the income statement columns of the end-of-period spreadsheet show that debits total $29,037 and credits total $65,479. what does this information mean to the accountant?

Answers

Answer 1

This information to the accountant means that $36,442 is the net income of the company.

What is an income statement?

An income statement is a financial statement that provides a summary of a company's revenues and expenses over a given period. It is used to measure a company's financial performance and gives investors a clear insight into how profitable the company is and how it has been managing its expenses. The income statement is an important financial document that provides an overview of a company's financial performance and reports on the company's net income or loss over some time.  

This information tells the accountant that the company has a net income of $36,442 ($65,479 - $29,037). This means that the company has earned more than it has spent during the period covered by the spreadsheet. This information is also useful for helping to calculate the company's return on assets, equity, and other financial performance metrics.

It can be concluded that his information to the accountant means that $36,442 is the net income of the company.

To know more about income statements, check this link:

https://brainly.com/question/15169974

#SPJ4


Related Questions

) why are the small firm effect and the book-to-market (value) effect considered violations of market efficiency?

Answers

Gene Fama and Kenneth French's Three-Factor Model, which considers the market return, companies with high book-to-market values, and tiny stock capitalization, uses the small firm effect, an apparent market aberration, to explain higher results.

According to the small firm effect theory, smaller businesses, or those with a low market capitalization, typically outperform their larger counterparts. Gene Fama and Kenneth French's Three-Factor Model, which includes the market return, companies with high book-to-market values, and tiny stock capitalization, uses the small firm effect, an apparent market aberration, to explain higher returns. Of course, there is some historical bias in the verification of this phenomenon. Whether a researcher will discover any instances of the small firm effect depends primarily on the time period examined when looking for instances in which small-cap stocks outperform large-cap companies. The tiny firm effect is occasionally cited as justification for the often higher prices offered by fund companies for small-cap funds.

Learn more about small firm from

brainly.com/question/20340732

#SPJ4

suppose the required reserve ratio for checking accounts is 10%, and banks do not hold excess reserves, and people hold only checking deposits and no currency. if the fed sells $10 million worth of bonds to the public or member banks, bank reserves would

Answers

The bank reserves would increase $1 million. The reserve ratio is the percentage of reservable liabilities that banking institutions must retain and not lend or invest.

The requirement for the reserve ratio set by the nation's central bank, in this case the Federal Reserve in the United States. The term "cash reserve ratio" is also used to describe it.

In the given question, when the Fed sells bonds, it does so in exchange for money. Therefore, the Fed is taking money away from the general public by issuing bonds worth $1 million. As a result, the economy is forced to lose money. Therefore, the economy's money supply (Ms) declines.

The necessary reserve is a portion of the deposits that commercial banks are required to maintain with the central bank as reserves.

Given that the statutory reserve is 0.1 and the sale of bonds is worth $1 million, the money multiplier will be 1/0.1, or 10. The multiplication impact will cause the Ms to drop by more than $1 million as a result. Therefore, the Ms will reduce by $10 million for a bond sale of $1 million ($1*10).

The selling of the $1 million in government bonds will increase the Fed's reserves. Consequently, the reserves of the economy will rise by $1 million.

Learn more about Reserve Ratio here: https://brainly.com/question/28114915

#SPJ4

suppose an investor earned a semiannual yield of 6.4 percent on a bond paying coupons twice a year. what is the effective annual yield (eay) on this investment? (round to two decimal places.)

Answers

The effective annual yield on this investment is 6.50%

What is the effective annual yield?

The effective annual yield is the actual rate of return that is earned on an investment after accounting for the number of compounding on the investment. The number of compounding is the number of times that the investment earns interest.

