in a polycentric ihrm orientation: : a. all aspects of hrm for managers and tech workers follow the parent organization's host country hrm practices b. hrm practices are adapted to local countries c. none of these d. all aspects of hrm for managers and tech workers follow the parent organization's home country hrm practices

Answers

Answer 1

In a polycentric IHRM orientation: HRM practices are adapted to local countries.

What is HRM practices?

In order to ensure that a company's human capital contributes to the achievement of its business objectives, human resource management (HRM) practises are a collection of internally consistent policies and procedures.

Human resource management (HRM) can be defined as the procedures necessary to manage human resources in an organization, including hiring and firing employees, training staff members, managing performance and compensation, and promoting employee input into decision-making.

Keeping staff members happy, healthy, and safe is another responsibility of a human resources department. The company and its employees can avoid risk if HR is managed effectively. Workplace policies can keep up with necessary protective measures and implementation and offer solutions to problems between team members.

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Related Questions

on june 1, a company purchased equipment costing $7,200. the equipment has an expected useful life of 5 years and a salvage value of $1,200. the company uses straight-line method of depreciation. on june 30, the company will recognize $ (omit $/cents) of depreciation expense. need help? review these concept resources.

Answers

$100. ($7,200-1200) x 5 results in a yearly depreciation of $1,200.$1,200/12 equals a monthly depreciation of $100.

When a business records equipment depreciation, the entry will include?

The debit will always be applied to depreciation expense when a business records it. A contra-asset (negative) on the balance sheet, accumulated depreciation will receive the offset credit.

In which sections of the worksheet, net income is calculated by taking the difference between debits and credits?

In the Income Statement Section of the worksheet, the total credits less the total debits can be used to calculate and verify net income.The amount in the Credit column was subtracted from the Balance Sheet Debit column.is a tool used to figure out how changing journal entries affects account balances.

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money functions as: group of answer choices all of these. a medium of exchange. a unit of account. a store of value. g

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Money functions are all of these i.e.  "a medium of exchange. a unit of account. a store of value".

Since it is used to make purchases and pay for the commodities and services that one needs, money serves as a medium of exchange. Money is used to quantify the relative value of the commodities and services offered in society, making it a useful unit of account.

Money serves three purposes: as a unit of account because it quantifies the value of goods and services; as a store of value because it suggests that accumulating money increases people's and organizations' wealth; and as a medium of exchange because it enables trade between buyers and sellers using a common currency that is recognized by both parties.

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the document that is generally mailed monthly and contains the details of all sales, cash receipts, and credit memorandum transactions processed through a customer's account is called a(n) custome

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The document is called Customer Statement.

What is a bank Statement?A bank statement is an official summary of all financial transactions made for each bank account that a person or business has with a financial institution within a specific time period. These statements, which are created by the financial institution, are numbered and reflect the time period they cover. They may also include other information pertinent to the type of account, such as the amount due by a specific date. The day following the conclusion of the previous statement period is typically the start date of the new statement period.The consumer frequently uses bank statements to track cash flow, look for potential fraud, and execute bank reconciliations.In the past, they have been printed on one or more sheets of paper and sent to the account holder by mail or maintained at the local branch of the financial institution for pick-up. In order to speed up the reconciliation process, there has been a move in recent years toward paperless electronic statements. In addition, many financial institutions now provide direct downloads of financial information into the accounting software of account holders. Important bank statements must typically be kept for a period of time determined by the appropriate tax authorities for audit and tax purposes.

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A Customer Statement is,

A customer receives this document by mail every month, on average. It includes information on all sales, cash receipts, and credit memo transactions that were made during the specified time period using the customer's account.

What is a bank Statement?A bank statement is an official summary of all financial transactions made for each bank account that a person or business has with a financial institution within a specific time period.These statements, which are created by the financial institution, are numbered and reflect the time period they cover.They may also include other information pertinent to the type of account, such as the amount due by a specific date.The day following the conclusion of the previous statement period is typically the start date of the new statement period.The consumer frequently uses bank statements to track cash flow, look for potential fraud, and execute bank reconciliations.In the past, they have been printed on one or more sheets of paper and sent to the account holder by mail or maintained at the local branch of the financial institution for pick-up.In order to speed up the reconciliation process, there has been a move in recent years toward paperless electronic statements.In addition, many financial institutions now provide direct downloads of financial information into the accounting software of account holders.Important bank statements must typically be kept for a period of time determined by the appropriate tax authorities for audit and tax purposes.

