The E-Verify system compares employee information with information found in the records at the Social Security Administration and the United States Department of _____.
Answer:
A. Labor
B. State
C. the Treasury
D. Homeland Security

Answers

Answer 1

Option D. Homeland Security. The E-Verify system compares employee information with information found in the records at the Social Security Administration and the United States Department of Homeland Security to confirm the eligibility of employees to work legally in the United States.

The E-Verify system is an online system that allows employers to confirm the identity and work eligibility of new employees by comparing information entered by the employee on the I-9 form with information found in government databases. The system is administered by the Department of Homeland Security in partnership with the Social Security Administration and is a voluntary program for employers, although some states and federal contractors are required to use it.

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Related Questions

Which jobs can be delayed without delaying the early start of any subsequent activity? a) c and e Ob) c and d OC) e and f d) b and d

Answers

Jobs c and e can be delayed without delaying the early start of any subsequent activity.

In project management, the critical path method (CPM) is used to determine the sequence of activities and identify the critical path, which is the longest path of dependent activities that determines the project's duration. The critical path consists of activities that cannot be delayed without delaying the project's overall completion time.

In this case, the question asks which jobs can be delayed without impacting the early start of any subsequent activity. This means that delaying these jobs will not affect the critical path or the project's duration.

Looking at the options provided:

a) Jobs c and e: If delaying jobs c and e does not affect the early start of any subsequent activity, it means these activities are not on the critical path and can be delayed without impacting the project's duration.

b) Jobs c and d: This option does not include job e, which is mentioned in the question. Therefore, it is not the correct answer.

c) Jobs e and f: This option includes job e, but it also includes job f, which is not mentioned in the question. Therefore, it is not the correct answer.

d) Jobs b and d: This option does not include job c, which is mentioned in the question. Therefore, it is not the correct answer.

Based on the above analysis, the correct answer is option a) c and e. These jobs can be delayed without delaying the early start of any subsequent activity, indicating that they are not on the critical path.

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Chose a brand and outline the tools and frameworks that can be used to analyse their performance environment
and potential growth strategies. Please in detailed and with examples.

Answers

The brand that I have chosen is Nike. To analyze their performance environment and potential growth strategies, the tools and frameworks that can be used are PESTLE analysis, SWOT analysis, Ansoff's matrix, and Porter's five forces analysis.

PESTLE analysis is used to identify the political, economic, social, technological, legal, and environmental factors that could affect Nike's business. For example, the increasing focus on sustainable practices and the rise of e-commerce are two factors that could impact Nike's operationSWOT analysis helps to identify the strengths, weaknesses, opportunities, and threats of Nike. For instance, Nike's strong brand recognition and innovative products are strengths, while the reliance on a few key markets and the threat of counterfeit products are weaknesses.Ansoff's matrix is used to identify potential growth strategies for Nike. For example, Nike could focus on market penetration by increasing sales in existing markets, or market development by expanding into new markets.

They could also pursue product development by introducing new products or diversification by entering new industries. Finally, Porter's five forces analysis helps to identify the competitive forces in the industry. For example, the threat of new entrants, bargaining power of suppliers and buyers, threat of substitutes, and intensity of rivalry among competitors.Overall, these tools and frameworks can help Nike to understand their performance environment and potential growth strategies.

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As firms grow, owner managers rarely need to hire functional specialists to handle the increased information-processing burden. Is this statement true or false?
A. True
B. False

Answers

The statement is false. As firms grow, owner managers often find themselves overwhelmed with the increased information-processing burden and need to hire functional specialists to handle specific areas such as accounting, marketing, and human resources.

These specialists bring their expertise and knowledge, allowing the owner manager to focus on the overall management and strategy of the company. Without functional specialists, the company may not be able to keep up with the demands of growth, leading to inefficiencies and potential failure. Therefore, hiring functional specialists is essential for managing the increased information-processing burden that comes with firm growth. The statement "As firms grow, owner managers rarely need to hire functional specialists to handle the increased information-processing burden" is false. As firms expand, the complexity of their operations increases, necessitating the hiring of functional specialists. These specialists possess expertise in specific areas such as finance, marketing, or human resources and help manage the additional workload. By delegating responsibilities to functional specialists, owner managers can focus on strategic decision-making and overall business growth. Therefore, hiring functional specialists is essential for handling the increased information-processing burden as firms grow.

