The series of actions an auditor must take in order to complete an audit engagement with a client is known as the audit process. The nature of the audit engagement will determine the particular steps that must be taken.
An audit of a project on Patient Life Cycle Management in a reputable hospital requires the following steps to be followed:-
The first stage of an audit is to identify the objectives and scope of the audit. This stage will entail the use of patient life cycle management to identify areas of concern.
The second step is to collect and analyze data. In this phase, auditors will use a wide range of techniques to gather and examine data that will aid them in making assessments. The objective of data analysis is to recognize any significant variations, anomalies, or irregularities. It is also necessary to determine the root causes of the anomalies observed and to assess their implications. The auditors must analyze the data they have gathered for accuracy and completeness.
The third step is to assess the hospital's internal control systems. During the audit, auditors may investigate hospital procedures and processes for identifying, evaluating, and responding to internal control hazards. As a result, auditors should evaluate the adequacy of internal controls and recommend modifications where necessary. The objective of this process is to ensure that the internal control system is sufficient and effective.
Finally, the audit report is prepared. After collecting data, assessing internal control systems, and conducting any additional testing, the audit report is written. The audit report should be concise and professional, outlining the audit's objectives, methodology, and findings. Recommendations for changes should be included in the report, as well as follow-up action that will be required to address the findings.
The data that will be collected during the audit process will include the following:-
Patient Information: The records of the patients have to be checked, analyzed, and ensure that the information is kept confidential.
Patient Safety: The hospital must ensure patient safety, and its policies should be in line with the healthcare requirements.
Patient Services: The audit must examine the services provided to patients in the hospital in terms of quality, safety, and effectiveness.
Patient Medical Records: The medical records must be checked to ensure they contain accurate information and are maintained as required.
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Huda wants to buy soda. A 12-pack costs $9.50. She knows that with the local sales tax of $2.00, the total should be $11.50. However,
when she gets to the checkout, the total is now $13.00. Which type of tax is Huda MOST likely paying that would explain the extra $1.50?
estate
excise
inheritance
income
Answer:
excise
Explanation:
A tax is a compulsory sum levied by the government on goods and services. Taxes increase the price of a good
excise tax is a type of tax levied on certain good and services. It is an example of an intranational tax. Producers pass on this tax to consumers by increasing the price of the good directly
Which of the following is usually true
about the demand of consumers who
make more money?
A. They demand less of lower quality products.
B. They demand more of lower quality products.
C. They demand the same amount of lower quality
products.
Answer:
A
Explanation:
Which of the following is not a business product category in the business-to-business
Answer:
I think it is Specialty Products.
Explanation:
Sorry if I'm wrong
Can anyone here help me with a P.O.B sba??
Please
Answer:
que
Explanation:
What days are BIM classes held?
Classes take place on Mondays and Wednesdays from 4:00-6:00 pm EST, at The Plan Room located at 1815 W Broadway.
Have a Nice Day.
Gregory's car needs repairs, but he does not have an emergency fund to cover the expenses: He decides that he needs his car repaired immediately and wants to finance the cost of the repairs.
Gregory can apply for a credit card and pay for the repairs using the credit card. If Gregory cannot pay off the credit card when the payment is due, what will happen?
When Gregory's installments are late, the lender will get in touch with him and demand payment. The account will thereafter default if he doesn't make the required payments. And if he still doesn't pay, other measures could be taken, such as hiring debt collectors to get the money he owes them back.
What is credit?Credit is the trust that enables one party to give money or resources to another party, with the second party promising to pay back or return the first party's resources (or other materials of comparable worth) at a later time. This results in the creation of debt.
The resources offered could be monetary or they could be in the form of goods or services.
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Ying Import has several bond issues outstanding, each making semiannual interest payments. The bonds are listed in the table below. Bond Coupon Rate Price Quote Maturity Face Value 1 4.0% 103.18 5 years $ 45,000,000 2 6.1 112.80 8 years 40,000,000 3 5.3 107.45 15 1/2 years 50,000,000 4 4.9 102.75 25 years 65,000,000 If the corporate tax rate is 22 percent, what is the aftertax cost of the company’s debt?