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determine the gross profit for jefferson company based on the following data: sales $764,000 selling expenses 42,500 cost of merchandise sold 538,000 a.$721,500 b.$183,500 c.$495,500 d.$226,000

Answers

$226,000 is the gross profit for jefferson company based on the given data of sales and cost .

What is meant by Gross profit ?

Gross profit is the money a business makes after deducting the costs of producing and selling its goods or the costs of offering its services. By deducting the cost of goods sold (COGS) from revenue, one can determine gross profit, which will show up on a company's income statement. An organization's income statement will contain these numbers. Other names for gross profit include sales profit and gross income.

A company's efficiency in using its labor and resources to produce goods or services is measured by its gross profit. The measure primarily examines variable costs, or expenses that change in response to output levels.

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with a monopoly, marginal cost is less than price. does that mean too much or too little is produced by a monopoly for allocative efficiency? why?

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The marginal cost for a monopoly is less than the price, the marginal utility / marginal cost ratio for the monopoly's product will be greater than the marginal utility / marginal cost ratio for the rest of the economy,

assuming that the rest of the economy is more competitive. As a result, if the rest of the economy produces less and moves those resources to the monopolistic industry, there will be a net gain in happiness. In other words, the monopolist produces too little for allocative efficiency.

The allocatively efficient quantity of output, also known as the socially optimal quantity, is where demand equals marginal cost, yet the monopoly will not produce at this point. A monopoly, on the other hand, produces too little at too high a cost, resulting in deadweight loss.

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a project's equivalent annual annuity (eaa) is the annuity cash flow that yields the same present value as the project's npv. group of answer choices true false

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A project's equivalent annual annuity (EAA) is the annuity cash flow that yields the same present value as the project's NPV is True.

In capital budgeting, one of two approaches is used to compare projects that are mutually exclusive and have different lifetimes. This strategy is known as the equivalent annual annuity approach.

According to the EAA method, a project's annual cash flow would be calculated as if it were an annuity over the course of its existence.

An analyst initially determines the NPV of each project over its lifetime. The EAA for each project is then calculated to ensure that the NPV and the present value of the annuities are exactly equal. The analyst then compares the EAA of each project and chooses the one with the highest EAA.

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if barbara falcon invests $16,751.84 now and she will receive $30,000 at the end of 10 years, what annual rate of interest will she be earning on her investment?

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9% of annual rate of interest will she be earning on her investment .The price of borrowing money is reflected in the interest rate on a credit card.

What is annual  rate interest ?

The price of borrowing money is reflected in the interest rate on a credit card. We utilize the annual percentage rate for this (APR). On the majority of credit cards, you can avoid paying interest on purchases if you pay your balance in full each month by the due date.

The term annual percentage rate of charge refers to the interest rate for an entire year rather than just a monthly fee or rate as applied on a loan, mortgage loan, credit card, etc. It can also be referred to as a nominal APR or an effective APR. It is an annual rate of a finance charge.

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suppose you purchased a stock a year ago. today, you receive a dividend of $18 and you sell the stock for $114. if your return was 13%, at what price did you buy the stock? $ .

Answers

$113.85 is the stock buying price

Given Rate of return = 13% = 0.13

Current value = $114

Let initial value = z

Rate of return=[(Current value−Initial value) / Initial value ]×100

0.13= [($114 - z) / z] x 100

0.0013z = $114 - z

z + 0.0013 = $114

1.0013z = $114

z = $114/1.0013

z = $113.85

What is stock buying price?

The sum an investor pays for an investment is referred to as the purchase price, and that amount becomes the investor's cost basis for determining gain or loss when the investment is sold. Pricing will undoubtedly be crucial if a product is currently in high demand on the market because a price increase may deter buyers from purchasing it. In a similar vein, if prices are reduced in such market circumstances, then customers' purchases will rise sharply.

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making decisions about how threadless should allocate its resources to both current and future product innovations is a process known as multiple choice budgeting. financial management. short-term financing. financial planning. long-term financing.

Answers

Making decisions about how threadless should allocate its resources to both current and future product innovations is a process known as multiple choice budgeting is called as Financial Management

Hence, option A is correct.

What is Financial management?

Financial management refers to process where investing the available resources is done in such a way that the greater business model and return on investment can be achieved. In this multiple choice budgeting options are present . The main purpose revolves around financial and economic benefits of an investment.

Different types Financial management are

investment decisionworking decisionfinancial decision

Hence, should allocate its resources to both current and future product innovations is a process known as multiple choice budgeting is called as Financial Management.