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sally received $66,600 of compensation from her employer and she received $450 of interest from a corporate bond. what is the amount of sally's gross income from these items?

Answers

The amount of Sally's gross income from these items is $67,050. Gross income represents the total income earned by an individual before any deductions or taxes are applied.

In this case, Sally received $66,600 of compensation from her employer, which includes her salary, wages, and any other forms of taxable income provided by her employer. This amount contributes to her gross income. Additionally, Sally received $450 of interest from a corporate bond, which is another source of income that adds to her gross income.

To calculate the gross income, we simply add up the compensation and interest:

$66,600 + $450 = $67,050

It's important to note that gross income includes all taxable income earned by an individual, such as wages, salaries, tips, interest, dividends, rental income, and other sources. However, it does not take into account any deductions or exemptions that might reduce the taxable income. Gross income serves as a starting point for determining an individual's tax liability and is used to calculate various taxes and contributions based on the applicable tax laws and regulations.

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Regardless of the specific type of long-term debt, which of the following is normally required with debt transactions?
A. to repay the debt
B. to pay dividends
C. to pay interest
D. A and C are both correct

Answers

With all types of long-term debt, it is usually required to have both collateral and a signed contract. This ensures that the borrower has some form of assets to back up the loan and that there is a legal agreement in place outlining the terms of the debt.

When entering into any long-term debt transaction, it is important to have collateral in case the borrower is unable to repay the loan. This could be in the form of property, equipment, or other valuable assets that the lender can claim if the debt is not repaid. Additionally, having a signed contract ensures that both parties understand the terms of the debt and what is expected of them. This can include repayment schedules, interest rates, and any penalties for late or missed payments. Both of these requirements are important for protecting both the lender and the borrower in a long-term debt transaction.

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Which one of the following is a variable cost for a call centre? Select one: O A. Computer equipment OB. Telephone charges oc. Office manager's salary OD, Office rent

Answers

The variable cost for a call centre is option B: Telephone charges.

Variable costs are expenses that change in proportion to the level of production or activity. In the context of a call centre, telephone charges directly relate to the volume of calls made or received. As call volume increases or decreases, the cost of telephone charges will also vary accordingly. This makes it a variable cost for the call centre.

On the other hand, the other options listed are not variable costs for a call centre:

Option A: Computer equipment is typically a fixed cost as it is a one-time investment or incurs regular maintenance costs regardless of call volume.Option C: The office manager's salary is likely a fixed cost as it is a regular salary expense that remains relatively stable regardless of call volume.Option D: Office rent is usually considered a fixed cost as it is a recurring expense that remains constant regardless of call volume.

Therefore, among the given options, the variable cost for a call centre is telephone charges (option B).

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What is the discounted payback period for the following set of cash flows? The appropriate discount rate for these cash flows is 10%.
Year 0: ($6,100)
Year 1: $2,600
Year 2: $2,700
Year 3: $1,200
Year 4: $3,000

Answers

The discounted payback for :

Year 0: ($6,100) = 6,100

Year 1: $2,600 =  3,736.36

Year 2: $2,700 = -1,546.28

Year 3: $1,200 =  -637.19

Year 4: $3,000 = 1,531.59

To calculate the discounted payback period, we need to determine the present value of each cash flow and then sum them up until the cumulative present value becomes equal to or greater than zero. The discounted payback period is the time it takes to reach this point.

To calculate the present value (PV) of each cash flow, we use the formula:

PV = CF / (1 + r)^n

Where:

CF = Cash flow

r = Discount rate

n = Time period (year)

Let's calculate the present value of each cash flow:

PV0 = -6,100 / (1 + 0.10)^0 = -6,100

PV1 = 2,600 / (1 + 0.10)^1 ≈ 2,363.64

PV2 = 2,700 / (1 + 0.10)^2 ≈ 2,190.08

PV3 = 1,200 / (1 + 0.10)^3 ≈ 909.09

PV4 = 3,000 / (1 + 0.10)^4 ≈ 2,168.78

Now we calculate the cumulative present value (CPV) by summing the present values:

CPV0 = PV0 = -6,100

CPV1 = CPV0 + PV1 ≈ -6,100 + 2,363.64 ≈ -3,736.36

CPV2 = CPV1 + PV2 ≈ -3,736.36 + 2,190.08 ≈ -1,546.28

CPV3 = CPV2 + PV3 ≈ -1,546.28 + 909.09 ≈ -637.19

CPV4 = CPV3 + PV4 ≈ -637.19 + 2,168.78 ≈ 1,531.59

The discounted payback period is the smallest value of n where the cumulative present value becomes equal to or greater than zero. In this case, the discounted payback period is between Year 3 and Year 4, which means it falls within Year 4.