Effective annual yield = (1 + APR / m ) ^m - 1

Where, m = number of compounding

EAY Effective annual rate = (1 + APR / m ) ^m - 1

M = number of compounding

To learn more about the effective annual rate, please check: https://brainly.com/question/4064975

EAY = (1 + 0.064/2)^2 - 1 = 0.06502 = 6.50%

To learn more about the effective annual rate, please check: https://brainly.com/question/4064975

#SPJ1

when there is no specific employment contract saying otherwise, an employer or employee may end an employment relationship at any time, regardless of cause. this arrangement is called . multiple choice question.

Answers

When there is no specific employment contract saying otherwise, an employer or employee may end an employment relationship at any time, regardless of cause. This arrangement is called employment at will.

At-will employment, as defined by US labor law, is when an employer has the right to fire an employee without cause (i.e., without having to provide "just cause" for termination) and without prior notice, so long as the reason is legal (e.g., not firing an employee due to their race, religion, or sexual orientation).

Courts reject any claims for damages resulting from a dismissal where an employee is recognized as having been hired "at will." The rule's supporters argue that an employee may have a similar right to quit their work without cause or prior notice.

Those who believe that the work relationship is characterized by an inequality of bargaining power perceive the practice as being unjust.

To know more about employment at will:

https://brainly.com/question/17459074

#SPJ4

What is a "pump and dump" scam?

a
A scheme which pools investors’ money together but only a small percentage of the pool is actually invested
b
A scheme that attempts to boost the price of a stock through recommendations based on false or misleading statements
c
A scheme where an investor collects your money for investment but never actually makes a purchase and instead keeps the money for themselves
d
A scheme that attempts to beat the overall market's return by investing in high-cost index funds

Answers

"Pump and dump" schemes have two parts. In the first, promoters try to boost the price of a stock with false or misleading statements about the company. Once the stock price has been pumped up, fraudsters move on to the second part, where they seek to profit by selling their own holdings of the stock, dumping shares into the market.

These schemes often occur on the Internet where it is common to see messages urging readers to buy a stock quickly. Often, the promoters will claim to have "inside" information about a development that will be positive for the stock. After these fraudsters dump their shares and stop hyping the stock, the price typically falls, and investors lose their money.

Answer:

C

Explanation:

yvonne's employer offers a health plan that has a group of doctors and hospitals that agree to provide specified medical services to members at prearranged fees. this health plan offers some flexibility since members can either visit a physician from a list or go to their own doctors. what kind of plan does her employer offer?

Answers

The plan offered by Yvonne's employer regarding health plans is Preferred Provider Organization (PPO)

Health insurance is insurance that provides guarantees to the insured to reimburse for any medical expenses that include hospital costs and drug costs. Several companies often offer this type of health insurance to their employees because it is the responsibility of the company. One of the most common types of health insurance is the Preferred Provider Organization (PPO).

Preferred Provider Organization (PPO) contains the managed care aspects of a healthcare organization, In PPOs there is the added flexibility of being able to go outside the professional network and healthcare facilities to a healthcare provider of choice to take responsibility. PPOs organize medical care where medical professionals and facilities provide services to subscribing clients at reduced rates.

Learn more about health insurance at:

https://brainly.com/question/28590419

#SPJ4

in terms of revenues, the largest segment of ecommerce is ecommerce. question 5 options: a) g2c b) b2c c) b2b d) c2c

Answers

The right response is business-to-business (B2B) option (c).for the given question .

Consumer-to-consumer (C2C) transactions occur when a individual uses eBay to buy it from this customer.

A regulatory body is involved in government-to-business (G2B) e-commerce when it employs e-procurement to get the supplies it needs from vendors.

Virtual corporations are firms that exist exclusively online and don't have any local shops.

Brick-and-click businesses, like Barnes & Noble, run actual storefronts in addition to their worldwide businesses.

Because the overhead of preserving service centers are eliminated, one benefit of the press and hold e-commerce method is that rock-bottom fee structure can be provided.

To know more about Consumer-to-consumer (C2C) click here

brainly.com/question/28495689

#SPJ4

the term​ ________ is best described as​ a stream of equal installments made at equal time intervals​.

