Value engineering is the process that aims to improve performance at a reduced cost while preserving all functional requirements specified by the client.
'What are Value engineering?'
Value engineering is a methodical, planned strategy for delivering essential project functionalities at the lowest cost. Value engineering encourages the use of less expensive substitutes for materials and techniques without compromising functionality.
Instead than emphasising the physical characteristics of different parts and materials, it only focuses on their functions. Value analysis is another name for value engineering. Value engineering is the process of reviewing new or current goods throughout the design phase in order to lower costs and improve functionality in order to boost the product's value.
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ben contacts three security software vendors to obtain pricing for security software for the office. what are his three first steps?
The first step in obtaining pricing for security software is to identify the needs of the office. This includes determining how many computers and devices need protection, as well as what type of data and applications need to be protected.
The second step is to research different security software vendors and their offerings. This includes researching what features and benefits each option offers, as well as any reviews or feedback from other customers.
The third step is to contact the security software vendor and ask for pricing information. It is important to provide vendors with detailed information about the needs and requirements of the office so that vendors can provide accurate pricing information.
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two clothing shop owners form a general partnership. each one continues to run her original shop. one shop is sued by someone who sllips on the sidewalk. who is liable
In a popular partnership, all events share legal and economic legal responsibility equally. The men and women are for my part responsible for the money owed the partnership takes on. Profits are also shared equally.
Which structure of business company includes a built in popularity but also excessive fees and royalties?Franchising is where a person(franchisor) who has developed a sure way of doing a commercial enterprise offers another(franchisee) the right to use that commercial enterprise model in exchange for a fee. The business has constructed a certain reputation and has company recognition.
A employer is separate and awesome from its owners, who have restricted legal responsibility for the money owed of the compan
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https://brainly.com/question/9312041#SPJ4In a popular partnership, all events share legal and economic legal responsibility equally. The men and women are for my part responsible for the money owed the partnership takes on. Profits are also shared equally.
Which structure of business company includes a built in popularity but also excessive fees and royalties?Franchising is where a person(franchisor) who has developed a sure way of doing a commercial enterprise offers another(franchisee) the right to use that commercial enterprise model in exchange for a fee. The business has constructed a certain reputation and has company recognition.
A employer is separate and awesome from its owners, who have restricted legal responsibility for the money owed of the compan
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brainly.com/question/9312041#SPJ4as the inventory turnover increases, the average sales period decreases. group startstrue or false true, unselected false, unselected
It is a sign that the company's product is in high demand if inventory turnover is high.
Is the ratio of turnover of accounts receivable?By measuring how long it takes to collect the outstanding debt over the course of the accounting period, the accounts receivable turnover ratio, also known as receivables turnover, is used in business accounting to measure how effectively businesses are managing the credit that they extend to their customers.It is a sign that the company's product is in high demand if inventory turnover is high. It might also imply that the business launched an effective marketing initiative or sales promotion that increased sales. It shows that the business is effectively transferring inventories during normal business operations, in any situation.Your cash flow is more positively impacted by a larger turnover ratio.To learn more about inventory turnover refer to:
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The reincarnated prince becomes an alchemist and brings prosperity to his country.a. trueb. false
The reincarnated prince becomes an alchemist and brings prosperity to his country. The given statement is true.
Give a brief about alchemist.
Today, we acknowledge chemistry as a legitimate branch of science and reject alchemy as a pseudoscience, yet the two names first had similar meanings until becoming distinct by the 17th century, just like astrology and astronomy did at the same time.
In English, alchemy and alchemist are really older terms than chemistry and chemist. Alchemists thought that by transmutation, or the transformation of any basic material into a higher form, it was possible to turn lead into gold, heal ailments, and extend human life. Their covert experiments, which frequently involved heat and the mixing of liquids, contributed to the growth of modern chemistry and pharmacology.
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merchandising companies include both wholesalers and retailers. question content area bottom part 1 true false
This statement is True. Both wholesalers and retailers are a part of the merchandising company. Wholesalers are businesses that buy goods in bulk from manufacturers and then sell them to retailers.
Retailers are businesses that buy goods from wholesalers and then sell them to customers. Wholesalers and retailers work together to move goods from producers to consumers. Wholesalers provide retailers with the goods they need to stock their shelves and make them available to the public.