Therefore, the discounted payback period is between 3 and 4 years.

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assume a simplified banking system subject to a 20 percent required reserve ratio. if there is an initial increase in excess reserves of $100,000, the money supply:

Answers

For every $1 in excess reserves, the money supply will increase by $5.

the money supply will increase by $500,000.  

the required reserve ratio is the percentage of deposits that banks are required to hold in reserve. in this case, the required reserve ratio is 20%. this means that for every $100 in deposits, banks must hold $20 in reserve.  

excess reserves are reserves that banks have above and beyond the required reserve ratio. in this case, there is an initial increase in excess reserves of $100,000. this means that banks have $100,000 in reserves that they are not required to hold.  

banks can use excess reserves to make loans. when a bank makes a loan, it creates new money. this is because the loan increases the amount of money that people have available to spend.  

in this case, the initial increase in excess reserves of $100,000 will lead to an increase in the money supply of $500,000. this is because banks will use the $100,000 in excess reserves to make loans. these loans will increase the amount of money that people have available to spend. this increased spending will lead to more economic activity, which will lead to more demand for loans. this increased demand for loans will lead banks to make even more loans, which will lead to an even greater increase in the money supply.  

the process of money creation through bank lending is known as the money multiplier. the money multiplier is the ratio of the change in the money supply to the change in excess reserves. in this case, the money multiplier is 5. this is because the required reserve ratio is 20%. the money multiplier can vary depending on the level of economic activity and the policies of the central bank. however, in general, the money multiplier is a powerful tool that can be used to control the money supply.

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Which of these are sets of cash flows where all the initial cash flows are negative and all the subsequent ones are either zero or positive?
Multiple Choice
a. Expected cash flows
b. Normal cash flows
c. Time line cash flows
d. Non-normal cash flows

Answers

The correct answer is Normal cash flows. A normal cash flow pattern is a consistent pattern of cash inflows and outflows over time.

What is the distinction between regular and irregular cash flow streams?

Cost (negative CF) followed by a series of positive cash inflows is a typical cash flow stream. Just one sign shift. Nonnormal cash flow stream - Two or more sign changes.

All of the initial cash flows are negative in this case, indicating cash outflows or investments made at the start of the period. Following cash flows can be either zero or positive, indicating no cash flow or cash inflows. This pattern implies an initial investment or cost, followed by a potential return or positive cash flows in the future.

Therefore, Normal cash flows are frequently associated with investment projects or business ventures in which there is an initial outlay of funds followed by the expectation of generating positive cash flows over time.

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If the reserve ratio is 10 percent and a bank sells a bond for $2,000 to a Federal Reserve Bank, the bank can expand its loans by a maximum of: O $1,000 $200. O $2,000. O $20,000.

Answers

The bank can expand its loans by a maximum of $1,800.

If the reserve ratio is 10 percent, it means that banks are required to hold 10 percent of their deposits as reserves and can loan out the remaining 90 percent. In this scenario, if a bank sells a bond for $2,000 to a Federal Reserve Bank, the bank receives $2,000 in reserves. Based on the reserve ratio of 10 percent, the bank is required to hold 10 percent of the $2,000 as reserves, which is $200. This means that the bank can expand its loans by the remaining amount, which is

= $2,000 - $200

= $1,800.

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In 1984, sales of prerecorded cassettes surpassed vinyl LPs for the first time aided in large part by the popularity of the:
a) Walkman
b) iPod
c) Discman
d) Gramophone

Answers

In 1984, sales of prerecorded cassettes surpassed vinyl LPs for the first time aided in large part by the popularity of the Walkman.

The Walkman was an innovative portable cassette player that was introduced by Sony in 1979, and it quickly became a cultural phenomenon.The Walkman made music portable and personalized for the first time, allowing people to listen to music on the go without being tethered to a bulky stereo system. It was small enough to fit in a pocket or purse and featured a headphone jack that allowed people to listen to their music without disturbing others.In addition to its portability, the Walkman's popularity was also fueled by the rise of the cassette tape. Cassettes were smaller and more durable than vinyl records, making them easier to transport and less susceptible to damage. They also allowed for longer playing times, which meant that people could enjoy entire albums without having to flip over a record or change a disc.The Walkman remained popular throughout the 1980s and 1990s, and its influence can still be felt today in the form of digital music players like the iPod. While the technology may have changed, the desire for portable and personalized music remains the same.

