You have been asked to assess the management team of an organization that has routinely performed below its peers and has a very high turnover of staff. Through observation and interview, you need to assess the situation and report back to your boss what you have discovered. Your boss wants the information in a week, and you think it will take a month to evaluate properly.

Using the power and politics information in the text, presentation, and videos – describe how you would manage your boss’ expectations and questions you would want to answer about the management team and workers to understand best if there is a leadership issue, an issue of power and authority, or if there are some pollical issues undermining the culture.

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Answer 1

Discuss the benefits of an extended timeline: Highlight how taking a month instead of a week will allow for a more in-depth understanding of the situation.

To manage your boss's expectations, it is important to communicate effectively. Here are some steps you can take:

1. Explain the need for a thorough evaluation: Emphasize the complexity of the situation and the importance of conducting a comprehensive assessment to identify the underlying issues accurately.

2. Outline the evaluation process: Provide a detailed plan of how you intend to assess the management team and workers. Break down the steps involved, such as observation, interviews, and data analysis.


3. Discuss the benefits of an extended timeline: Highlight how taking a month instead of a week will allow for a more in-depth understanding of the situation.

Questions to answer about the management team and workers to understand the situation better include:

- What is the management team's communication style and approach to decision-making?
- Are there clear roles and responsibilities established within the team?
- What is the level of employee engagement and satisfaction?
- How are conflicts resolved within the team and with staff members?

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Related Questions

On 8/1/2023We issue 60 million of 8%20 years bonds for 90 give the first Journal entries Give the CV at 3/12028

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The carrying value (CV) at March 1, 2028, is approximately $40,188,240.

The journal entries for the issuance of the bonds on August 1, 2023, would be as follows:

1. To record the issuance of bonds:

  Date: 8/1/2023

  Debit: Cash ($60,000,000)

  Credit: Bonds Payable ($54,000,000)

  Credit: Premium on Bonds Payable ($6,000,000)

The company receives cash of $60 million from the bond issuance. The Bonds Payable account is credited with the face value of the bonds, which is $54 million, and the Premium on Bonds Payable account is credited with the premium amount of $6 million.

The carrying value (CV) at March 1, 2028, can be calculated as follows:

1. Determine the annual interest expense:

  Face value of the bonds = $54,000,000

  Coupon rate = 8%

  Annual interest expense = Face value of the bonds * Coupon rate

  Annual interest expense = $54,000,000 * 8% = $4,320,000

2. Calculate the total interest expense from the issuance date to March 1, 2028:

  Time period from issuance (8/1/2023) to March 1, 2028 = 4 years and 7 months

  Total interest expense = Annual interest expense * Time period in years

  Total interest expense = $4,320,000 * 4.583 (approximate years)

  Total interest expense = $19,811,760

3. Determine the carrying value (CV) at March 1, 2028:

  Face value of the bonds = $54,000,000

  Premium on Bonds Payable = $6,000,000

  Total interest expense = $19,811,760

  CV = Face value of the bonds + Premium on Bonds Payable - Total interest expense

  CV = $54,000,000 + $6,000,000 - $19,811,760

  CV = $40,188,240

Therefore, the carrying value (CV) at March 1, 2028, is approximately $40,188,240.

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The following information applies to the questions displayed below.] Gabi Gram started The Gram Company, a new business that began operations on May 1. The Gram Company completed the following transactions during its first month of operations. May 1 Gabi Gram invested $41,000 cash in the company. May 1 The company rented a furnished office and paid $2,500 cash for May’s rent. May 3 The company purchased $1,930 of equipment on credit. May 5 The company paid $750 cash for this month’s

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The Gram Company started its operations on May 1. Here are the transactions that took place in the first month:

1. On May 1, Gabi Gram invested $41,000 cash in the company.
2. Also on May 1, the company rented a furnished office and paid $2,500 cash for May's rent.
3. On May 3, the company purchased $1,930 worth of equipment on credit.
4. On May 5, the company paid $750 cash for this month's expenses.

In total, Gabi Gram invested $41,000 in cash, paid $2,500 for rent, made a credit purchase of $1,930 for equipment, and paid $750 for other expenses.