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a buyer calls your office to inquire about a property he saw advertised. he sounds knowledgeable about this listing. where is it that he likely found out the property information?

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He sounds knowledgeable about this listing. He is likely to found out the property information on the Internet.

Due to the fact that the majority of businesses and organizations utilize the internet to promote or advertise their goods, it is likely that the buyer noticed the property advertisement online. He most likely learned about the property's availability online, which is where.

Advertising is the process of spreading brand or product awareness in order to increase profit or drive sales.

Any type of paid, impersonal presentation of ideas, products, or services with the intention of persuading consumers to purchase is referred to as advertising. "The widespread transmission of ideas aimed to persuade consumers in order to maximize revenues" is how advertising is defined.

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which path is used when there is a business need for the deliverables to be implemented without delay by the organization? close and start a new project kill the project close and deliver as is extend the project

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All of the outputs—tangible or intangible—submitted within the scope of a project are referred to as project deliverables.

Although the term initially conjures up images of the final outputs that are submitted at the conclusion of a project, it actually refers to any output related to the project that is submitted during any phase of the project.

Who is in charge of project delivery?

The project manager is in charge of ensuring that the project is completed, even if the entire team is working on a single deliverable. They are responsible for keeping an eye on the project's progress and ensuring that all deliverables, big and small, are completed by the due date.

What are the anticipated project implementation deliverables?

All of the products or services that you and your team provide for the sponsor, client, or customer, as well as the project management documents that you create, are considered deliverables for your project.

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the mcfadden act produced a fragmented banking system where competition was prohibited. the result, in economic terms, was

Answers

The McFadden Act led to a fragmented banking industry with no room for competition. the end outcome was improved nationwide bank efficiency from an economic perspective.

What is prohibited example?

Anything that is forbidden is not permitted. Stay out of the water if you see a sign that reads "Swimming is prohibited." The word "prohibited" denotes something that was forbade — a no-no — whether it is used as word ("We prohibited his friend from joining") or an adverb ("The prohibited word slipped your lips").

What is prohibited conduct?

The term "Prohibited Conduct" refers to unlawful discrimination and harassment based on the protected traits or statuses of another person. The definition also include taking offense at someone for filing a complaint about discrimination or harassment or taking part in an inquiry into illegal behavior.

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a proposed new investment has projected sales of $645,000. variable costs are 40 percent of sales, and fixed costs are $168,000; depreciation is $83,000. prepare a pro forma income statement assuming a tax rate of 21 percent. what is the projected operating cash flow of the project?

Answers

According to the given information, the projected operating cash flow of the project is $107,440

Net Income = (Revenues - Expenses - Depreciation - Interest) x (1 - Tax

                       Rate)

Net Income = (645,000 -(645,000 ×0.40) - 168,000 - 83,000) x (1 - 0.21)

Net Income = $107,440

Operating cash flow is a measure of the financial impact of a company's net income (NI) from its core operations. On the cash flow statement, the first section is titled operating cash flow, also known as cash flow from operating activities.The focus of operating cash flows is on cash inflows and outflows associated with a company's primary business operations, such as buying and selling inventory, offering services, and paying salaries. Borrowing, investing, financing, purchasing capital goods, and paying dividends are all excluded from the operating cash flows section and reported separately. On a company's statement of cash flows, which is segmented into cash flows from operations, investing, and financing, operating cash flow can be found.

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union local school district has a bond outstanding with a coupon rate of 3.8 percent paid semiannually and 29 years to maturity. the yield to maturity on this bond is 2.9 percent, and the bond has a par value of $10,000. what is the dollar price of the bond? (do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.)

Answers

The dollar price of the bond rounded off to 2 decimal places is $11756.88.

According to the scenario, The given data are as follows:

Par Value (FV) = $10,000

Time Period = 29 years

Time period (Semi-annual) (Nper) = 58

Coupon rate (semi-annual) = 3.8% / 2 = 7.6%

So, payment (PMT) = $10,000 × 7.6% = $76

Yield (r) (semiannual) = 2.9% / 2 = 1.45%

Hence, The price of the bond is $11756.888.

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Mackenzie's gross income for her last pay period was $2,578.90. She had the following deductions: $400 for her 401K, $167 for her dental insurance, $234 for Federal tax, $156 for State tax, $98 for FICA. What is her net income?