The aftertax cost of debt for Ying Import is calculated to be 1.02% by adjusting the coupon rates of its outstanding bonds for taxes and weighting them based on their face values.
To calculate the aftertax cost of Ying Import's debt, we first need to determine the before-tax cost of each bond. This can be calculated using the following formula
Before-tax cost of debt = Annual interest payment / Bond price
Using this formula, we get the following before-tax costs of debt for each bond
Bond 1: $1,800,000 / $1,031,800,000 = 0.0174 or 1.74%
Bond 2: $2,440,000 / $2,128,000,000 = 0.0115 or 1.15%
Bond 3: $2,650,000 / $2,237,500,000 = 0.0118 or 1.18%
Bond 4: $3,185,000 / $3,346,250,000 = 0.0095 or 0.95%
Next, we need to calculate the after-tax cost of debt for each bond. Since the corporate tax rate is 22%, the after-tax cost of debt can be calculated using the following formula
After-tax cost of debt = Before-tax cost of debt x (1 - Corporate tax rate)
Using this formula, we get the following after-tax costs of debt for each bond
Bond 1: 1.74% x (1 - 0.22) = 1.36%
Bond 2: 1.15% x (1 - 0.22) = 0.90%
Bond 3: 1.18% x (1 - 0.22) = 0.92%
Bond 4: 0.95% x (1 - 0.22) = 0.74%
Therefore, the after-tax cost of debt for Ying Import is
After-tax cost of debt = (Total annual interest payment / Total bond price) x (1 - Corporate tax rate)
= ($9,075,000 / $9,743,550,000) x (1 - 0.22)
= 0.0102 or 1.02%
Therefore, the after-tax cost of debt for Ying Import is 1.02%.
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What is the relationship between interest rates and aggregate spending?
A. when interest rates increase, aggregate spending also increases
B. when interest rates increase, aggregate spending decreases
C. they do not have any relation
D. both the factors are affected favorably by any external factor
E. both the factors are affected adversely by any external factor
Which part of the purchasing process includes the sum of money due in
payment for the goods?
A. Invoice
B. Payment
C. Requisition
D. Shipping
ANSWER: A. Invoice
Explanation:
it is a document given by the supplier,which contains
information on the quality,PRICE of goods sold
also date
well this is what ik,so hope it helps ig
Answer:
in voice
Explanation:
which of the following are reasons an intermediary might refuse to work with a producer? (check all that apply.)
The following are some of the reasons why an intermediary might refuse to work with a producer:
-because the producer is unknown to the intermediary
-because the producer is selling a new product
Some of the reasons why an intermediary might refuse to work with a producer1. Insufficient quantity of products
The intermediary might refuse to work with the producer because the producer is not able to provide enough products to meet the requirements of the intermediary. It could be a case where the producer is unable to fulfill the order in time due to limited production capacity.
2. Poor product Quality
If the product quality is poor, the intermediary will refuse to work with the producer. The intermediary has to maintain a certain standard of quality for the product they sell to the customers. Poor product quality can damage the intermediary's reputation, so they need to make sure that the quality is up to the mark.
3. Poor credit History
The intermediary may not work with the producer if the producer has a poor credit history. The intermediary has to make payments to the producer, and if the producer is not creditworthy, the intermediary may not get the payment on time or may have to face difficulties in the future.
4. Lack of trust
The intermediary might refuse to work with the producer if they do not trust the producer. It could be a case where the intermediary has had a bad experience in the past, or the producer has a bad reputation in the market. The intermediary might not want to take any risks by working with the producer.
5. Insufficient Margins
The intermediary may refuse to work with the producer if the margins offered by the producer are insufficient. The intermediary has to maintain a certain profit margin, and if the producer is not able to provide enough margins, the intermediary may not find it profitable to work with the producer.
Your question is incomplete but most probably your full question was:
Which of the following are reasons an intermediary might refuse to work with a producer? (check all that apply.)