Answers

The term​ annuity is best described as​ a stream of equal installments made at equal time intervals​.

What is annuity?

Annuity is a series of equal payments at equal intervals. Flat payments and even time intervals such as months, quarters, and years are two characteristics that make a series of payments annuities. Therefore, a series of payments can be an annuity, but not all series of payments are an annuity.

Moreover, the term 'annuity' refers to an insurance policy issued and distributed by a financial institution for the purpose of returning the money invested in the future in the form of a fixed income. An investor invests in or purchases an annuity with a monthly premium or lump sum payment. The holding institution issues future cash flows for a specified period or for the remaining life of the pensioner. Annuities are primarily used for retirement planning purposes and help individuals manage the risk of exceeding their savings.

Learn more about annuity https://brainly.com/question/25792915

#SPJ4

Suppose the exchange rate is 90 yen per u.s. dollar and the united states wants to keep the exchange rate at a target rate of 90 yen per u.s. dollar. if the demand for u.s. dollars ​, the fed​ ______.

Answers

Suppose the exchange rate is 90 yen per u.s. dollar and the united states wants to keep the exchange rate at a target rate of 90 yen per u.s. dollar. if the demand for u.s. dollars ​, the fed​ sells dollars to lower the exchange rate.

Less US dollars are being offered on the currency market as the projected profit from holding US dollars increases. Excess US dollars will weaken the currency if the exchange rate is too high.

The US dollar will become more expensive and scarce if the exchange rate is too low. The demand for US dollars declines as the exchange rate rises. The US and international interest rates

Learn more about The exchange rate here:- brainly.com/question/25970050

#SPJ4

what is a characteristic of delayering? multiple choice it increases an organization's flexibility. it increases the opportunities for promoting employees. it sets pay according to the employees' level of knowledge. it encourages a climate of learning. it decreases the flexibility of managers in making assignments.

Answers

Characteristic of delayering is that A. It increases an organizations' flexibility.

Delayering, a technique for increasing organizational effectiveness, involves reducing levels of administration. This can be accomplished by removing pointless management tiers, grouping similar tasks, or flattening the organizational structure.

Delayering can help with cost-savings, decision-making, and communication improvements. Additionally, it can aid in enhancing the organization's flexibility and responsiveness to environmental changes.

The current status of the economy is the most pressing reason. Companies must be careful who they hire because unemployment rates are now around 8%.

Delaying new hires will also offer you more time to thoroughly evaluate applicants. Before deciding whether to hire a candidate, it's critical to get to know them well.

To know more about delayering:

https://brainly.com/question/29561706

#SPJ4

maria was laid off when her company was purchased by another business. she looked for work for nearly a year, but gave up looking just over a month ago. she hopes to begin her job search again when things look more promising. maria is:

Answers

She hopes to begin her job search again when things look more promising. maria is A discouraged worker out of the labor force.

a bit of labor, specifically a specific undertaking completed as part of the habitual of 1's profession or for an agreed fee: She gave him the job of mowing the garden. a post of employment; full-time or element-time role: She becomes in search of a task as an editor. The word jobbe of work (“piece of work”), of unsure starting place. perhaps from a variation of center English gobble (“mass, lump”); or possibly associated with center English jobben (“to jab, thrust, %”), or center English shop (“piece, good deal”). greater at gob, jab, chop.

the main distinction between a profession and a process is that a process is simply something you do for money, whereas a profession is an extended-term endeavor, something you build toward and paint upon each day.

Learn more about job here: https://brainly.com/question/25454905

#SPJ4

the evidence suggests that recent technological change group of answer choices permanently increased the natural rate of unemployment. is different from past technological change, in that it has no impact on productivity. has increased productivity in the service sector only. has increased productivity in the manufacturing sector only. has increased the wage gap between skilled and unskilled workers.

Answers

Growth in output is a function of productivity. is widening salary disparity between unskilled and skilled workers.

Examples of increased productivity?