A) $1,589.90
B) $1,682.40
C) $1423.90
D) $1,523.90​

Answers

Your answer is D
Add up all your deductions which is 1055
So you will do this
2578.9-1055=1523.9

in the capm world, the following two stocks a and b are given: security expected rate of return beta a 0.12 1.3 b 0.14 1.8 if the expected market rate of return is 0.09 and the risk-free rate is 0.05, what is security a's alpha? round your answer to three decimal places.

Answers

Stock A is a better investment because its expected return is 2.2% higher than the CAPM's prediction.

The risk-free rate divided by beta times the market risk premium is the expected rate of return. It is given by given by the capital resource evaluating model. The expected market return less the risk-free rate is the market risk premium.

What do you mean when you say, "expect return"?

The amount of profit or loss an investor can anticipate from an investment is referred to as the expected return. After totaling these results, the probability of a given outcome being realized is multiplied by the potential return.

How is expected return calculated?

Since the investment market is extremely volatile, expected return is just one of many possible returns. It is equal to (Return A x probability A) + (Return B x probability B). Due to the fact that it takes into account the investment's previous performance, you can determine the expected return as a weighted average outcome.

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you are trying to calculate the cost of equity for a 5-year project at boeing. you know that the stock's beta is 1.37 and you estimate that the expected return on the market portfolio is 7%. you have collected the following information on the yields of different treasury securities. based on the best practices for estimating the cost of equity, what would be the appropriate cost of equity to use for this project? select one. yields on selected treasury securities maturity yield (in %) 1 month 1.48% 6 months 1.55% 1 year 1.60% 2 years 1.61% 3 years 1.62% 5 years 1.69% 7 years 1.83% 10 years 1.92% 20 years 2.25% 30 years 2.39% i. 11.51% ii. 8.88% iii. 8.96% iv. 11.28%

Answers

8.96% is the proper cost of equity to use for this project.

The return a company theoretically gives to its equity investors, or shareholders, in order to make up for the risk they assume by investing their money, is known as the cost of equity. For a business to function and expand, it needs funding from other sources.

Risk free rate for 5th year = 1.69%

Beta = 1.37

Market return = 7%

As per CAPM

cost of equity = Risk free rate + Beta * (Market return – Risk free rate)

= 1.69% + 1.37 * (7% – 1.69%)

= 1.69% + 1.37 * 5.31%

= 1.69% + 7.2747%

= 8.9647% rounded off to 8.96%

8.96% is the proper cost of equity for this project.

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special case of the divisional structure where products are grouped into separate divisions according to their similarities or differences is referred to as which kind of structure?

Answers

A market structure is a type of divisional structure that divides products into distinct divisions based on the needs of different customers.

An item that is for sale is a product. A service or tangible object can both be considered products. It might be digital, physical, or cyber. Every good has a price, and every good has a cost.

A standardized product uses the same materials wherever it is sold, from the raw materials used to make it to the branding, naming, and packaging. Each time a standardized service is delivered, it may be delivered through the same medium or with similar characteristics.

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productivity at the wisconsin branch of big box manufacturing has decreased significantly over the last twelve months. aaron, the branch manager, researches the problem and finds that many employees are spending significant time on social media while at work. he wants to construct a report for the company's leadership team, using the deductive approach. how should aaron structure the report?

Answers

Using the deductive method Aaron can structure the report in the following way:

state the primary message; layout supporting reasons; conclude with a call to action

A logical strategy used in deductive reasoning is moving from broad concepts to specific conclusions. Inductive thinking, which starts with specific observations and draws broader conclusions, is sometimes contrasted with deductive reasoning. Deductive logic and top-down reasoning are other names for deductive reasoning.

In deductive writing, a claim, thesis, or hypothesis is presented in the opening phrases or paragraphs, and then the writer utilizes the following paragraphs to explain, challenge, or expand the claim, thesis, or hypothesis. research that tests hypotheses rather than producing them (inductive).

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accrual adjustments involve increasing: multiple choice assets and revenues or increasing liabilities and expenses. assets and expenses or increasing liabilities and revenues. assets and decreasing revenues or increasing liabilities and decreasing expenses. assets and decreasing expenses or increasing liabilities and decreasing revenues.

Answers

The income statement reports all of the revenues and expenses incurred by a company during a period of time, resulting in either a net profit or a net loss. 

The statement of cash flows reports the cash inflows and outflows for a company during a period of time. The balance sheet reports the assets, liabilities, and equity of a company at a point in time.The accrual basis of accounting recognizes revenues when they are earned and expenses when they are incurred, regardless of when the cash is actually received or paid.