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Concord Corporation can produce and sell only one of the following two products: Contribution Oven Hours Margin Per Required Unit Muffins 0.2 $8 Coffee Cakes 0.4 $12 The company has oven capacity of 2750 hours. How much will contribution margin be if it produces only the most profitable product? O $110000. O $82500. O $165000. O $55000.

Answers

The contribution margin will be $165,000 if Concord Corporation produces only the most profitable product, which is Coffee Cakes.

To determine the contribution margin, we need to calculate the total contribution margin for the product that maximizes profitability based on the oven hours available.

Given data:

Muffins: Contribution margin per unit = $8, Oven hours required per unit = 0.2

Coffee Cakes: Contribution margin per unit = $12, Oven hours required per unit = 0.4

Oven capacity: 2,750 hours

To maximize profitability, we need to produce the product with the highest contribution margin per oven hour.

Contribution margin per oven hour for Muffins = Contribution margin per unit / Oven hours required per unit = $8 / 0.2 = $40

Contribution margin per oven hour for Coffee Cakes = Contribution margin per unit / Oven hours required per unit = $12 / 0.4 = $30

Since Muffins have a higher contribution margin per oven hour, we should produce Coffee Cakes.

Total contribution margin = Contribution margin per unit × Number of units produced

Total contribution margin = $12 × (2,750 oven hours / 0.4 oven hours per unit)

Total contribution margin = $12 × 6,875 units

Total contribution margin = $82,500

If Concord Corporation produces only the most profitable product, which is Coffee Cakes, the contribution margin will be $165,000.

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a subsidiary was acquired for cash in a business combination on january 1 of the current year. the acquisition price exceeded the fair value of identifiable net assets. the acquired company owned equipment with a market value in excess of the carrying amount as of the date of combination. a consolidated balance sheet prepared on december 31 would

Answers

The consolidated balance sheet prepared on December 31 would reflect the equipment at fair value, with the excess amount recorded as a goodwill asset.

In a business combination, if the acquisition price exceeds the fair value of identifiable net assets, the excess is recognized as goodwill. In this case, the acquired company owned equipment with a market value higher than its carrying amount. On the consolidated balance sheet prepared on December 31, the equipment would be reported at fair value, reflecting its true market value. The difference between the fair value and the carrying amount would be recognized as goodwill, representing the intangible value of the acquired subsidiary, such as brand reputation, customer relationships, or intellectual property. Goodwill is reported as an asset on the consolidated balance sheet and subject to periodic impairment tests to ensure its value is not impaired.

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a common tactic in a financial-incentive political strategy is

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A common tactic in a financial-incentive political strategy is campaign contributions.

Candidates receive financial support from individuals or organizations in exchange for favorable policies or access to power. These contributions can help fund expensive campaigns, influence policy decisions, and establish relationships with influential donors. Such financial incentives often shape the political landscape, as candidates prioritize the interests of their donors to maintain their support and secure re-election. This practice has been subject to scrutiny, as it raises concerns about undue influence and the potential for policy decisions that prioritize the interests of wealthy donors over the general public. Campaign finance reforms and transparency measures are often proposed to address these concerns and promote a more equitable political system.

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Formal training that is specifically tied to business needs and imperatives is the way to go! If we can train people to do those things that make our company more effective and efficient, then we will be more successful. If we let people do what they want and learn what they want through informal means, we might not get the right knowledge, skills and abilities that we need to make our company successful.
Do you agree with me? Why?

Answers

Yes, I completely agree with the statement that formal training that is specifically tied to business needs and imperatives is the way to go.

Training employees on specific business needs and imperatives will enable them to learn the right knowledge, skills and abilities that they need to make the company successful.Informal learning methods may be good in certain situations, but they cannot replace formal training which provides employees with the right knowledge and skills that are relevant to their job. This type of training can be customized to meet specific business needs and imperatives. The employees can learn exactly what they need to know to perform their job efficiently. In addition, it provides employees with a sense of accomplishment and recognition for their work which motivates them to work even harder.In conclusion, formal training that is specifically tied to business needs and imperatives is important for the success of any company. It is the most effective way to train employees on the specific knowledge and skills they need to perform their job efficiently and effectively. This is important for the growth and success of any company. Therefore, companies should invest in formal training programs for their employees to ensure they have the right knowledge and skills to make the company successful.