An assembly line and equipment, for instance, are used by employees to create finished cars. Both labor and capital are represented by the workforce. Each employee needs to be able to provide more output if productivity is to rise. Labor productivity growth is the term used to describe this.

Why does productivity increase?

When the same quantity of product is produced with fewer inputs or with the same number of inputs, productivity increases.

to know more about productivity visit:

https://brainly.com/question/13766620

#SPJ4

What is a savings bond ?

Answers

Saving Bond is a sort of debt security offered by the American government.

A savings bond is a zero-coupon bond, which means that it pays interest only when it is redeemed by the owner, in contrast to normal bonds that pay interest on a regular basis.

The bond is also nontransferrable, thus it can't be sold to someone else, which distinguishes it from more ordinary bonds.

The bond is issued by a government entity to generate money from the general public to finance its capital projects and other operations required to manage the economy.

When the government sells bonds, it is essentially borrowing money from the general public that it promises to repay at a future date. The government pays interest to its bondholders as payment for supplying it with funds.

To know more about saving bond here

https://brainly.com/question/12383189

#SPJ4

sean would like to work as an accountant full time. a full-time position is not available, however, so he must accept a part-time job working 15 hours per week. the bureau of labor statistics would categorize sean as

Answers

The bureau of labor statistics would categorize Sean as employed.

Employment is a partnership between two people that governs the delivery of compensated labor services. One party, the employer, who may be a company, a not-for-profit organization, a co-operative, or any other entity, pays the other, the employee, in accordance with the terms of a contract in exchange for doing the job that has been allocated to them.

Employees perform work in exchange for pay, which may be made in the form of an hourly wage, piecework compensation, or an annual salary, depending on the nature of the work performed, the industry conditions in effect, and the bargaining power of the parties.

In some industries, employees could get stock options, bonuses, or gratuities. In various types of employment, employees may receive benefits in addition to remuneration. A person who works part time is also considered as employed.

To know more about employment:

https://brainly.com/question/18695702

#SPJ4

Each asset account has a normal credit balance.
a. True
b. False

Answers

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

which of the following is true? group of answer choices modern forecasting methods make it relatively easy to time fiscal policy changes in a manner that will help stabilize the economy. legislative action is necessary if automatic stabilizers are going to smooth the ups and downs of the business cycle. proper timing of changes in discretionary fiscal policy is both crucially important and difficult to achieve. both the crowding-out and new classical theories indicate that expansionary fiscal policy will exert a powerful impact on aggregate demand.

Answers

The correct answer is (B). As It's critical and challenging to implement changes to discretionary fiscal policy at the proper time.

Government budget changes are made through fiscal policy to affect overall demand. i.e., altering spending and taxes.

Adjustments to the government's tax rates and/or spending levels are referred to as discretionary fiscal policy. To encourage spending, for instance, the VAT was reduced in 2009.

An expansionary fiscal plan reduces taxes while increasing spending on the government.

Discretionary fiscal policy differs from automatic fiscal stabilisers.

The government may decide to raise public work spending programs as well, though, if they consider that these automatic stabilisers are not enough.

To learn more about Discretionary fiscal policy, click here:

https://brainly.com/question/28136901

#SPJ4

dana and mike decide to form their new motorcycle business as a llc. each will receive an equal profits (loss) interest by contributing cash, property, or both. in addition to the members' contributions, their llc will obtain a $75,000 loan nonrecourse loan from first bank at the time it is formed. mike contributes cash of $10,000 and a building he bought as a storefront for the motorcycles. the building has a fmv of $65,000, an adjusted basis of $35,000, and is secured by a $40,000 nonrecourse mortgage that the business llc will assume. what is mike's outside tax basis in his llc interest?

Answers

Mike's outside tax basis in his LLC interest is $65,000.

The outside basis of a contributing partner is initially the basis of contributed property less any debt relief plus any partnership debt allocated to the partner. Any nonrecourse debt that exceeds the basis of the contributed property must be allocated solely to the partner who contributed the property when allocating nonrecourse debt secured by the contributed property. Any remaining nonrecourse debt is allocated based on the profit sharing ratios of the partners.

