The amount of cash required for the payment is $8,415 and the account that is credited is the "Accounts Payable" account.
a. First, let's calculate the net purchase amount by subtracting the returned merchandise value from the total purchase amount:
$10,900 (purchase amount) - $2,400 (returned merchandise) = $8,500 (net purchase amount)
Now, we need to determine the discount for paying within the 1/10 discount period. The discount is calculated as 1% of the net purchase amount:
$8,500 * 0.01 = $85 (discount)
Now, subtract the discount from the net purchase amount to find the cash required for payment:
$8,500 (net purchase amount) - $85 (discount) = $8,415
If Nieman Company pays the invoice within the discount period, the amount of cash required for the payment is $8,415 (rounded to the nearest dollar).
b. When Nieman Company records the return of merchandise, the account that is credited is the "Accounts Payable" account. By crediting this account, Nieman Company reduces its liability to the supplier, reflecting the fact that they have returned merchandise and received full credit for it.
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any project teams are made up of team members that never meet face-to-face; they communicate throughout the project using email and sharing computer files. This type of project teamwork is referred to as _________
How do taxes influence responsible financial planning?
Answer:
Proper tax planning makes it easier to build your personal finances and afford the things you want. Additionally, by anticipating taxes when you create your financial plan, it's possible to significantly boost how much money you will have in retirement.
Explanation:
if a person attempts to make a phone call while they are waiting for a meeting to begin, they are________
a. combining tasks
b. multitasking
c. sequential tasking
d. cleaving tasks
What are the Accounting Constraints within FASB's Operating Guidelines?
Operating Guidelines refer to the workflows and interpretations that the Administrator uses to carry out the Services, as specified in the applicable Statement of Work, in accordance with (i) the terms of this Agreement and (ii) those procedures and interpretations.
Accounting constraints are limits, restrictions, or rules used in the field of accounting while reporting a company's financial accounts. The accounting standards that an accountant is attempting to adhere to may be modified due to these restrictions.
Accounting constraints are limits, restrictions, or rules used in the field of accounting while reporting a company's financial accounts. The accounting standards that an accountant is attempting to adhere to may be modified due to these restrictions.
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There are two stocks in the market, stock A and stock B. The price of stock A today is $50. The price of stock A next year will be $40 if the economy is in a recession, $55 if the economy is normal, and $60 if the economy is expanding. The probabilities of recession, normal times, and expansion are 0.1, 0.8, and 0.1 respectively. Stock A pays no dividend. Assume CAPM is true. The volatility of the return on the market portfolio OM is 10%. The expected return of stock B is 7% and the volatility of the return of stock B is 12%. Furthermore, the correlation between the return on stock A and the market portfolio return is 0.8, the correlation between the return on stock B and the market portfolio return is 0.54, and the correlation between the returns of the two stocks is 0.6. What is the beta of stock B?
To calculate the beta of stock B, we need to use the formula:
Beta(B) = Cov(RB, RM) / Var(RM)
Where:
Cov(RB, RM) is the covariance between the return on stock B and the market portfolio return.
Var(RM) is the variance of the market portfolio return.
Given the information provided, we have the following correlations:
Correlation between the return on stock B and the market portfolio return (ρ(B, M)) = 0.54
Correlation between the returns of stock A and stock B (ρ(A, B)) = 0.6
To calculate Cov(RB, RM), we can use the following formula:
Cov(RB, RM) = ρ(B, M) * σ(B) * σ(M)
Given the volatility (σ) of stock B (12%) and the volatility of the market portfolio (10%), we can substitute the values into the formula:
Cov(RB, RM) = 0.54 * 0.12 * 0.10 = 0.00648
Next, we need to calculate Var(RM). The volatility of the market portfolio (10%) can be used as the standard deviation (σ) of the market return. The variance (Var) can be calculated by squaring the volatility:
Var(RM) = (0.10)^2 = 0.01
Now we have all the necessary values to calculate the beta of stock B:
Beta(B) = Cov(RB, RM) / Var(RM) = 0.00648 / 0.01 = 0.648
Therefore, the beta of stock B is 0.648.
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An enabling statute and which legislation are key elements in the formation of an agency?
Answer:
"Administrative Procedure Act" seems to be the right response.