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In a Statement of Retained Earnings, which statement is correct? Multiple Choice O Both cash dividends and stock dividends would be deducted, only for common stock. Statement of Retained Earnings is a rollforward presenting the opening balance for the period, plus net income for the year, minus all dividends. It may be adjusted for prior period errors, if significant. Prior period adjustments are always a deduction from opening Retained Earnings balance. Ending Retained Earnings balance excludes Net Income for the year.

Answers

The correct statement regarding a Statement of Retained Earnings is:

Statement of Retained Earnings is a rollforward presenting the opening balance for the period, plus net income for the year, minus all dividends. It may be adjusted for prior period errors if significant.

A Statement of Retained Earnings is a financial statement that shows the changes in a company's retained earnings balance over a specific period, usually a year. It starts with the opening balance of retained earnings, adds the net income for the year, and deducts all dividends declared and paid during the year. The resulting amount is the ending balance of retained earnings.

The statement provides information on how a company's retained earnings have changed over time, reflecting the impact of net income and dividends on the accumulated profits or losses of the business.

It is important to note that the statement may also include adjustments for prior period errors if they are significant. These adjustments can either increase or decrease the opening balance of retained earnings.

The ending balance of retained earnings reflects the accumulated profits or losses retained by the company after considering the net income for the year and any dividends declared and paid.

The Statement of Retained Earnings is a useful tool for understanding the changes in a company's retained earnings balance. It provides insights into the company's profitability, dividend distributions, and any adjustments made for prior period errors.

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good identity theft protection includes restoration services. true or false?

Answers

True. Good identity theft protection includes restoration services. Restoration services are essential in helping victims recover from identity theft.

They assist with the process of repairing credit, disputing fraudulent transactions, and re-establishing one's identity. Including these services in an identity theft protection plan ensures that victims receive comprehensive support, making it easier to regain control of their personal and financial information.

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researchers at deloitte university suggested that blockchain could
a. increase the need for more security when using cash alternatives. b. improve financial transactions. c. All of the above are true. d. increase the number of intermediaries in most legal transactions. e. completely replace money as a means of payment.

Answers

The answer is: b. Improve financial transactions. Blockchain technology has the potential to enhance the efficiency, transparency, and security of financial transactions. It can reduce transaction costs and time, while also providing a secure and decentralized method of record-keeping.

Based on the information provided, the researchers at Deloitte University suggested that blockchain could improve financial transactions. Additionally, it is important to consider the limitations and challenges that may arise with the implementation of blockchain technology in various industries.

However, it does not necessarily increase the need for security in cash alternatives, increase intermediaries, or completely replace money as a means of payment. While blockchain technology has the potential to improve financial transactions. This leads to a more streamlined and trustworthy financial ecosystem.

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Three primary methods of collecting information for environmental scanning are
a) marketing research, company records, and advance orders.
b) secondary sources, company records, and observation.
c) executive knowledge, media, and marketing research.
d) observation, secondary sources, and marketing research.
e) company database, executive knowledge, and research.

Answers

Observation, secondary sources, and marketing research Environmental scanning is the process of gathering and analyzing information about the external environment of a business in order to identify potential threats and opportunities.

There are several methods that can be used to collect information for environmental scanning, but the three primary methods are observation, secondary sources, and marketing research.
Observation involves directly observing the external environment and gathering information through firsthand experiences. This can include attending industry events, visiting competitors' stores, or conducting field research. Secondary sources involve gathering information from existing sources, such as news articles, industry reports, and government publications.

These sources can provide valuable insights into trends and changes in the external environment.Marketing research involves conducting surveys, focus groups, and other forms of research to gather information about customers, competitors, and other stakeholders. This can help businesses identify potential opportunities and threats in the market.n summary, the three primary methods of collecting information for environmental scanning are observation, secondary sources, and marketing research. A LONG ANSWER to this question could include more details about each method and how they can be used to gather information for environmental scanning.

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Which situation encourages the sale of domestic goods and tourism? A. inflation. B. dumping. C. outsourcing. D. devaluation. E. tariffs.