-because the producer is unknown to the intermediary
-because the producer is selling a new product
-because the intermediary resists vertical integration
-because the intermediary fears that the producer will steal its customer base
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Which of the following is a major difference between the linear and transactional models of communication?
Question 5 options:
a. The transactional model is a simplified form of the linear model.
b. The linear model is a better representation of the complexity of human communication than the transactional model.
c. Both models have messages, channels, environments, and noise, but the transactional model includes encoding and decoding.
d. The transactional model more accurately shows that people are communicating all of the time, that all participants are communicators and accounts for feedback and nonverbal communication.
The linear model is a better representation of the complexity of human communication than the transactional model. Both models have messages, channels, environments, and noise, but the transactional model includes encoding and decoding. In this case option B is correct.
Learning how to convey information clearly is the main focus of a communications degree.
Your communications degree will increase your awareness of the best ways to effectively communicate information to various audiences with specific business goals in mind.
ISCOM, a French institution that offers a variety of English-taught communications programs, helps students get ready for a variety of careers in communication.
Located in the heart of Paris, ISCOM collaborates with a network of business partners and expert lecturers to help students develop their skills in a range of communication-related fields, including digital communications, advertising and marketing, politics, companies, and brands.
To provide meaning and resonance, strong communication skills are essential.
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Q2) Consider the specific simplex tableau for a LPP: Max Z a) Identify the entering variable b) Identify the associated leaving variable.
a) The entering variable in the given simplex tableau for the linear programming problem (LPP) needs to be identified.
b) The associated leaving variable in the given simplex tableau for the LPP needs to be identified.
In the given simplex tableau for the linear programming problem (LPP), the entering variable is determined by selecting the column with the most negative coefficient in the objective row. This coefficient represents the contribution of each variable to the objective function. The entering variable is chosen to optimize the objective function and improve its value.
To identify the associated leaving variable, we look for the pivot element. The pivot element is determined by selecting the minimum positive ratio from the values obtained by dividing the right-hand side (RHS) of each constraint by the corresponding coefficient of the entering variable in the column.
The ratio indicates how much each constraint can be improved by the entering variable. The associated leaving variable is then determined by the row with the minimum positive ratio.
By performing these steps, we can identify the entering variable and the associated leaving variable in the given simplex tableau, which are crucial for the subsequent iterations in solving the linear programming problem.
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Fill out the table with what you know about clientele and audience of counseling
Customers are a Clientele and audience are made up of individuals and groups who seek out the services of different counselling professions.
Column 1:
Normal individuals make up the customers and audiences of counselling. They don't require medical or psychological assistance.The audience The clientele and audience are made up of individuals and groups of individuals.Persons seek out the services of different counselling professions. these people and organisations.Column 2:
They don't require medical or psychological assistance.They might be young people who are in need of direction.At crucial junctures in their development orAnybody who needs help realising a change in behaviour.Column 3: NEEDS ADDRESSED:
be sincere about therapeutic claimsview the client in an unwaveringly positive mannerhave compassion for the customer.express this viewpoint in a straightforward manner.Learn more about audience visit: brainly.com/question/29899972
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Correct Question:
Fill out the table with what you know about clientele and audience of counseling
When should a firm consider expanding from strictly domestic trade to international trade? When should it consider becoming further involved in international trade? What factors might affect the firms desicions in each case?
Answer: When they begin to get trades beyond how their previous annual turn over and international requests
Explanation:
Many businesses start from homes due to they can't afford to pay or rent a property yet while run their business. Businesses have different methods of operation, while some operate strickly domestically, others might want to either sell domestically too or do same alongside internationally.
A company can begin expanding or considering international trade on it's sales when they begin to receive large recommendation and request internationally.
The factors that might affect most cases always be fear and cost related. Fear of being kicked out of the market by competitors and cost in the sense of competitors beating his prices to give them a challenge.
Any firm should start consider expanding from domestic trade to international trade when its has already saturated the domestic market and needed to expand outside of the country for further growth opportunities.