Explanation:
A national government statute that always regulates the policies and measures of statutory interpretation or law. § 3 including its APA, 5 USC § 552, identifies the procedural required documents something which organizations should therefore implement because once making important decisions. There seems to be a related Standardized State Administrative Process Act, established again for the regulation of state governments by either the Leadership Conference and unity.When Rosco was unable to pay the $1,000 he owed Lyden, Lyden agreed to let Rosco paint Lyden's house in payment. When Rosco finished painting Rosco's house, the original obligation was discharged by
Answer:
full (by painting his house)
Explanation:
When Rosco was unable to pay the $1,000 he owed Lyden, Lyden agreed to let Rosco paint Lyden's house in payment. When Rosco finished painting Rosco's house, the original obligation was discharged by full (by painting his house)
Reason -
(i.e. If Rosco is unable to pay $1000 then in that option he painted Lyden's house so he is discharged by painting his house )
Target GameStop dollar tree
how has their net working capital behaved in the last
five years? how ould you quantity an scale the m I movements of the
net working capital
In the last five years, the net working capital of Target, GameStop, and Dollar Tree has shown mixed behaviors.
From 2016 to 2018, the net working capital of Target and Dollar Tree has improved and increased but it decreased in 2019 and 2020. On the other hand, the net working capital of GameStop has been declining since 2016.
Net working capital is the difference between a company’s current assets and current liabilities, representing the amount of operating capital that is available for the business to meet its short-term obligations.
A positive change in net working capital can indicate that a company is improving its operational efficiency and is better able to meet its financial obligations, while a negative change may indicate potential financial difficulties.
To quantify and scale the movements of the net working capital, we can use the working capital ratio or current ratio. The working capital ratio is calculated by dividing the current assets by the current liabilities. The higher the ratio, the more liquid the company is, and the more capable it is of meeting its short-term obligations.
A decrease in the ratio over time indicates a decline in liquidity, while an increase in the ratio indicates an improvement in liquidity. Overall, it is important to monitor the net working capital of a company over time to ensure that it has sufficient operating capital to meet its short-term obligations and to sustain its operations.
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What is it called when nations can legally agree that they will limit prevent or have open trade between two or more nations?
The trade agreements can be described as nations when they legally agree that they will limit, prevent, or have open trade between two or more nations.
The trade agreements can be referred to or considered as the agreement between two or more nations, such that there is a legal understanding, to perform or abstain from performance of trade activities to ensure maximum advantage for economies of the nations that are a part of this trade agreement, as such. The involved nations are completely binding and under an obligation to abide by the regulations of the agreement.
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asset management ratios are used to measure how effectively a firm manages its assets
Asset management ratios measure a firm's effectiveness in managing its assets. Important ratios include inventory turnover, accounts receivable turnover, operating cycle, and fixed assets turnover.
Asset management ratios are used to measure how effectively a firm manages its assets. These ratios assess the efficiency of a company's investment in its assets. The following are the most important asset management ratios:
Inventory Turnover Ratio: This is a ratio that assesses how effectively inventory is managed by a company. It is determined by dividing the cost of goods sold by the average inventory. In order to improve inventory management, a firm must maintain a high inventory turnover ratio.
Accounts Receivable Turnover Ratio: This is a measure of the effectiveness of a company's credit policy. It is calculated by dividing net sales by average accounts receivable. If the accounts receivable turnover ratio is high, it implies that the company is collecting debts from its customers more efficiently.
Operating Cycle Ratio: This is the time required to transform cash into inventory, inventory into accounts receivable, and accounts receivable into cash. This ratio is calculated by adding inventory turnover to accounts receivable turnover. A shorter operating cycle ratio indicates that the business is more effective at converting inventory into cash.
Fixed Assets Turnover Ratio: This ratio assesses how efficiently a firm uses its fixed assets. The fixed assets turnover ratio is calculated by dividing the net sales by the average fixed assets. A high fixed assets turnover ratio indicates that a company is making better use of its fixed assets.
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Which statement best explains why the United States grew into a world
economic power in the 20th century?
O A. The United States prevented other countries from abandoning the
gold standard.
O B. The United States increased its participation in international trade.
C. The United States put effective trade barriers in place to limit trade
with other nations.
D. The United States stayed out of major world wars and instead
made economic investments.
Answer:
B. The United States increased its participation in international trade.
Explanation:
The correct option is - B. The United States increased its participation in international trade.
sales marketing, and manufacturing are all types of software
Sales, marketing, and manufacturing are not types of software. They are distinct functions or departments within a business organization that involve various activities related to generating sales, promoting products or services, and producing goods.