$10,000 (cash) + $35,000 (basis of building) − $40,000 (debt on building) + $37,500 (50% profit sharing ratio × $75,000 nonrecourse bank loan) + $5,000 (nonrecourse mortgage less basis of contributed property) + $17,500 (50% × $35,000 remaining mortgage on building) = $65,000

To learn more about LLC interest, here

https://brainly.com/question/16631331

#SPJ4

true or false. Jeff, Kirk, and Rina are partners in a law firm. The partnership is dissolved if Rina withdraws from the partnership and Jeff and Kirk continue to operate the business.

Answers

If Rina leaves the business and Jeff and Kirk remain in charge of the company, the partnership is dissolved. The assertion made is untrue.

What makes business so crucial?

Our lives rely greatly on business. . Then, they enlist homes as workers and compensate them with earnings, salaries, and perks. As a result, it will become a source of revenue for them, which they may utilize to maintain their way of life.

Why do we launch a company?

Comparing working for a pay or salary to starting one's own business, there are various financial advantages. First of all, you're creating a business with room for expansion, and as your organization expands, so does your bank account. 

To know more about business visit:

https://brainly.com/question/29608710

#SPJ4

What are 2 ways to get money into a checking account?

Answers

You can use direct deposit, an electronic transfer, or an ATM to put money into your checking account. You can withdraw money from your accounts via banks and ATMs, checks, or electronic debit or credit cards linked to your accounts.

Your neighbourhood bank branch or an ATM that accepts deposits are two possibilities if you need to deposit money into your bank account. While most online banks do not allow direct deposit, there are frequently workarounds available, such as utilising a money order or an in-network ATM. Several approaches are effective, including: ACH transaction: The simplest method is to make a cash deposit into an account at a physical bank or credit union, then transfer the money to your online bank account. ATM deposits are also an option. A few online banks allow ATM deposits.

Learn more about account from

brainly.com/question/1287000

#SPJ4

a firm has a stock price of $55 per share and a p/e ratio of 75. if you buy the stock at this p/e and earnings fail to grow at all, how long should you expect it to take to just recover the cost of your investment?

Answers

It will take 75 years just to recover the cost of your investment.

The time it takes to recoup the cost of an investment is referred to as the payback period. It is simply the amount of time it takes an investment to break even.

The payback period is crucial since people and businesses invest money primarily to be reimbursed. In general, an investment is more appealing the faster its payoff is.

Everyone may benefit from knowing the payback period, which can be calculated by dividing the initial investment by the typical cash flows.

Earning per share = stock price / profit to earning ratio

= 55/75

= $.73333 per year

Now, we will calculate payback period

Payback period = stock price / earning per share

= $55/$.73333 per year

= 75 years

To know more about payback period:

https://brainly.com/question/13978071

#SPJ4

Jamal’s company has decided to open a nonoperating subsidiary in a tax haven. what would be the main reason for establishing this subsidiary?

Answers

The  main reason for establishing this subsidiary is that it has low, or perhaps, no income tax. Therefore, first option is the correct answer.

In an economically and politically secure climate, a tax haven is a nation that gives foreign firms and individuals little to no tax liability for their bank accounts. They contain tax benefits for businesses and the extremely rich, as well as a clear potential for abuse in nefarious tax evasion schemes. Tax havens can be used legally by businesses and rich people to store money generated abroad while avoiding paying higher taxes in the US and other countries.

Tax havens may also be utilised unlawfully to conceal money from domestic tax authorities. By not cooperating with foreign tax authorities, the tax haven may make this work. Recent years have seen an increase in the political pressure on tax havens to assist with investigations into international tax evasion.

Learn more about Tax Haven here: https://brainly.com/question/28182674

#SPJ4

Complete Question:

Jamal’s company has decided to open a nonoperating subsidiary in a tax haven. what would be the main reason for establishing this subsidiary?

