AN INSECTICIDE WAS APPLIED.

Answers

Answer:

A. Time-Series data

B. Cross-sectional data

C. Cross-sectional data

D. Time-Series data

Explanation:

For Your Understanding:

If the time period is single then use Cross-sectional data.

If their are multiple time periods then use time-series.

A. To determine whether or not the enrollment in higher education is increasing we will use time-series data because enrollment of students is a periodical event and occurs every year. So this means periodic study would be better with time-series data.

B. For comparing the current price of a gallon of gasoline across different gas stations in Los Angeles, CA: we are considering prices in a single time period. Thus the we will use cross-sectional data.

C. For finding see any differences in the average number of calories contained in school lunches served in each of the fifty states on December 1, 2015: we are considering a single time period. Thus we will use here cross-sectional data.

D. To find out the insect population and comparing them with insect population in a geographic region before and after insecticide was used: we will consider two time periods. As the time periods are more than one, hence we will use time-series data here.

The purchase price and all costs to bring an asset to its desired condition and location for use should be ______. expensed accrued capitalized. capitalized.

Answers

The purchase price and all costs to bring an asset to its desired condition and location for use should be capitalized.

This means that the costs are added to the cost of the asset and recognized as an asset on the company's balance sheet, rather than being recognized as an immediate expense on the company's income statement. By capitalizing these costs, the company can more accurately reflect the total cost of acquiring and preparing the asset for use over its useful life.

What is balance sheet?

A balance sheet is a financial statement that provides a snapshot of a company's financial position at a specific point in time. It shows the company's assets, liabilities, and equity, and provides information about how the company's resources are financed.

On a balance sheet, assets are what the company owns, such as cash, inventory, property, and equipment. Liabilities are what the company owes to others, such as loans, accounts payable, and accrued expenses.

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Complete question is: The purchase price and all costs to bring an asset to its desired condition and location for use should be capitalized.

Companies have different demands for ICT applications.
Valuable, but with longer time periods for returns on investment (more than a 12-month
period)
This level is
O
Highly desired
Wanted
Nice to have
Absolute must

Answers

Various business needs exist for ICT applications. valuable but with longer return on investment horizons (more than a 12-month period) This level is very sought-after.

What transpires if you keep an asset for more than a year?

If you sell an asset more than a year after buying it, you must pay long-term capital gains taxes, which can be paid at a rate of 0%, 15%, or 20%, depending on your filing status or taxable income. The long-term capital gains tax rate, however, is typically lower than the ordinary income tax rate for most persons.

Why is making long-term investments advantageous?

Compounding has the potential to be one of the benefits of long-term investing. Here's how it functions: When your investments generate income, those earnings are reinvested and have the potential to increase further. The chance for compounding and growth increases with the length of time your money is invested.

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Choose one current event. Describe the event and discuss the economic implications of this event. What economic effects might this have at the individual and societal levels?

Answers

A current event that has had an impact on the economy is the recent coronavirus pandemic. The economic effects at the individual and economic level were the loss of jobs, the bankruptcy of micro-enterprises and economic scarcity.

How is an event capable of impacting the economy?

Macroeconomic factors such as health crises, politics and wars, for example, are capable of generating effects in society that directly impact the lives of individuals individually and collectively, by changing the laws of supply and demand and generating an economic imbalance.

Therefore, the pandemic is an example of a situation that contributed to the economic recession in the US, generated by the closure of companies during the quarantine period, impacting the entire sector, jobs and prices.

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What is a benefit of joining a professional organization for your chosen career path?

Answers

Answer: experience

Explanation: This will give the opportunity to show off your skills in the organization you have chosen plus it would be hands on and they can show you things to enhance your skills you learned.

The​ ________ tells managers how much of the overall variance is due to paying a higher or lower price than expected for the quantity of materials it purchased.

Answers

Direct labor rate variance
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