Normally, a company can begin expanding its scale on international trade when they begin to receive large recommendation and request internationally.
Also, some of the factors that might affect them includes operation cost, trade barrier, competitors etc, in the international market etc
However, a firm should start consider expanding from domestic trade to international trade when its has already saturated the domestic market and needed to expand outside of the country for further growth opportunities.
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All revenue should be recorded conservatively and clearly, and:
A) recorded only when cash is collected.
B) quickly.
C) faithfully represent the facts.
D) All of the above.
The correct answer is D) All of the above. All revenue should be recorded conservatively and clearly, recorded only when cash is collected, recorded quickly, and faithfully represent the facts.
When it comes to recording revenue, conservative and clear practices are essential. Revenue should be recognized in a cautious and prudent manner, ensuring that it is not overstated or prematurely recorded. This approach helps to avoid potential misrepresentation of the financial position and performance of a company.
Additionally, revenue should be recorded only when cash is collected. This principle is known as the cash basis of accounting and ensures that revenue is recognized when it is actually received in the form of cash or cash equivalents. By doing so, it provides a more accurate reflection of the company's liquidity and the actual inflows of economic benefits.
Recording revenue quickly is important to provide timely and up-to-date financial information. Delayed recognition of revenue can result in a mismatch between revenues and expenses, potentially distorting the financial statements and misinforming stakeholders.
Lastly, revenue should faithfully represent the facts. This means that revenue should be recorded accurately, transparently, and in accordance with the applicable accounting standards and principles. The financial statements should provide a true and fair view of the company's revenue generation and help users make informed decisions based on reliable information.
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1. What PECs must she possess if there are customer who complain about the quality of her product???
a.patience
b. hardworking
c. versatile
d. all of the above
2.which of the following is not considered as a characteristics of an entrepreneur??
a.copes with failure
b. dependent
c.persistent
d. opportunity seeker
3.If she wants to ensure a profitable business operation, what characteristics will she maintain??
a.commitment
b.goal oriented
c.futuristic or future oriented
d. opportunity seeker
4.Mrs. Magno follows the advice of a friend to be flexible especially if she intends to open a retail business.
What PECs has been demonstrated by mrs. magno??
a.self confidence
b. reliable and has integrity
c.responsive to feedback
d. persistent
5.She tells mary , her best friend that she has a strong will and does not give up to find a solution to a business problem.
What PECs has been demonstrated by Mrs.Magno
a. hard work
b. persistence
c. self confidence
d. risk taking
Please I need help
Answer:
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Zero Price for a Permit. Consider a city that initially issues five licenses to pet groomers and does not allow the licenses to be bought and sold. Shortly after an economist joins the city licensing authority, the city decides to allow the licenses to be bought and sold on the open market. Much to the surprise of the licensers, the price of the licenses was zero: No one was willing to pay a positive amount for a pet-grooming license.
a. Explain why the price of grooming licenses was zero.
b. Illustrate your answer with a complete graph.
a. The price of grooming licenses became zero due to an oversupply of licenses in relation to the demand for pet grooming services. b. Graphically, the equilibrium shifted to a zero price point after allowing licenses to be bought and sold, indicating excess supply and no willingness to pay for licenses.
a, The price of grooming licenses becoming zero can be explained by the presence of excess supply or a lack of demand in the market for these licenses. When the licenses were not allowed to be bought and sold, the city controlled the distribution of licenses and issued only five of them.
However, once the licenses were allowed to be freely traded, it became apparent that there was an oversupply of licenses in relation to the demand for pet grooming services.
As a result, there were more licenses available than there were individuals or businesses interested in obtaining them, leading to a situation where no one was willing to pay a positive amount for a pet-grooming license.
b, The graph below illustrates the equilibrium in the market for grooming licenses after the decision to allow buying and selling
After the licenses were allowed to be bought and sold, the supply curve becomes more elastic, reflecting the willingness of license holders to sell their licenses. However, the demand curve remains the same, indicating that the demand for licenses has not changed.