Retailers are the ones who actually sell goods to consumers. Both wholesalers and retailers play an important role in the supply chain of the merchandising industry, and both are essential to the proper functioning of the industry.
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gymco sells weightlifting equipment. on 12/30/2014 customer a pays $150 cash for weights to be delivered on 1/7/2015. the weights cost gymco $95. please provide the 12/30/2014 and 1/7/2015 journal entries. what is 2014 income? what is 2015 income?
Gross profit = Revenue - Cost of goods sold = $150 - $95 = $55
Here are the journal entries for December 30, 2014, and January 7, 2015:
December 30, 2014:
Debit: Cash - $150
Credit: Accounts Receivable - $150
January 7, 2015:Debit: Inventory - $95
Credit: Accounts Payable - $95
Debit: Cost of Goods Sold - $95
Credit: Inventory - $95
Income for 2014 would be calculated as follows:
Revenue (on December 30, 2014) = $150
Cost of goods sold (on January 7, 2015) = $95
Gross profit = Revenue - Cost of goods sold = $150 - $95 = $55
Income for 2015 would be calculated based on revenue and costs incurred in that year, but this information is not provided in the question.
It's important to note that these journal entries are based on the assumptions provided in the question and may need to be adjusted based on a company's specific accounting policies and procedures.
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putting aside money
for a "rainy day"
Which is the best definition of investing?
putting aside money
for an emergency
putting aside money
to make more
putting aside money
for a future
purchase
Answer: The best definition of investing is " putting aside money for a future purchase". This sentience indicates your gonna invest in something in the distant future and it fits the best definition out of all the options. So the correct answer is "putting aside money for a future purchase".
Investing definitionInvesting means to put money in something for an expected profit. You can invest in various ways by putting money into stocks shares and many more. Investing is key to have a successful comfortable life. Investing does not always yield profits it's a risk for a cash return.
burns company issues bonds for their face amount of $2 million. over the life of the bonds, the company pays a total of $3.2 million to bondholders. what can you deduce from these facts regarding the difference between the face amount and the bonds' cash flows?
The answer is the 1.2 m represents the time value of money ,the difference between the face amount and the bonds' cash flows which is 1.2 million dollars represents the time value of money.
Which definition of money fits the bill?Money is any tangible item that is typically accepted as payment for goods and services as well as the repayment of debts in a specific nation or socioeconomic setting. As a unit of account, a store of value, a medium of exchange, and occasionally a standard of deferred payment, money serves four primary purposes.
What does Marx mean by the word money?Marx believed that the commodities economy produced money. In a non-commodity economy, there is no conflict between use value and value, concrete labor and abstract labor, social labor and individual effort, and there is no manifestation of value in general human labor, which results in the absence of money.
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how do low interest rates affect a business? group of answer choices firms tend to defer investments until rates rise. firms can easily borrow money to finance future growth. consumer demand slows down. business credit is harder to obtain.
Option 1, 3 are Correct. A business may be impacted by low interest rates in a number of ways, including: Businesses can readily obtain financing to support future expansion.
Low interest rates make borrowing money more affordable for businesses, which can enable them to finance new projects, increase operations, and expand their brands. Consumer demand could go up: Low interest rates can motivate people to spend more money, which will increase demand from customers and sales for businesses.
Credit for businesses could become more accessible: In order to finance investments and expand their operations, businesses may find it easier to get loans and other forms of credit when interest rates are low. Low interest rates can also deter some businesses from investing, which is why some may postpone investments as rates rise.
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Correct Question:
How do low interest rates affect a business? group of answer choices
1. firms tend to defer investments until rates rise.
2. firms can easily borrow money to finance future growth.
3. consumer demand slows down.
4. business credit is harder to obtain.
peter filed his federal income taxes, but he needs to make a correction to his income. which form should he use?
The overall federal tax system would be progressive, with higher-income households paying a higher percentage of their income in total national tax burdens than lesser households. Not all federal taxes seem to be progressive in the same way.
A progressive tax levies a higher percentage of personal income tax on higher incomes, based on the premise that higher-income earners can afford to pay more.