Sales, marketing, and manufacturing are key functional areas within a business organization, but they are not types of software. Each of these functions serves a different purpose and involves specific activities.
Sales refers to the process of selling products or services to customers. It involves activities such as prospecting, lead generation, customer relationship management, and closing deals. Sales teams use various tools and technologies, including customer relationship management (CRM) software, to manage and track their sales activities.
Marketing, on the other hand, encompasses activities related to promoting and advertising products or services to attract potential customers. It includes market research, branding, advertising campaigns, public relations, and customer communication. Marketing teams may utilize software for tasks like market research, campaign management, and analytics.
Manufacturing involves the production or assembly of goods. It includes activities such as procurement of raw materials, production planning, quality control, and inventory management. While manufacturing processes can be supported by software systems like enterprise resource planning (ERP) software, it is not a type of software itself.
In summary, sales, marketing, and manufacturing are functional areas within a business organization that involve distinct activities and processes, but they are not types of software. Software can be used to support and enhance these functions, but they are not synonymous with software.
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The executing tasks of the wbs remain constant from project to project
True
False
False. The executing tasks of the wbs does not remain constant from project to project
The executing tasks of the Work Breakdown Structure (WBS) do not remain constant from project to project. The WBS is a hierarchical decomposition of the project's scope into smaller, more manageable components, known as work packages. The WBS breaks down the project's deliverables, tasks, and activities into smaller, more detailed elements.
The WBS is specific to each project and is developed based on the unique characteristics, requirements, and objectives of that particular project. It is created through a process of analysis, stakeholder input, and consideration of the project's scope, objectives, and constraints.
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Company A is unable to make the December 31, 2019 interest payment. Company A is a calendar year company and accrued the 2019 interest On 1/1/2020 Company A agrees to transfer land and a building to Company B in full settlement of the note FMV 1/1/2020 $100,000 Land $250,000 Building Original Cost to Company A $75,000 land $300,000 Building Accum Dep 1/1/2020 $0 land $100,000 Building Book Value 1/1/2020 $75,000 land $200,000 Building What is the incremental impact on earnings for Company A from the settlement?
Answer:
The incremental impact on earnings for Company A from the settlement will give a POSITIVE result.
Explanation:
Without mincing words let's dive straight into the solution to the question above. So, we are given the following parameters which is going to be of help in solving this question.
=> The amount issued by company A = $500,000, the interest = 10%.
(1). For land:
FMV 1/1/20 = $100,000, Cost to Company A = $75,000 , Building Accum Dep 1/1/2020 = $0, and Book Value 1/1/2020 = $75,000.
(2). For Building:
FMV 1/1/20 = $250,000 Original Cost to Company A = $300,000, Building Accum Dep 1/1/2020 =$100,000 and Book Value 1/1/2020 =$200,000.
The FMV 1/1/20 for both the building and the land is given below as;
FMV 1/1/20 = $250,000 + $100,000 = $350,000.
At 1/1/20, the total amount that is being paid = 500,000 + 10/100 × 500,000 = $550,000.
Therefore, ($550,000 - $350,000) is the benefit. That is $200,000 is the benefit.
What are the 3 Building Blocks of Debt
Answer: Earning, saving, and spending
Explanation:
Answer:
The three building blocks of debt are:
EarningSpendingSaving
overnment collects $89 billion in tax revenues in 2018 and total spending in the same year is $88.2 billion, the result will be a:
The government gets $89 billion in tax income in 2018 and spends $88.2 billion in the same year, resulting in a balanced budget. Here option C is the correct answer.
If tax revenues are greater than total spending, it would result in a surplus. In this case, tax revenues ($89 billion) exceed total spending ($88.2 billion), indicating a surplus of $800 million. Therefore, option A) Surplus of $800 million is the correct answer.
A surplus occurs when the government's revenue exceeds its expenses. It can be used to pay off debts, invest in infrastructure, or be saved for future use. Surpluses are generally seen as positive for the economy, as they provide financial stability and can be used to stimulate economic growth.
In reality, government budgets are complex, and additional factors such as borrowing, interest payments, and off-budget expenditures may affect the overall fiscal outcome.