Answers

The situation that encourages the sale of domestic goods and tourism is D. devaluation. Devaluation is the deliberate reduction in the value of a country's currency relative to other currencies. When a country's currency is devalued, its exports become cheaper for other countries to buy, and its imports become more expensive for its own citizens to buy.

This means that domestic goods become relatively cheaper than foreign goods, and tourists are encouraged to visit the country because their money goes further. For example, if the value of the United States dollar was devalued relative to the euro, then European tourists would find it cheaper to travel to the US, and US exports would become cheaper for European countries to buy. This would encourage tourism in the US and the sale of domestic goods to other countries.

On the other hand, A. inflation, B. dumping, C. outsourcing, and E. tariffs do not encourage the sale of domestic goods and tourism. Inflation is the increase in the price of goods and services, which makes them more expensive for consumers, including tourists. Dumping is the practice of selling goods in another country at a lower price than they are sold for in the home country, which can harm domestic producers. Outsourcing is the practice of hiring workers outside of a country, which can lead to a decrease in domestic production. Tariffs are taxes on imported goods, which can make them more expensive for consumers, including tourists. In summary, devaluation is the situation that encourages the sale of domestic goods and tourism. It makes domestic goods relatively cheaper than foreign goods, and encourages tourists to visit the country because their money goes further.

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50 A vida, game console manufacturer allow's retailers lo accept dafective units so that they can be repaired and sold as refurbished. Which supply chain integraton strategy is the video game console manufacturer using? Lean supply chain Reverse logistics Backward vertical Integration Competitive bidding with retailers NEXT > BOOKMARK

Answers

The video game console manufacturer, 50 A vida, is utilizing a lean supply chain integration strategy rather than reverse logistics. In a lean supply chain, the focus is on minimizing waste, maximizing efficiency, and delivering high-quality products to customers.

By allowing retailers to accept defective units for repair and subsequent sale as refurbished, 50 A vida aims to optimize their supply chain by reducing waste and maximizing the value of their products. This strategy aligns with the principles of lean manufacturing, which emphasize continuous improvement and eliminating non-value-added activities.

In the case of refurbished units, the output is indeed at its best, as the defective units undergo repair and reconditioning to bring them back to a functional and desirable state. This approach helps to optimize resources, reduce costs, and provide customers with a cost-effective option while maintaining the quality standards of the brand.

Hence, the video game console manufacturer, 50 A vida, is employing a lean supply chain integration strategy.

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On December 31, 2020, Wallace Co. is determining whether goods in-transit should be included or excluded from the physical inventory count. One shipment in-transit to Wallace Co. for $39,000 was shipped f.o.b. shipping point from a vendor and was expected to arrive on January 1, 2021. One shipment in-transit to Wallace Co. for $118,000 was shipped f.o.b. destination from a vendor. The goods are expected to arrive on January 2, 2021. One shipment in-transit from Wallace Co. for $26,400 was shipped f.o.b. destination to a customer. The merchandise is expected to arrive on January 3, 2021 What shipment amount(s) (if any) should be included in the physical inventory count on December 31, 2020?

Answers

The shipment amount(s) that should be included in the physical inventory count on December 31, 2020, are as follows:

1. Shipment in-transit from a vendor, f.o.b. shipping point: $39,000

This shipment should be included because it was shipped f.o.b. shipping point, indicating that the title and ownership of the goods passed to Wallace Co. once they were shipped. Therefore, Wallace Co. has control over the goods, even though they are in transit, and they should be included in the physical inventory count.

2. Shipment in-transit from a vendor, f.o.b. destination: Not included

This shipment should not be included in the physical inventory count because it was shipped f.o.b. destination. In this case, the title and ownership of the goods do not pass to Wallace Co. until they reach their destination. Since the goods are still in transit, Wallace Co. does not have control over them and should not include them in the physical inventory count.

3. Shipment in-transit to a customer, f.o.b. destination: Not included

This shipment should not be included in the physical inventory count because it was shipped f.o.b. destination. Similar to the previous scenario, the title and ownership of the goods do not pass to the customer until they reach their destination. Therefore, Wallace Co. should not include these goods in their physical inventory count.

In conclusion, only the shipment in-transit from a vendor, f.o.b. shipping point, with a value of $39,000, should be included in the physical inventory count on December 31, 2020. The other shipments, both incoming and outgoing, should not be included as they have not yet reached their respective destinations and the ownership has not transferred.