With an increased supply and unchanged demand, the new equilibrium point occurs at a zero price, as no one is willing to pay a positive amount for the licenses. The excess supply is represented by the area between the supply and demand curves to the right of the zero price.
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PLEASE HELPP!!
Financial Statement Analysis Portfolio
The Income Statement for Pumpkin Co. is shown below:
Pumpkin Co.IncomeStatement
for the Month Ended October 21, 2010
revenues- blank
sales
$120,000.00
operating expenses-blank
salary expense
$10,000.00
supplies expense
$14,000.00
depreciation expense
$4,000.00
net income
$92,000.00
Pumpkin Co. is about to embark on a project that will have a total cost of $300,000.00 over a 10-year period.
1. Calculate the expected annual rate of return on this project.
2.Calculate the cash payback on this project.
Answer:
Explanation:
what do you need help with', though
The expected rate of return over the project will be 30.67%; whereas, the cash payback for the same will be 3.12 years.
What is rate of return?A financial ratio used to calculate the returns over monetary engagement during a financial period is generally regarded as the rate of return over such investment.
Using the given information, the expected rate of return will be computed as,
\(\rm Rate\ of\ Return= \dfrac{Net\ Income}{Investment}\ x\ 100\\\\\rm Rate\ of\ Return= \dfrac{92000}{300000}\ x\ 100\\\\\rm Rate\ of\ Return= 30.67\%\)
Similarly, when such return is earned, the cash payback will be computed as,
\(\rm Cash\ Payback= \dfrac{Investment}{Cash\ Inflow}\\\\\rm Cash\ Payback= \dfrac{300000}{92000}\\\\\rm Cash\ Payback= 3.125\)
Hence, the expected rate of return over the project will be 30.67%; whereas, the cash payback for the same will be 3.12 years.
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harlow industries reported net income of $25,500 for the current year. during the year, inventory decreased by $8,000, accounts payable decreased by $8,500, depreciation expense was $11,000, and accounts receivable increased by $7,500. if the indirect method is used, what is the net cash provided by operating activities?
Inventory dropped by $8,000 during the course of the year, accounts payable dropped by $8,500, depreciation costs were $11,000, and accounts receivable rose by $7,500. What is the net cash provided by operational operations if the indirect method is used.
Is issuing stock an operating activity?
The tasks a company performs that are directly relevant to offering its products and/or services to the market are referred to as operating activities. A product or service is manufactured, distributed, marketed, and sold. These are the company's primary business activities. The majority of an organization's cash flow often comes from its operating operations, which also heavily influences its profitability. Cash receipts from sold goods, employee paychecks, tax payments, and payments to suppliers are a few typical operating activities. The income statement and cash flow statement, in particular, can be found on a company's financial statements.
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Carbon Monoxide Poisoning: (Please bullet or number your answers.)
All gas-powered vehicles produce carbon monoxide. Carbon monoxide is a deadly, odorless gas that is released from the exhaust pipe of vehicles.
What are two (2) ways you can prevent carbon monoxide poisoning with gas-powered vehicles?
What is the monthly payment for a $148000 thirty-year mortgage at 5% APR? Your Answer: Answer Question 7 (0.5 points) You are currently paying $525 in interest on your credit cards annually. If, instead of paying interest, you saved this amount every year, how much would you accumulate in a tax-deferred account earning 9% over the next 5 years? Your Answer:
The monthly payment for a $148,000 thirty-year mortgage at 5% APR is $795.43. If you save $525 annually in a tax-deferred account earning 9% over the next 5 years, you would accumulate $3,433.16.
Question 1
We need to calculate the monthly payment for a $148,000 thirty-year mortgage at 5% APR. Here's the solution:
Calculation of Monthly Payment:
PV = Present Value = $148,000
i = 5%/12 (monthly interest rate) = 0.004167
n = 30 years x 12 months per year = 360 months
Using the mortgage formula of Monthly Payment = PV * i(1 + i)^n / [(1 + i)^n - 1], we can calculate the monthly payment.