It has low, or perhaps no, income tax.The tax haven pays higher dividends.There is no waiting period to access funds.The tax haven handles all tax preparation.

marketing efforts meant to improve society by influencing stakeholders to change their behavior are known as

Answers

Marketing efforts meant to improve society by influencing stakeholders to change their behavior are known as corporate activism.

What is the significance of corporate activism?

Organizations risk losing business by failing to communicate their points of view in today's more divisive environment if they don't take a position on important societal issues. Improvements in staff morale and the potential to recruit new personnel were the next two most often mentioned benefits of corporate activism, according to survey respondents.

Corporate activism, which differs from corporate social responsibility, is when companies push for the government to modify laws or regulations about social or moral issues. It has never been more crucial to do corporate activism properly. Senior leaders speaking out on social concerns that are not immediately tied to the financial performance of their organization.

To learn more about corporate social responsibility, visit:

https://brainly.com/question/28390056

#SPJ1

according to the world health organization, nearly six million people around the world die each year from tobacco-related causes. aside from toxic poisons, tobacco is probably the single most lethal substance we can consume. yet it remains legal, with only age restrictions on its purchase and usage. this is because

Answers

Smoking causes 20% of all cancer cases and 30% of all cancer deaths in the US.

Smoking causes about 80% of lung cancer cases and 80% of lung cancer deaths. Lung cancer is the most typical type of cancer that causes death in the US.. As a result of smoking, you have a higher risk of developing the following cancers: Lips Larynx. Pharynx (throat). Esophagus Kidney Cervix. Liver Bladder Pancreas Stomach Colon/rectum. Acute myeloid leukemia risk is also raised. Cigarettes, cigars, and pipes can all cause cancer. There is no safe way to smoke a cigarette. How smoking tobacco damages your lungs. Tiny air sacs and airways in your lungs are damaged by smoking. This injury starts the moment a person.

Learn more about Smoking from

brainly.com/question/2872199

#SPJ4

Companies often use more than one capital budgeting method to determine which capital investment to make.a. Trueb. False

Answers

It is true that companies often use more than one capital budgeting method to determine which capital investments to make.

This is because different methods can provide different perspectives on potential investments, allowing businesses to make more informed decisions.

Capital budgeting is a crucial part of any business’s decision-making process. It involves the analysis and evaluation of potential investments and projects to determine their profitability and viability. Capital budgeting helps businesses determine which investments are likely to have the highest return and which ones should be avoided.

Different capital budgeting methods can provide different perspectives on potential investments. For example, the traditional Net Present Value (NPV) method evaluates a project based on its expected cash flows, while the Internal Rate of Return (IRR) method considers a project’s expected rate of return. Both of these methods can be used to evaluate potential investments, but they may yield different results.

Overall, it is true that companies often use more than one capital budgeting method to determine which capital investments to make. By using multiple methods, businesses can gain a more comprehensive understanding of potential investments and make more well-informed decisions.

Learn more about capital budgeting methods:

brainly.com/question/17159659

#SPJ4

assuming all of the preferred stock was sold at par and that none of the treasury stock has been sold, how much, on average, was received for one share of common stock?

Answers

Treasury stock, commonly referred to as treasury shares or reacquired stock, denotes previously outstanding stock that the issuing business has acquired from stockholders.

What is Treasury stock?

Treasury stock, commonly referred to as treasury shares or reacquired stock, denotes previously outstanding stock that the issuing business has acquired from stockholders.

The overall number of outstanding shares on the open market declines as a result. Treasury stock is still issued but is not taken into account for calculating dividends or earnings per share (EPS).

The balance sheet's shareholders' equity part includes a contra equity account for treasury stock.

Treasury stock lowers shareholders' equity by the price paid for the stock because it indicates the number of shares that were bought back on the open market.