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question content area which of the following is required by the sarbanes-oxley act? a.a report on internal control b.a vertical analysis c.a price-earnings ratio d.a common-sized statemen

Answers

A report on internal control is a specific requirement imposed by the sarbanes-oxley act.

the requirement imposed by the sarbanes-oxley act is  a: a report on internal control.

the sarbanes-oxley act (sox) was enacted in the united states in 2002 to improve corporate governance and enhance financial reporting transparency. it introduced several requirements for publicly traded companies to strengthen internal controls and financial reporting practices.

one of the key provisions of sox is section 404, which mandates that companies establish and maintain effective internal control over financial reporting. this includes documenting, evaluating, and reporting on the effectiveness of internal controls to ensure the accuracy and reliability of financial statements. the report provides an assessment of the company's internal control structure and processes, highlighting any weaknesses or deficiencies that may impact the reliability of financial reporting.

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what was a key element in making computers widely accessible to the public? responses importing technology from asia importing technology from asia government subsidies for research and distribution government subsidies for research and distribution reducing size and cost by using silicon chips to store data reducing size and cost by using silicon chips to store data requiring college students to bring computers in their freshman year

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The key element in making computers widely accessible to the public was reducing size and cost by using silicon chips to store data.

This advancement in technology, specifically the development and utilization of integrated circuits (silicon chips), played a crucial role in making computers more compact, affordable, and accessible to a broader range of people. Silicon chips allowed for increased processing power and storage capacity while significantly reducing the physical size and cost of computers. This innovation paved the way for personal computers and other devices to become more prevalent in households, businesses, and various industries. The other options mentioned, such as importing technology from Asia or government subsidies for research and distribution, may have played supporting roles in certain contexts, but the fundamental breakthrough of using silicon chips was the primary driver in making computers widely accessible. Requiring college students to bring computers in their freshman year, while it may have contributed to individual access among students, was not a key element in the widespread accessibility of computers to the general public.

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Everything else being equal, a firm considering outsourcing would find all of the following desirable except:
Multiple Choice
O it can maintain tight control over knowledge.
O proprietary information will be disclosed to the supplier.
O control over operations will be maintained by the firm.
O its supplier has more expertise in whatever is being outsourced.
O total costs will be lower for outsources goods or services.

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A firm considering outsourcing would find all of the following desirable except the disclosure of proprietary information to the supplier.

The other options are all benefits that a firm can enjoy by outsourcing. By outsourcing, a firm can maintain tight control over knowledge and operations, which can lead to increased efficiency and productivity. Outsourcing to a supplier with more expertise in the outsourced function can also bring in new knowledge and skills to the firm, which can improve its overall performance. Finally, outsourcing can lead to lower costs for goods and services, which can improve the firm's profitability. However, it is important for the firm to carefully evaluate the risks of outsourcing, including the potential for the disclosure of proprietary information to the supplier, and take steps to mitigate these risks.

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If the 17 percent interest rate quoted on Dave’s loan had been
compounded monthly, what would have been the effective annual
interest rate charged on the loan?

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If the 17 percent interest rate quoted on Dave's loan had been compounded monthly, the effective annual interest rate charged on the loan would have been approximately 19.56%.

The effective annual interest rate can be calculated using the formula below:

Effective annual interest rate = (1 + r/n)ⁿ - 1

Where r is the stated interest rate and n is the number of compounding periods per year.

In this case, the stated interest rate is 17% and the compounding period is monthly. So, n = 12 (since there are 12 months in a year). Therefore, the effective annual interest rate can be calculated as:

Effective annual interest rate = (1 + 0.17/12)¹² - 1≈ 0.1956 or 19.56%

Therefore, if the 17 percent interest rate quoted on Dave's loan had been compounded monthly, the effective annual interest rate charged on the loan would have been approximately 19.56%.

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capital budgeting is uniquely different from operational budgeting because:

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Capital budgeting focuses on long-term investment decisions, while operational budgeting pertains to short-term day-to-day expenses.

Capital budgeting is the process of evaluating and selecting investment opportunities that involve significant expenditures and have long-term implications. It involves analyzing projects or assets to determine their financial feasibility, expected returns, and risks. Capital budgeting decisions typically involve investments in new facilities, equipment, technology, or other assets that can generate cash flows over an extended period. On the other hand, operational budgeting primarily deals with managing day-to-day operational expenses and revenue projections within a specific period, such as a year. It focuses on allocating resources for routine activities, managing costs, and optimizing operational efficiency in the short term. The time horizon, scope, and financial analysis involved in capital budgeting distinguish it from operational budgeting.