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Complete question:
The government collects $89 billion in tax revenues in 2018 and total spending in the same year is $88.2 billion, the result will be a:
A) Surplus of $800 million
B) Deficit of $800 million
C) Balanced budget
D) Insufficient information to determine the outcome
An economy has a monetary base of 1,000 $1 bills. calculate the money supply in scenarios a - d. then answer part e.
a) If all money is held as currency, the money supply is $1,000.
b) If banks hold 100% of deposits as reserves, the money supply is $0.
c) If all money is held as demand deposits, the money supply is $1,000.
d) If banks hold 20% of deposits as reserves, the money supply is $5,000.
e) If the central bank decides to increase the money supply by 10%, the money supply is $1,100.
What is the money supply?The money supply is the total amount of a nation's currency circulating in the economy at a specific time.
The money supply is made up currency in the hands of the public and demand deposits in financial institutions.
Data and Calculations:Monetary base = 1,000 of $1 bills
a) If all money is held as currency, the money supply is $1,000 ($1 x 1,000).
b) If banks hold 100% of deposits as reserves, the money supply is $0.
c) If all money is held as demand deposits, the money supply is $1,000 ($1,000 + 0).
d) If banks hold 20% of deposits as reserves, the money supply is $5,000 ($1,000/20%).
e) If the central bank decides to increase the money supply by 10%, the money supply is $1,100 ($1,000 x 1.1).
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Question Completion:a. All money is held as currency
b. Banks hold 100 percent of deposits as reserves.
c. All money is held as demand deposits.
d. Banks hold 20 percent of deposits as reserves.
e. The central bank decides to increase the money supply by 10 percent.
Select the correct answer.
What does the Electronic Fund Transfer Act do?
O A.
It protects banks from malware and hackers.
O B. It establishes consumer rights relating to electronic banking.
• C.
gives the PCI Security Standards Council the right to monitor banks,
O D.
It defines the illegal activities in which hackers engage.
Answer:
Explanation:
establishes consumer rights relating to electronic banking.
PLS HELP!! Explain the Interest-Based Relational (IBR) Approach.
Answer: See explanation
Explanation:
In conflict resolution, the Interest-based Relational (IBR) approach is used to resolve conflict or issues while a personal relationship that is positive is still being maintained.
For the interest based relational approach, conflict is resolved through active listening and carefully analysing the issues involved. Such conflict is resolved by being non-confrontational and the point of view of everyone involved is listened to.
According to the IRS the mean tax refund for the year 2009 was $3333 The standard deviation of the population of returns is $551, and the amounts follow the normal distribution Using Norm.Dist A. What percent of the returns are more than $2000? B. What percent of the returns are more than $5000? C. What percent of the returns are between $3000 and $5000? Create an approximate line graph of this normal distribution with $3333 as the mean You can make a table of values from which to create the graph
This will give us the percentage of returns that are more than $2000.
This will give us the percentage of returns that are more than $5000.
This will give us the percentage of returns that are between $3000 and $5000.
To solve these questions, we can use the normal distribution function and the given mean and standard deviation.
A. To find the percentage of returns that are more than $2000, we need to calculate the area under the normal distribution curve to the right of $2000. Using the Norm.Dist function, we can calculate this as follows:
=1 - Norm.Dist(2000, 3333, 551, TRUE)
B. To find the percentage of returns that are more than $5000, we can calculate the area under the normal distribution curve to the right of $5000 using the Norm.Dist function:
=1 - Norm.Dist(5000, 3333, 551, TRUE)
C. To find the percentage of returns that are between $3000 and $5000, we need to calculate the area under the normal distribution curve between these two values. We can subtract the area to the left of $3000 from the area to the left of $5000 using the Norm.Dist function:
=Norm.Dist(5000, 3333, 551, TRUE) - Norm.Dist(3000, 3333, 551, TRUE)
To create an approximate line graph of this normal distribution with a mean of $3333, you can create a table of values by varying the x-axis values and using the Norm.Dist function with the given mean and standard deviation. Plot these values on a graph with the x-axis representing the dollar amounts and the y-axis representing the percentage of returns.
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When a driver encounters bad weather,the first thing to do is to look for the controls for things like the defroster,wipers,and lights. True or false
Answer:
true
Explanation:
When a driver encounters bad weather, the first thing to do is to look for the controls for things like the defroster, wipers,and lights is a true statement.
Who is a driver?A driver is a worker who transports customers in a quick, safe, and effective manner. Drivers select routes based on the state of the roads in as well as keeping up with weekly/monthly maintenance schedules for their vehicles and handling on-time payments.
if a person is driving and encounters bad weather it will be in respect to various things like d foster, wiping controlling and the light that is being provided at that point in time. Then that person must first defrost and white the things so that there will not be any kind of damage or accident that might happen on the road or collision with another.