M = $148,000 * 0.004167 * (1 + 0.004167)^360 / [(1 + 0.004167)^360 - 1]
M = $795.43
Therefore, the monthly payment for a $148,000 thirty-year mortgage at 5% APR is $795.43.
Question 2
Given:
Interest on credit cards annually = $525
We need to find out how much would you accumulate in a tax-deferred account earning 9% over the next 5 years if you saved this amount every year instead of paying interest. Here's the solution:
Calculation:
In the given scenario, we need to find out the accumulated value of savings in 5 years if we saved the $525 annually instead of paying it as interest.
For 1st year, the accumulated value = $525 * (1 + 9%) = $572.25
For 2nd year, the accumulated value = $525 * (1 + 9%)^2 = $624.23
For 3rd year, the accumulated value = $525 * (1 + 9%)^3 = $681.49
For 4th year, the accumulated value = $525 * (1 + 9%)^4 = $744.09
For 5th year, the accumulated value = $525 * (1 + 9%)^5 = $812.10
Therefore, the total accumulated value over the next 5 years in a tax-deferred account is $3,433.16 (rounded to two decimal places).
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Using the chain ratio method, estimate the market sales potential for heart catheterization products to meet the needs of the infant and child segment. Assume that of the 45,000 children with heart defects each year, 70 percent will benefit from these types of products and that only 50 percent of their families have the financlal resources to obtain such treatment. Also assume the average price for a device is $3,000 and children may only go through a single procedure. The number of buyers in the market can be estimated as (Round to the nearest whole number.)
Based on the given assumptions and using the chain ratio method, the estimated market sales potential for heart catheterization products in the infant and child segment would be approximately $47,250,000.
To estimate the market sales potential for heart catheterization products in the infant and child segment using the chain ratio method, we'll follow the given assumptions step by step.
Total number of children with heart defects per year: 45,000.
Percentage of children who will benefit from heart catheterization products: 70%.
The potential beneficiaries would be 45,000 * 0.70 = 31,500 children.
Percentage of families with financial resources to obtain treatment: 50%.
The potential buyers would be 31,500 * 0.50 = 15,750 families.
Now, we need to estimate the number of heart catheterization products required by these families:
Assuming each child goes through a single procedure, the number of devices needed would be the same as the number of families, which is 15,750.
Finally, we can calculate the market sales potential:
Average price per device: $3,000.
Total sales potential would be 15,750 * $3,000 = $47,250,000.
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N. 4 O QUESTION X Co has the following capital structure: 400,000 ordinary shares of 50c, Share premium account, Retained earnings, Shareholders' equity =$200,000, $70,000, $230,000 = $500,000 Show its capital structure following: (a) A '1 for 2' bonus issue (b) A rights issue of '1 for 3' at 75c following the bonus issue, assuming all rights taken up
After a '1 for 2' bonus issue and a subsequent rights issue of '1 for 3' at 75c, the capital structure of Co would be as follows: Ordinary shares: 600,000 shares (400,000 original shares + 200,000 bonus shares)
Share premium account: $80,000 ($70,000 from before + $10,000 from the rights issue)
Retained earnings: $230,000 (unchanged)
Shareholders' equity: $510,000 ($200,000 from before + $80,000 share premium + $230,000 retained earnings)
(a) A '1 for 2' bonus issue means that for every 2 existing shares, shareholders will receive 1 bonus share. Since Co has 400,000 ordinary shares, a bonus issue would result in 200,000 bonus shares being issued. The number of ordinary shares would then increase to 600,000.
(b) After the bonus issue, a rights issue of '1 for 3' at 75c means that for every 3 shares held, shareholders have the right to purchase 1 additional share at 75c. Assuming all rights are taken up, each shareholder would be entitled to buy (1/3) * 600,000 = 200,000 new shares. This would result in a total of 800,000 ordinary shares.
The share premium account would increase by $10,000 (200,000 * 75c), making it $80,000. The retained earnings would remain unchanged at $230,000. Therefore, the shareholders' equity would be $510,000.