Adjusted gross income (AGI) would be an individual's total annual salary minus specific deductions inside the United States taxation system. It is utilized to compute taxable income, which would be AGI excluding personal exemption and itemized deduction allowances.
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the laissez-faire approach that was popular before the great depression influenced the u.s. government to see business downturns as:
The laissez-faire approach that was popular before the Great Depression influenced the US government to see business downturns as a natural, cyclical process that should largely be left to the free market, with minimal intervention.
This approach was based on the idea that, given the right conditions, the market would self-regulate and eventually recover from economic downturns.
The US government during this time was largely in agreement with this perspective and so refrained from taking drastic action. Instead, they focused on creating an environment that allowed businesses to operate freely and grow, with the belief that markets would eventually right themselves.
This ultimately proved to be a mistake, as the Great Depression was much more severe than any other downturn in history, and necessitated a much stronger response from the US government.
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determine the amount needed such that when it comes time for retirement, an individual can make monthly withdraws in the amount of $2,154 for 30 years
The amount needed is $396,721.7
Time period = 30 years = 360 months
Amount withdrawn = $2,154
Rate = 5.1%
The value of a sum of money today is known as its present value. For instance, if someone is promised $210 in a year, the present value of that $210 is its current market worth.
Calculating the amount needed -
PV = A x [ 1 - ( 1 + i/n)^n / i/n
Substituting the values -
PV = A x [ 1 - ( 1 + i/12)^360 / i/12
= 2154 x [ 1 - ( 1 + 0.051/12)^360 / 0.051/12
= 2154 x ( 1 - 0.21724) / 0.00425
= 2154 x 0.78276 / 0.00425
= 396,721.7
Complete Question:
Determine the amount needed such that when it comes time for retirement, an individual can make monthly withdraws in the amount of $2,154 for 30 years from an account paying 5.1% compounded monthly. Round your answer to the nearest cent. a. $396,721.78 b. $398,407.85 c. $775,440 d. $1,833,962.40
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______ segmentation forms market segments based on the way consumers use a product, such as more frequently or with greater loyalty. behavioral.
Market segments are created by behavioural segmentation based on how frequently or loyally people utilise a product.
What are the consumers?They are people or different kinds of enterprises who utilise a service or good. In addition, they do not really sell the products they bought. They are the last people in the production process to get goods and services. In actuality, the consumer may not always make the purchase.
Who is a consumer with examples?The consumer is any individual or group who uses a product or service in its entirety. Here are several examples: a customer who pays a hairstylist to cut and style their hair. a company that buys a printer for work purposes.
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which statement about the contribution made by jack welch toward management thought and practices is true?
He created the very well Jack Welch workout regimen, which promoted managerial skills and ideas..
What does an organization's management entail?the process of assigning, controlling, integrating types of power inside one system with the aim of achieving that system's objectives. Organizational management must have the decision-making and problem-solving skills to be effective and profitable.
What would a suitable organizational management example be?Corporate governance can take many various forms, depending on the needs of the firm. Businesses may find that standardization is more efficient in verifying that all of its employees follow the same guidelines and rules, for instance.
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a bond with $1,000 par value pays a semiannual coupon, and the last coupon was paid 72 days ago. if the bond's coupon rate is 8%, what is the accrued interest? assume 182 days between coupon payments. round your answer to two decimal places and enter it without a dollar sign.
The accrued interest of the given is 38.53%.
What is accrued interest?Accrued interest is the amount of interest that has been owed on a loan or other financial liability as of a given date but has not yet been paid. For the lender or the borrower, accumulated interest may take the form of accrued interest revenue or accrued interest expense.Accrued interests are typically calculated and recorded as adjusting journal entries in accrual-based accounting at the conclusion of a given accounting period.Since accrued interest is expected to be earned or paid within a year, it is typically counted as a current asset for a lender or a current liability for a borrower.Given data :
bond price 0= 311.05 = 1000/(1+ r/2) ^((10)(2))
r= 0.120257 0r 12.0257%
bond price 1= 1000/(1+ 0.120257/2)^((9)(2))
bond price 1 = 349.58
accrued interest = 349.58 - 311.05
accrued interest = 38.53
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the planning stage of integrating a vertical acquisition is difficult because: group of answer choices a. vertical acquisitions are typically a rare occurrence for a firm b. corporate staff are not interested in vertical acquisitions c. technological substitutes can raise the value of the acquisition d. other acquirers may still want to buy the target
d. other acquirers may still want to buy the target is the correct answer
Why the planning stage of integrating a vertical acquisition is difficult ?The planning stage of integrating a vertical acquisition can be difficult for several reasons, but the most commonly cited reason is other acquirers may still want to buy the target.This can create competition for the acquiring firm and increase the risk of losing the target to another acquirer. This can also drive up the price of the target and make the acquisition less attractive for the acquiring firm. Additionally, the process of integrating a vertical acquisition can be complex and require significant coordination between the acquiring firm and the target, making the planning stage a critical and challenging part of the process.To learn more about planning stage refer:
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when the government invests in building roads, ports, and a reliable power grid, the government is investing in a nation's .