The cash basis of accounting recognizes revenues when cash is received and expenses when cash is paid.Accrual adjustments are necessary in order to convert from the accrual basis of accounting to the cash basis of accounting, or vice versa. To convert from the accrual basis to the cash basis, accrual-basis revenues are reduced by accrual-basis expenses that have not yet been paid. 

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Fido wants to buy a new car. He will need to get a car loan. Fido decides to wait for few months until his credit
history improves. Which explains whether Fido is making a sensible decision?
O Fido's decision is sensible because the selling price of the car should be less in a few months.
• Fido's decision is sensible because the cost of the of car loan should be less if his credit history improves.
O Fido's decision is not sensible because he needs the car right away.
• Fido's decision is not sensible because it does not matter if he buys the car now or in a few months.

Answers

Fido's decision is sensible because the cost of the of car loan should be less if his credit history improves.

What should you do if this is your first time financing a car?

Calculate the payment you can afford.

Learn what factors affect loan acceptance.

Pre-approve for a loan and compare rates.

Do some research before purchasing an automobile.

Get ready for the dealer.

What kind of credit has easy access?

Very short-term loans with typically very high interest rates are referred to as easy access credit. It's a polite way of stating title loans, payday loans, or transactions at pawn shops.

What contributes to the development of a bad credit history?

Pay less than the bare minimum.

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the north ridge diner is always swamped during the weekends. what could the restaurant do to keep customers from becoming impatient while they wait?

Answers

The north ridge diner is always swamped during the weekends. The restaurant, in order to keep customers from becoming impatient while they wait could Alert guests that their tables are ready via text message.

What is customer service?

Generally, Customer service refers to the assistance and guidance that a company offers to individuals who purchase or make use of the goods or services that it offers.

Every sector has its own unique standards for customer service, but in the end, a successful service should be measured by its ability to boost earnings.

On the weekends, there is typically a line out the door at the North Ridge Diner. A text message could be sent to the guests at the restaurant to let them know when their tables are ready. This would help the restaurant's customers avoid becoming irritable while they wait.

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what do graphs of marginal product of labor and average product of labor when the curve is a straight line

Answers

Initially when the graphs of the Average product of labor and Marginal product of labor are straight lines which shows that both the Average and Marginal product increase with the increase in labor.

Marginal product is the additional output that is generated by an additional worker. With a second worker, production increases by 5, and with the third worker, it increases by 6. When these workers are added, the marginal product increases.

The MP curve initially increases, reaches its maximum, and then declines. the AP curve also shows a similar trend as the MP. It rises, reaches its maximum, and then falls. At the point where AP reaches its maximum, AP = MP.

The law of diminishing marginal returns states that as successive amounts of the variable input, i.e., labor,  are added to a fixed amount of other resources, i.e., capital,  in the production process the marginal contribution of the additional variable resource will eventually decline.  As the marginal product begins to fall but remains positive, the total product continues to increase but at a decreasing rate. As long as the marginal product of a worker is greater than the average product, computed by taking the total product divided by the number of workers, the average product will rise.

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when we are forced to make choices, we are facing the concept of: question 10 options: a) ceteris paribus. b) scarcity. c) free goods. d) the margin.

Answers

When we are forced to make choices, we are facing the concept of option B.) “scarcity.”

The reason we face scarcity is because, like economics, the demand for an output of an idea is greater than the momentous supply. This means we are forced to make a decision that we are unsure on. An example of scarcity would be if one were to offer a kindergartener $100 to answer the multiplication problem 1,736 • 983 in a span of ten seconds without any help. The kindergartner, as we already know, wouldn’t know how to properly perform the equation and in return would be likely to guess.

the balance sheet of innovative products reports total assets of $470,000 and $670,000 at the beginning and end of the year, respectively. the cash return on assets for the year is 20%. calculate innovative products' net cash flows from operating activities (operating cash flows) for the year.

Answers

The innovative products' net cash flows from operating activities (operating cash flows) for the year of the operating cash flow is $171,000

The calculation is as follows:

Beginning Total Assets            $470,000

Ending total assets                   $670,000

Average Total Assets in use    $570,000  ($470,000 + $670,000) ÷ 2

Cash return on Asset                    30%  

Cash Flow from operating activities    

= Average Assets × 30%  

=  $570,000 × 30%

= $171,000

the quantity of coins or coins equivalent that the organization gets or gives out via the manner of a fee(s) to creditors is referred to as cash flow. cash float analysis is often used to analyze the liquidity position of the agency.

coins waft is defined as the quantity of money coming into and leaving your commercial enterprise over a given time period. coins waft is crucial because it enables you to satisfy your existing economic duties as well as plan for your destiny.