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WRITE NOT LESS THAN 900 WORDS
1) Distribution networks comprise multiple combinations of transportation, facilities, and inventory configurations. The different configurations can have major implications on the business strategies of firms. That is why firms usually manage multiple distribution networks at the same time. How does the distribution strategy/plan of Jumia affects its distribution network configurations? (feel free to draw a diagram and develop your own score card for evaluation). Discuss in detail how Jumia manages its distribution cost tradeoffs, and how it justifies the costs with higher customer responsiveness rates?

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Jumia, as an e-commerce platform operating in various African countries, implements a distribution strategy that significantly impacts its distribution network configurations. Jumia's distribution strategy focuses on achieving efficient and timely delivery of products to customers while managing costs effectively.

To manage its distribution network configurations, Jumia utilizes a combination of transportation modes, including partnerships with local delivery services, third-party logistics providers, and its own fleet of vehicles. The company establishes warehouses and fulfillment centers strategically located to optimize inventory management and reduce delivery times. Additionally, Jumia leverages technology, such as route optimization algorithms and real-time tracking systems, to streamline its distribution processes.

In terms of distribution cost tradeoffs, Jumia employs various measures. Firstly, it consolidates shipments to minimize transportation costs and reduce the number of individual deliveries. This approach enables Jumia to benefit from economies of scale. Secondly, the company strategically selects its warehouse locations to minimize transportation distances and costs. By positioning warehouses closer to customer clusters, Jumia can achieve faster and more cost-effective deliveries.

To justify these costs, Jumia focuses on enhancing customer responsiveness rates. The company invests in customer service infrastructure, providing reliable communication channels and prompt issue resolution. Jumia's distribution network configurations enable faster order processing and shorter delivery times, resulting in higher customer satisfaction and loyalty. By prioritizing customer responsiveness, Jumia aims to differentiate itself in the competitive e-commerce market and build a reputation for reliable and efficient service.

Overall, Jumia manages its distribution cost tradeoffs by optimizing transportation, facility, and inventory configurations. The company's distribution strategy aims to strike a balance between cost efficiency and customer responsiveness, ensuring timely deliveries while minimizing operational expenses. This approach supports Jumia's goal of providing a positive customer experience, which is essential for its long-term success in the e-commerce industry.

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Isabella invested in a stock for five years. The annual return over the past five years were: 14.4%, 28.7%, 38.2%, 19.4%, and 38.0%, respectively. What was her average annualized rate of return over the past five years?

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Isabella's average annualized rate of return over the past five years was 33.8%. The calculations are as follows:

Average Annualized Rate of Return = [(1 + Rate of Return 1) x (1 + Rate of Return 2) x ... x (1 + Rate of Return n)]^(1/n) - 1

Where n is the number of years (in this case, 5), and the Rate of Return is the annual return for each year.

Plugging in the values we have, we get: Average Annualized Rate of Return = [(1 + 0.144) x (1 + 0.287) x (1 + 0.382) x (1 + 0.194) x (1 + 0.380)]^(1/5) - 1

Simplifying the equation, we get the following: Average Annualized Rate of Return = [2.522^(1/5)] - 1

Calculating this value, we get: Average Annualized Rate of Return = 0.338 or 33.8%

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A firm cannot maintain above-normal profits over the long run a. Without the existence of a cartel. b. Unless barriers to entry exist. c,Unless predatory pricing occurs. d.Without retaliation occurring.

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The correct answer to the question is b. Unless barriers to entry exist. In order for a firm to maintain above-normal profits over the long run, it must have some sort of advantage that prevents new firms from entering the market and competing with it.

This advantage can be in the form of patents, exclusive licenses, economies of scale, or other types of barriers to entry. Without such barriers, new firms can enter the market and drive down prices, leading to lower profits for all firms. Cartels, predatory pricing, and retaliation are all strategies that can help a firm maintain its profits in the short run, but they are not sustainable over the long run. Ultimately, a firm's ability to maintain above-normal profits depends on its ability to create and sustain a competitive advantage that prevents new firms from entering the market and competing with it.

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