The government is investing in a nation's infrastructure when it invests in building roads, ports, and a reliable power grid.
Infrastructure refers to the basic physical and organizational structures and facilities needed for a country to function effectively. This includes things like roads, bridges, ports, airports, water and power systems, and communication networks.
By investing in these key components of a nation's infrastructure, the government aims to enhance the country's economic development, improve quality of life, and attract investment. A well-maintained and efficient infrastructure helps businesses operate more effectively, reduces the costs of goods and services, and stimulates growth in various sectors of the economy.
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in general, the threat of substitutes is heightened because the internet lowers switching costs. lowers barriers to entry. introduces new ways to accomplish the same task. increases output per unit of cost.
The threat of substitutes is heightened because the internet lowers switching costs, lowers barriers to entry, introduces new ways to accomplish the same task, and increases output per unit of cost.
The internet has made it easier for consumers to find and switch to substitute products and services, thereby increasing competition and putting pressure on companies to innovate and lower their prices.
The internet has also made it easier for new entrants to enter the market and offer substitute products, further increasing the threat of substitutes. Additionally, the internet has introduced new and more efficient ways to accomplish many tasks, making it easier for consumers to find substitutes.
Finally, the internet has increased the efficiency and output per unit of cost of many products and services, making it easier for consumers to switch to substitute products that offer similar benefits at a lower cost.
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one principal way that a company can act ethically toward employees and meet their expectations is by
One principal way that an organization can act ethically toward employees and meet their expectations is by "treating employees fairly and with respect".
This can include:
Providing a safe and healthy work environmentPaying fair and competitive wages and benefitsOffering opportunities for professional development and career advancementImplementing non-discrimination policies and promoting diversity and inclusionEncouraging open and transparent communication, and addressing employee concerns in a timely and respectful mannerRecognizing and rewarding employees for their contributions and accomplishmentsProviding a work-life balance that respects employees' personal and family obligationsBy meeting these expectations, companies can foster a positive work environment, build trust and respect with employees, and ultimately create a more productive and successful business. Additionally, acting ethically toward employees can help a company build a positive reputation and demonstrate its commitment to corporate responsibility and sustainability.
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when supply and demand both increase, equilibrium question 10 options: a) price will increase. b) price will decrease. c) quantity may increase, decrease, or remain unchanged. d) price may increase, decrease, or remain unchanged.
If the supply and demand both increase, equilibrium a) price will increase. If that condition happen, the effect on price cannot be determined.
In the term of economic and market consideration, Supply generally can be defined as the market's ability to produce a good or service. In the other side, demand can be defined as the market's desire to purchase the good or service. Supply and demand generally can be defined as a fundamental concept within economics and is primarily used to describe the price and availability of commodities. The relationship between supply and demand is reverse, when one increases, the other will decrease.
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chingamook awnings corp. discovered that there was a reporting error in the shop supplies account totaling between $5,000 and $13,500. they see they have two options: spend about $35,000 to perform the detailed analysis to come up with the exact amount of the error or record an adjustment of $13,500 to correct the error. what should chingamook do
The cost of figuring out the proper amount outweighs the advantages, so record the change.
How do you track changes?The first step is to record accumulated revenue.
Step 2: Keeping track of incurred costs.
The third step is to record deferred revenue.
Recording prepaid costs is the fourth step.
Step 5: Keeping track of depreciation costs.