A ratio less than 1 suggests quick-time period coins float issues; a ratio extra than 1 suggests exact monetary fitness because it shows coins flow extra than enough to fulfill brief-term monetary responsibilities.

the important thing distinction between cash glide and earnings is even as profit indicates the amount of cash left over in any case charges had been paid, coins waft shows the internet waft of cash into and out of an enterprise.

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in a system of 100-percent-reserve banking, group of answer choices loans are the only asset item for banks. banks can increase the money supply. banks do not accept deposits. banks do not influence the supply of money.

Answers

In a system of 100-percent-reserve banking, banks do not influence the supply of money.

The reserve banking system is a central banking system that is used to manage the money supply and interest rates in an economy. The reserve bank is the central bank of a country and is responsible for the monetary policy of the country. The reserve banking system was first developed in the United States in the early 1900s.

The reserve bank controls the money supply by setting the reserve requirements for banks and by conducting open market operations. The reserve bank also sets the interest rates on loans and controls the discount rate.

Hence, "Fourth" is the correct option.

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audit planning for an initial audit most likely includes group of answer choices determining the opinion to be expressed. obtaining an engagement letter prepared by the auditee. performing procedures involving opening balances. selecting a sample of invoices for comparison with shipping reports.

Answers

Audit planning for an initial audit most likely includes performing procedures involving opening balances.

The audit should be carefully planned by the auditor. The duties of the auditor for effectively planning the audit are outlined in this standard.

Establishing the engagement's overall audit strategy and creating an audit plan, which includes, in particular, planned risk assessment processes and planned responses to substantial misstatement risk, are both part of the audit planning process.

Instead of being a distinct stage of an audit, planning is a continuous and iterative process that might start soon after (or in connection with) the conclusion of the previous audit and last until the current audit is finished.

The size and complexity of the company, the auditor's prior knowledge of the organization, and any changes in circumstances that arise during the audit all influence the type and scope of planning activities that are required.

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which of the following is an example of discretionary fiscal policy? a(n) group of answer choices decrease in lump-sum taxes. increase in the money supply. increase in social security entitlements provided by the federal government. decrease in interest rates.

Answers

The example of discretionary fiscal policy is decrease in lump-sum taxes.

Option A is correct.

What's discretionary fiscal policy?

optional fiscal policy is the purposeful change of government expenses and duty collections by government to raise full employment, price stability, and profitable growth.

Why is discretionary fiscal policy significant?

Discretionary fiscal policy aims to stabilize the frugality. It centrists the divagation in the affair gap( see macroeconomic equilibrium). It works to stimulate profitable growth during a depression and moderate the affectation rate and profitable growth during increment.

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question content area for which of the following businesses would a process cost system be appropriate? a.shampoo manufacturer b.dressmaker c.custom furniture manufacturer d.boat repair service

Answers

Shampoo manufacturer is the businesses for which process cost system be appropriate .

What is Process Costing ?

Process costing is a method of accounting that tracks and totals the direct expenses of a manufacturing process and assigns the indirect costs. Products are given costs, typically in a big batch that may cover a month's worth of production. Costs eventually need to be distributed among distinct product units. It is the antithesis of job costing, which seeks to assess the specific costs of production for each unit, and gives average costs to each item.

Process costing, a subset of operation costing, is used to calculate a product's cost at each stage or process of production. Process costing is defined by CIMA as "the costing approach used when products or services are produced via a series of ongoing or recurring operations or processes. Over the units produced over the time, costs are averaged ".

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betina is trying to convince a buyer to purchase her company. the buyer wants to know what the company's overall financial condition was on december 31, 2018. what type of financial statement should betina provide? cash flow statement balance sheet statement of changes in equity income statement

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Betina company should provide financial statement in form of Balance sheet statement .

Betina collectively Financial Condition on a personalized can be seen in the balance sheet. As balance sheet shows the Financial Condition on a personalized date. It does limit itself to a time.

Balance sheet :

A balance sheet is a fiscal statement that reports a company's means, debt, and shareholder equity. The balance sheet is one of the three core fiscal statements that are used to estimate a custom. It provides a shot of a company's finances( what it owns and owes) as of the date of publication. a balance sheet is a summary of the fiscal balances of an respective or association, whether it be a sole procurement, a business cooperation, a corporation, private defined company or other association similar as administration or not- for- profit commodity

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