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Why is it important to plan early for your retirement?
That way you can choose the right major in college.
In order to take advantage of the power of compounding.
Planning early will allow you to invest in new companies.
Taxes on retirement investments increase as you get older.
It is quite important to begin to plan early for your retirement In order to take advantage of the power of compounding.
Why should you plan early for retirement?When you start planning early for retirement, you get to invest funds earlier and leave them to grow for longer.
This means that you can take advantage of the power of compounding, in that your investment will compound for longer and accumulate to higher levels.
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What are some important actions managers can take to build diversity, trust and engagement?1.Hire individuals from different races, religions, and socio-economic backgrounds2.Ensure fairness in promoting and hiring individuals based on merit3.support diversity and inclusion hiring from outside the company4.Ignore religious and cultural holidays not observed by the company to be fair
To build diversity, trust, and engagement, managers can take several important actions. Firstly, it is crucial to hire individuals from different races, religions, and socio-economic backgrounds.
This helps to create a diverse workplace and promotes an inclusive environment where everyone feels valued and appreciated.
Secondly, managers must ensure fairness in promoting and hiring individuals based on merit. This means providing equal opportunities to all employees irrespective of their race, gender, or background. It helps to build trust among employees that their hard work will be recognized and rewarded based on their capabilities and not personal preferences.
Thirdly, support diversity and inclusion hiring from outside the company. Managers can partner with organizations that focus on recruiting diverse talent or create an internal recruitment program that targets underrepresented groups.
Finally, managers should be sensitive to religious and cultural holidays observed by employees and offer flexible scheduling or remote work options. This demonstrates a commitment to creating an inclusive work environment that respects employees' beliefs and cultural traditions. By taking these actions, managers can build a workplace culture that values diversity, fosters trust, and promotes engagement.
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in germany, how long must an employee work before becoming eligible for paid vacation?
In Germany, employees become eligible for paid vacation after they have completed six months of continuous employment with their employer. This means that once an employee has worked for at least six months, they are entitled to take paid vacation time.
The specific amount of vacation days they are entitled to will depend on the provisions outlined in their employment contract, collective bargaining agreements, or the legal requirements set by the Federal Vacation Act (Bundesurlaubsgesetz). Generally, employees in Germany are entitled to a minimum of 20 days of paid vacation per year based on a standard five-day workweek.
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You have been asked to lead a group of your coworkers in developing a new process for handling performance reviews at your office. Unfortunately, during your first meeting, you realize that everyone in the group is agreeing with each other - there is no debate happening, and no one is presenting different ideas. What can you do to solve this problem? a) Assign one person in the group to be a devil's advocate. b) Use evidence-based decision making as a group discussion technique. c) Do a postmortem review of all group decisions. d) Use brainstorming as an idea generation technique.
To solve the problem of lack of debate and differing ideas during the group meeting for developing a new process for handling performance reviews at the office, the following actions can be taken:
Assign a facilitator: The facilitator's role is to ensure that everyone gets a chance to speak and that the discussion stays on track. The facilitator can also encourage the group to present differing ideas and viewpoints.
Set ground rules: Establishing ground rules such as "respect everyone's opinion," "avoid interrupting others," and "listen actively" can encourage people to express their ideas and opinions.
Use brainstorming: Brainstorming is an idea generation technique that can encourage creative thinking and diverse viewpoints. Encourage the group to generate as many ideas as possible without judgment or criticism.
Assign a devil's advocate: Assigning someone in the group to present counterarguments to the ideas presented can help stimulate debate and discussion. This can encourage the group to explore different perspectives and weigh the pros and cons of each idea.
Use evidence-based decision making: Encourage the group to present evidence to support their ideas, and to discuss the pros and cons of each idea. This can help the group make a more informed decision.
By using these actions, the group can overcome the problem of agreeing with each other and foster a more productive and collaborative environment for developing a new process for handling performance reviews at the office. A postmortem review of all group decisions can also be done after implementing the new process to evaluate its effectiveness and make necessary adjustments.
To solve the lack of debate and different ideas in the group, you can assign a devil's advocate, use evidence-based decision making, and do postmortem reviews of all group decisions.