The adjustments should be documented when?Before creating a trial balance and financial statements, adjusting entries are made as part of the accounting cycle.
With an example, what are adjustment entries?accumulated costs Expenses that you accrue during a pay period but have to pay for later are known as accrued liabilities.
accrued income.
postponed costs.
Deferred income.
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1. project chariot involves a conflict of interests. describe this conflict, the parties involved, and who stands to gain or lose from this project. 2. in the lecture, we saw a number of different conflicts of interest. which of these is this project most similar to?
The conflict of interest exists between the shareholders and the bondholders
Did Project Chariot happen?Quietly put on hold was Project Chariot. It was too expensive due to opposition from the local populace and doubting scientists across the nation. Additionally, the experiment was now unnecessary. Any findings from this test might just as easily be proven by blasts that had previously taken place at the Nevada Test Site. By burying and detonating a series of nuclear bombs, Project Chariot was a 1958 US Atomic Energy Commission proposal to build an artificial harbor at Cape Thompson on the North Slope of the U.S. state of Alaska. There is a conflict of interest between bondholders and stockholders. After Project Chariot is put into action, HMC will have high debt while MII would have low debt.The initial bondholders will be responsible for speculative real estate investments with a hazy appreciation and income projections. Due to the fact that the company will be split in half, shareholders will benefit from the business upside while bondholders will suffer from the real estate downside, shareholders will gain and bondholders will lose.To learn more about conflict of interest refer to:
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when coca cola consumption recently decreased, the coca cola company hired a survey firm to determine what was going on. the firm interviewed consumers, who said that rising coke prices were discouraging them from purchasing coke. this implies a: group of answer choices movement along the demand curve for coca cola. movement along the supply curve for coca cola. shift of the demand curve for coca cola. shift of the supply curve for coca cola.
a) Changes in Coca- cola demand curve : This simply illustrates movement along the Coca- Cola demand curve
When the price is the sole variable changing and all other variables affecting the volume demanded remain constant, the demand wind moves. As a result, the demand follows the same curve whether it's rising or falling. The pivotal thing to keep in mind is that while the price of the product fluctuates, other rudiments, like as the consumer's income and preferences as well as the costs of other goods,etc., remain constant. The volume sought is affected by the price change in this case, but the demand curve remains the same as it was before the price change. The demand curve is moving in this direction. The movement could be overhead or over.
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gloria transfers an asset to a corporation as part of a sec. 351 exchange. the asset has an adjusted basis of $60,000 and an fmv of $140,000. the fmv of the stock received is $180,000, and she also receives $25,000 cash. what are the realized and recognized gains to gloria?
Gloria transfers an asset to a corporation let's recollect the information from the question Loonis acquired 820 shares in exchange for the transfer of assets with a $820,000 FMV and a $444,000 adjusted tax basis.
($113,000) recognized loss.
$100,000 ordinary loss under Sec. 1244 and
$13,000 long-term capital loss.
$30,000 + $21,000 + $11,000 + $25,000
= $87,000 total distribution
$87,000 - $200,000
= ($113,000) recognized loss
Rhea acquired 180 shares in exchange for assets having a $180,000 FMV and a $75,000 adjusted tax basis. The realised and recognised gain on the exchange is then calculated for Loonis and Rhea. Calculate the realised and recognised gain on the trade for Loonis and Rhea. Calculating realised and recognised. Your gain from selling an asset is considered a recognised gain. Recognized gains are distinct from realised gains, which detail the amount of money you made from the deal.
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why did the federal government set its sight on the railroads, and what was the resulting legislation? answer in two to three sentences.
continuing from part (a), now also assume that the purchase and sale agreement requires the payment of an additional $370,000 if the subsidiary achieves a certain level of earnings. you estimate the fair value of that contingent earnings clause in the agreement to be $88,000. how does this additional information affect your computation of goodwill?
If the purchase and sale agreement requires the payment of an additional $370,000 if the subsidiary achieves a certain level of earnings, this information would affect the computation of goodwill.