Learn more about Treasury stock, here

https://brainly.com/question/15852051

#SPJ1

Aaron bought a motor home for $50 000. If he later sold it for $10 000, find the loss as a perentage of the cost price.

Answers

At a loss of 80%, Aaron sold his motor, as of the given condition.

Given that,

Aaron bought a motor home for $50,000. He later sold it for $10,000, to find the loss as a percent of the cost price.

What is the cost price?

Cost price is the amount a buyer pays a seller for a good or service.

Calculation:

cost price = $50,000

Selling price = $10,000

Loss % = cost price - selling price/ cost price × 100

Loss % = 50,000 - 10,000 / 50,000 × 100

Loss% = 40,000 / 50,000 × 100

Loss% = 80%

Thus, the required loss percentage is given as 80%.

To know more about loss percentage visit:-

https://brainly.com/question/3753865

#SPJ4

allowance for doubtful accounts has a debit balance of $304 at the end of the year (before adjustment), and bad debt expense is estimated at 2% of credit sales. if credit sales are $959,100, the amount of the adjusting entry for uncollectible accounts is

Answers

Allowance for Doubtful Accounts is a contra asset (Accounts Receivable) account.  It is a way for prudently providing for credit losses.  The Bad Debt Expense account is the account where the expense for uncollectible for the period is charged. Uncollectible accounts is $18,878

Given the above information, the amount of the adjusting entry to record the estimated uncollectible account receivable is below

= Bad debt expense × Net credit sales

= 2% × $959,100

= $19,182

Then,

=Balance - Allowance for doubtful account (debit balance)

= $19,182 - $304

= $18,878

hence, the amount of the adjusting entry to record the estimated uncollectible account receivable is $18,878

Know more on calculation of Allowance for Doubtful Accounts - https://brainly.com/question/24047827

#SPJ4

What are the 4 types of investments?

Answers

There are 4 essential funding types or asset instructions that traders can pick from: shares, property, cash, and stuck hobby.

Essential Types of Investments are -

Growth investments - These are more  suitable for long term investors that are willing and ready to endure market high points and low points.Shares - Shares are viewed as a development venture as they can assist with developing the worth of your unique speculation over the medium to long haul.Property - Property is likewise viewed as a development speculation on the grounds that the cost of houses and different properties can rise considerably over a medium to long haul period.Defensive investments - These are more centered around reliably creating pay, instead of development, and are viewed as lower risk than development speculations.Cash - Cash ventures incorporate regular ledgers, exorbitant premium bank accounts and term stores.Fixed interest - The most popular sort of fixed interest investments are securities, which are basically when legislatures or organizations get cash from financial backers and pay them a pace of revenue consequently.

Know  more on types of investments - https://brainly.com/question/29549260

#SPJ4

what was the most significant factor that contributed to the conflict between labor and managements over wages and wokring conditions

Answers

The primary cause of labor relations disputes is the inability of the employer and employee to come to an amicable compromise that takes into account their respective rights, interests, and feelings.

When a business declines to acknowledge a union as its employees' representation, controversy may initially ensue; in the US, these issues are typically resolved by an employee election overseen by a government agency.

Contractual disagreements and complaints are more typical. When a union contract covering a group of employees is due to expire and the parties cannot agree on the provisions of a new one, a contract dispute arises. Sometimes these disputes are about other concerns, such as seniority, hours, sick leave, overtime, etc., but typically they are about wages, health insurance, and other economic issues.

To know more about labor click here,

https://brainly.com/question/333305

#SPJ4

What is saving account and current account?

Answers

While a current account is designed for daily transactions, a savings account is a deposit account that only permits a few transactions.

This is the most basic account you may open at any bank. A savings account, by definition, allows you to deposit your money safely with the bank, removing the need for you to carry it with you or hide it in that rusty old steel safe at home. Don't worry; you can withdraw these funds whenever you require them. Businessmen that transact with the bank more frequently open current bank accounts. Included are countertransactions, withdrawals, and deposits. Yet another name for it is a demand deposit account. Opening a current account is permitted by cooperative banks and commercial banks alike.