In order to solve the problem of lack of debate and different ideas in the group, you can implement the following strategies:
Assign one person in the group to be a devil's advocate: This person can challenge the ideas being presented and bring up counterarguments to promote healthy debate.Use evidence-based decision making as a group discussion technique: Encourage the group to back up their ideas with evidence and data, fostering a more analytical and objective approach to decision making.Do a postmortem review of all group decisions: After each decision is made, conduct a review to evaluate the effectiveness and explore alternatives, allowing for continuous improvement.Learn more about group decision making here:https://brainly.com/question/32556496
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Which of the following types of statements made during
negotiations may become an express term of a contract?
Group of answer choices
Misrepresentations.
Promises.
Statements of opinions.
Puffs.
Promises made during negotiations may become an express term of a contract. What is an express term? Express term refers to a term of the contract that has been explicitly agreed upon by the parties involved while concluding a contract.
It is the opposite of an implied term, which is a term of the contract that was not explicitly stated, but can be inferred from the contract's subject matter, circumstances, or background. An express term can be in writing or made verbally during negotiations. What is a contract? A contract is a legally binding agreement between two or more parties that is enforceable by law.
It requires an offer, acceptance, and consideration to be valid. Offer is a proposal made by one party to another to enter into a contract on certain terms, while acceptance is the other party's agreement to the proposal's terms. Consideration is something of value that is exchanged between the parties, such as money, goods, or services. Promises made during negotiations may become an express term of a contract, as they are considered an explicit agreement between the parties. If one party breaches such promises, the other party may sue for damages or specific performance of the promise, as provided for in the contract.
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What types of insurance is David likely to get through his employer?
David has just joined a new company. His employer offers a number of different insurance policies as one of its employee benefits. For example, his employer’s (Blank)
insurance covers prescription drugs and immunizations. David will also be receiving (blank) insurance at no cost from his employer.
1. casualty, health, life
2. automobile, disability, renters
Answer:
1. health 2. disability
Explanation:
Answer:
health & disability
Explanation:
The Monsanto case centered around the: Multiple Choice Acceleration of revenue due to channel stuffing arrangements Use of cookie jar reserves to manage earnings О O Improperly accounting for rebates O Use of non-GAAP EPS
The Monsanto case centered around improperly accounting for rebates. Monsanto is an agricultural biotechnology company that has been in existence for over a century. It has become a household name for its genetic engineering of crops and seeds, as well as the production of Roundup, a popular herbicide.
The company has been subject to numerous controversies and legal battles, the most significant of which is the Monsanto case that centered around improperly accounting for rebates. The company had a practice of offering rebates to certain distributors who met certain sales targets. These distributors would then sell Monsanto's products to farmers at a discounted price, which would then be reimbursed by Monsanto.
Monsanto accounted for these rebates as marketing expenses instead of deductions from revenue, which inflated their revenue and earnings. This practice continued for years, with Monsanto even setting aside cookie jar reserves to manage earnings and accelerate revenue due to channel stuffing arrangements. The Securities and Exchange Commission (SEC) launched an investigation in 2009, which led to Monsanto settling with the SEC for $80 million in 2016.
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What is the difference between real property and real estate...? real property consists of the land, while real estate consists of the rights to use the land Real property consists of anything permanently attached to the land, while real estate consists of the bundle of rights to the land Real property consists of the land, land rights, and anything permanently attached to the land, while real estate consists of a structure attached to the land Real property consists of a structure attached to the land, while real estate consists of the land and the rights to use the land
Answer:
Real property consists of the land, land rights, and anything permanently attached to the land, while real estate consists of a structure attached to the land
Explanation:
Real estate refers to land that has a physical existence and the resources, structures are attached to it also it expands with respect to the rights of ownership and usage
While on the other hand the real property comprises fo land, rights of the land, and the thing that is permanently attached with respect to the land
Therefore the last second option is correct
QUESTION 5 of 10: Since you rely on your parent/guardian for your food, shelter, and clothing, you are considered:
a) Lucky
b) Resourceful
c) Adependent
d) An independent
Answer:
C) A dependent
Explanation:
You depend on other people for what you want
Depend = rely = same thing different way that it is written
You are depending on your parent/guardian for food, shelter, and clothing.
d is incorrect because you are not being independent, since you are not doing it yourself
Resourceful, nahh.
Lucky...how is that considered lucky, I mean yh ur lucky you have them but in this case no
Hope this helped!
Have a supercalifragilisticexpialidocious day!