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HELP ASAP Which one of the following statements about the function of money is wrong? Money holds its value well in times of inflation. Money makes trading goods and services easier. Money makes it easier to save
The statements about the function of money that is wrong is Money holds its value well in times of inflation.
Money serves as a means which helps individual to perform exchange of goods and services.
However, during inflation, money tends to loss its value because of higher price of goods.
Therefore, during inflation the value of money will be loss, which means the function of money here is not justified.
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Is eating a tomato bias?
Answer:
hindi ko po maintindihan ang tinatanong nyo
Explanation:
sa susunod po kumpletuhin nyo para masagut ko ang tanong mo
DIFFERENCE BETWEEN EQUITY SHARES AND PREFERENCE SHARES FOR 3 MARKS
Answer:
Equity Shares are the shares that carry voting rights and the rate of dividend also fluctuate every year as it depends on the amount of profit available to the company. On the other hand, Preference Shares are the shares that do not carry voting rights in the company as well as the amount of dividend is also fixed.
go to key differences for more information
Explanation:
An auditor who qualified an opinion because of an insufficiency of audit evidence should refer to the scope limitation in the Auditor's Note to the Financial Statements Responsibility Section Opinion Section 01. O 2. Yes No Yes Yes Yes No O3. No Yes Yes O 4. Yes Yes Yes
An auditor who qualified an opinion because of an insufficiency of audit evidence should refer to the scope limitation in the Auditor's Note to the Financial Statements Responsibility Section Opinion Section Yes Yes Yes. Option 4 is correct.
An auditor who encounters a scope limitation, such as insufficient audit evidence, should refer to the scope limitation in the "Auditor's Responsibility" section and "Opinion" section of their report. This is because the auditor needs to highlight the limitations they faced during the audit, which might have affected the overall opinion on the financial statements.
1. The auditor identifies the insufficiency of audit evidence as a scope limitation during the audit.
2. In the "Auditor's Responsibility" section of their report, the auditor explains their responsibility to express an opinion on the financial statements based on the audit evidence obtained and mentions the encountered scope limitation.
3. In the "Opinion" section, the auditor refers to the scope limitation again, clarifying that due to the insufficient audit evidence, they are providing a qualified opinion on the financial statements.
4. By mentioning the scope limitation in both sections, the auditor effectively communicates the issue to the users of the financial statements, making them aware of the potential impact on the overall opinion.
Option 4 is correct.
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selling distribution and account management is very important for flower cultivation justify it ...! help meeeeee
All of the above are very important to flower cultivation as they either provide an incentive for it or make the cultivation more effective.
Importance of Selling, Distribution, and Account ManagementSelling - selling flowers provides an incentive to flower farmers to cultivate more flowers. It also provides them with funds to do so. Distribution - this aids in the selling of the flowers as it links farmers to buyers thereby providing them with funds. Account management - this allows farmers and those on the sell side of the business to properly manage the entire process of flower cultivation thereby making it more effective.In conclusion, selling, distribution, and account management are all important to flower cultivation.
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have you ever been to a new restaurant and found that its food, service, and prices were excellent? is that restaurant still in business? if not, the restaurant likely failed to create value for its target market.
This statement is False: have you ever been to a new restaurant and found that its food, service, and prices were excellent? is that restaurant still in business? if not, the restaurant likely failed to create value for its target market.
The group of persons most likely to buy a particular good or service is known as the target market. Understanding your target market is crucial for company success since these people are more likely to buy and suggest your items, increasing your sales.
What does your target market look like?
Organize focus groupssurveying current clientsKeep track of rivalsExplore the research already done Why is a target market important?
Businesses can manage a set of consumers who are more likely to purchase their product and interact with their brand by focusing on certain target markets. Most consumers find that broad, "catch-all" marketing strategies that aim to appeal to everyone end up feeling generic.
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Who is Jake from Statefarm??
Answer:
my baby daddy.
Explanation:
I forgot to take the pill :(
Answer:
god
Explanation:
jake from state farm is god. *period*