Learn more about account from

brainly.com/question/1287000

#SPJ4

Other Questions
Emerson's conclusion is weak. Which sentence should replace sentence 33 to bring thispaper to a more effective conclusion?His dance theater in New York is still flourishing, and his powerful works continue tothrill audiences.B People still go to see the dances that his company does, and many of the visitorshope to learn to dance too.He is an important person in history, and both dancers and audiences enjoy learningabout his methods.People still respect his work, and they feel really good about themselves afterwatching one of his performances. students who study for 7 hours over the course of a week will perform better than students who cram for 7 hours the night before the exam. the dependent variable in this hypothesis is: Eric took out an 80/20 mortgage to buy a $175,000 house. The first (80%)mortgage has an interest rate of 4.75%, and the second (20%) mortgage hasan interest rate of 7.525%. Both mortgages are 30-year fixed-rate mortgages..What is the total mortgage payment for this house? Decide if the following sentence is grammatically correct or incorrect. Vengas a la tienda. in what way does sara's story significantly differ from the diagnoses criteria for bulimia and anorexia? a.sara's negative self-image was driven by her grandmother's concern, not hers. b.sara seems to have control over her eating habits. c.sara, an african american, is also a minority among girls and women diagnosed with bulimia in that the vast majority are white. d.sara's negative self-image began with her height. which education would the nurse provide about the occurrence of febrile seizures they may occur in minor illnesses the cause is Which statement is true regarding the tissues in animal organs?A. Each type of tissue performs specific functions.OB. Tissues change functions as the animal ages.OC. Tissues can swap functions with one another.D. All tissues perform the same functions. What is premarital sex in simple words? countries with limited resources to develop their own occupational safety and health standards can adopt those recommended by international organizations such as the Dean is a social entrepreneur who recently started a social enterprise business with the dual mission of making a profit and positively impacting people and the planet. Combined, what are these two goals known as?a. Fiduciary responsibilitiesb. Consumerismc. Business cultured. Triple bottom line What is surface area of any figure? A study of college football games shows that the number of holding penalties assessed has a mean of 2.3 penalties per game and a standard deviation of 1.1 penalties per game.What is the probability that, for a sample of 40 college games to be played next week, the mean number of holding penalties will be 2 penalties per game or more?Carry your intermediate computations to at least four decimal places. Round your answer to at least 3 decimal places Choose the term that best matches the description given.to sell the assets of a business, pay the bills and divide the remainder among stakeholderscollateralO reorganizationO defaultO liquidation A patient strikes a nurse as he attempts to give the patient her medication. what type of violence does this scenario depict? FreshLeaf is a commercial salad maker that produces "salad in a bag" that is sold at many local supermarkets. Its customers like lettuce but don't care so much what type of lettuce is included in each bag of salad, so you would expect FreshLeaf's demand for iceberg lettuce to be: please hurry What is the result of this mutation during the translation process?Question 3 options:The translation process will fail to begin.Some of the proteins formed during translation will be unstable.The mRNA will be translated at a faster rate than normal.Everything after the mutation will be translated incorrectly what causes a stream to deposit its load, and what type of load is deposited first, and which is last? group of answer choices the stream increases in volume, causing an increase in stream capacity, depositing the suspended load first and the bed load last. the stream dries up, causing a decrease in stream capacity, depositing the dissolved load first and the bed load last. the stream slows down, causing a decrease in flow energy, depositing the bed load first and the suspended load last. the stream speeds up, causing an increase in flow energy, depositing the bed load first and the suspended load last. Describe what people in the drawings are doing. Choose the corresponding verb from the list and write it in the present progressive form. Word bank (make sure to write these in present progressive form): comer, dar, dormir, leer, oir, sentir In which year was the first virus, "Elk Cloner", created? which mammals were found to have a vocal range of 7 octaves, nearly twice that of humans?