Goodwill is the excess of the purchase price over the fair value of the net assets acquired in a business combination. The fair value of the net assets is determined by subtracting the liabilities assumed in the combination from the fair value of the assets acquired. In this case, the contingent earnings clause would need to be considered as a liability in the computation of the fair value of the net assets. The fair value of the liability is estimated to be $88,000, so this amount would need to be added to the liabilities assumed in the combination. The computation of goodwill would then be the excess of the purchase price over the fair value of the net assets, including the liability for the contingent earnings clause.
In conclusion, the additional information about the contingent earnings clause would result in an adjustment to the computation of the fair value of the net assets and therefore affect the calculation of goodwill in the business combination.
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question content areaprovisions in the tax law that promote energy conservation and more use of alternative (nonfossil) fuels can be justified by:
Provisions in the tax law that promote energy conservation and more use of alternative (non-fossil) fuels can be justified by economic and social considerations.
Economic and social factors might support tax provisions that encourage energy efficiency and the usage of alternative fuels. From a financial standpoint, these clauses can assist in reducing reliance on exhaustible and increasingly expensive fossil fuels, resulting in a more sustainable and secure energy supply. In addition, they can encourage investment in emerging markets and sectors, fostering job development and economic expansion.
Reducing reliance on fossil fuels can help reduce the negative environmental effects of their use, such as air pollution and climate change. This is important from a societal perspective. A cleaner, healthier environment and a more sustainable future can result from promoting the use of alternative fuels. As a result, these rules might be considered as advancing both economic and social objectives, justifying their inclusion in the tax law.
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a corporation currently has 2 million outstanding shares with a market value of $40 per share. the corporation does not currently have any debt. it intends to borrow money at 10% interest in order to buy back 40% of its outstanding shares at the current market price. calculate the breakeven ebit for this new structure to make sense.
The breakeven ebitda for the company to buy back its shares at market value will be close to 16%.
What is EBITDA?An alternative measure of profitability to net income is EBITDA, or earnings before interest, taxes, depreciation, and amortisation. EBITDA makes an effort to accurately reflect the cash profit produced by the business' operations by removing non-cash depreciation and amortisation charges, taxes, and debt costs based on the capital structure. Under generally accepted accounting rules, EBITDA is not a statistic that is recognised (GAAP). Some publicly traded corporations include adjusted EBITDA figures in their quarterly reports, which are often free of other expenses like stock-based pay. EBITDA has come under fire for allegedly overstating profitability as a result of companies' and investors' increased attention on it. The U.S. Securities and Exchange Commission (SEC) mandates that publicly traded corporations that publish EBITDA figures explain how they were calculated from net income and prohibits them from using EBITDA as a substitute for net income.
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revenue on account amounted to $7,000. cash collections of accounts receivable amounted to $6,700. cash paid for operating expenses was $4,500. the amount of employee salaries accrued at the end of the year was $2,300. what was the net cash flow from operating activities?
The net cash flow from operating activities is the total cash generated or used by a business in its day-to-day operations. In this case, the net cash flow from operating activities was $7,900.
To calculate net cash flow from operating activities:
Net cash flow from operating activities = Revenue on account + Cash collections of accounts receivable - Cash paid for operating expenses - Employee salaries accrued = $7,000 + $6,700 - $4,500 - $2,300 = $7,900This figure was calculated by adding the revenue on account and cash collections of accounts receivable, and subtracting the cash paid for operating expenses and employee salaries accrued. Therefore, the business had a net cash flow of $7,900 from its operating activities for the year.
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the federal reserve has recently tightened its monetary policy. describe which action the fed would take in each of their tools to implement its contractionary monetary policy.
To enforce a contractionary policy, the Fed sells these Treasurys to its member banks. The bank should pay the Fed for the Treasurys, reducing the credit on its books. As a result, banks have less money available to lend. With less cash to lend, they charge a greater pastime rate.
What is contractionary economic policy examples?A contractionary coverage is a device used to limit government spending or the fee of financial growth via a central financial institution to combat rising inflation. The foremost contractionary insurance policies employed via the United States include raising activity rates, growing financial institution reserve requirements, and promoting authorities securities.
What is the effect of contractionary financial policy?
Contractionary monetary coverage objectives to slow down monetary increase or even contract the economic system in order to hold inflation at bay. It dampens boom principally by using elevating interest fees and decreasing the grant of money. Higher pastime quotes reason shoppers to decrease spending, specifically through the use of savings cards.
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