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The interaction between a customer and a retailer is primarily in terms of three flows. Which of these items is NOT one of the flows?

Information

Product

Funds

Contracts

Answers

The item that is NOT one of the flows between a customer and a retailer is Contracts.

The three primary flows between a customer and a retailer are information, product, and funds. When a customer interacts with a retailer, they exchange information regarding their preferences, inquiries, or feedback. This flow of information helps the retailer understand the customer's needs and provide appropriate assistance. The second flow is the product itself, where the customer selects and purchases goods or services from the retailer. This involves the physical or digital transfer of the product to the customer. Finally, there is the flow of funds, which refers to the exchange of money between the customer and the retailer, typically through payment methods like cash, credit cards, or digital transactions. However, contracts are not typically considered one of the primary flows in a customer-retailer interaction. Contracts are legal agreements that outline the terms and conditions between parties involved in a business relationship, such as suppliers and retailers, rather than the direct interaction between customers and retailers.

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Identify five of the Eight Deadly Wastes that you have experienced at work, home, or school. Name the waste, describe it and recommend how the waste could be reduced or eliminated.

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Five deadly wastes commonly experienced are overproduction, waiting, transportation, defects, and motion. To reduce overproduction, match production with demand. Minimize waiting through efficient scheduling and communication. Optimize transportation routes. Eliminate defects through quality control. Streamline motion by organizing workstations.

1. Overproduction: This waste occurs when more products or services are produced than what is required by the customer. It leads to excess inventory, increased costs, and storage issues. To reduce overproduction, business should implement just-in-time manufacturing and lean production techniques, ensuring production matches customer demand.

2. Waiting: Waiting waste refers to the time wasted by employees or resources due to delays or idle time. It results in reduced productivity and increased lead time. To address waiting waste, organizations should improve scheduling, prioritize tasks, and ensure effective communication between departments to minimize delays and idle time.

3. Transportation: Transportation waste involves unnecessary movement of goods, materials, or information. Excessive transportation increases costs, lead time, and the risk of damage or loss. To reduce transportation waste, optimize routing, consolidate shipments, and streamline logistics processes, minimizing unnecessary movement.

4. Defects: Defects waste pertains to products or services that do not meet customer requirements, leading to rework, customer dissatisfaction, and increased costs. Employing quality control measures, such as implementing robust inspection processes and focusing on continuous improvement, can help reduce defects and associated waste.

5. Motion: Motion waste refers to unnecessary or excessive movement of people, equipment, or tools within a work environment. It can lead to physical strain, inefficiency, and increased cycle time. Organizing workstations, implementing ergonomic practices, and optimizing layout design can help reduce motion waste, improving efficiency and reducing the risk of workplace injuries.

By identifying these wastes and implementing appropriate measures to reduce or eliminate them, organizations can enhance productivity, reduce costs, and improve overall operational efficiency. Similarly, individuals can apply waste reduction principles at home or in school to promote efficiency and sustainability.

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Use the 5 indicators or create new ones, for a total of 5 indicators.

Choose ten countries to be analyzed. The countries selected are up to you.

Develop an international market selection "tool" that takes into consideration the 5 indicators and the ten countries you have chosen.

Use the tools you have developed for the ten international markets for toothbrushes.

Identify your top 3 international markets for the tooth brushes.

International trade

thank you!

Answers

Market size, consumer behavior, the competitive environment, regulations, and distribution methods make up the five indicators, or you can add additional ones. North America, Europe, and Asia-Pacific are the three global markets for tooth brushes.

Size of the market: A crucial factor to take into account is the size of the toothbrush market in a specific nation.

Consumer behavior: A strong marketing plan must be developed by having a thorough understanding of consumer behavior in the target market's nation.

Analysis of the competitive environment is necessary to comprehend the dynamics of a market in a specific nation.

Regulations: It's important to comprehend the country's regulatory landscape in order to ensure compliance and steer clear of legal entanglements.

Understanding how toothbrushes are sold and distributed requires an analysis of the distribution networks in a given nation.

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Human Resource Management: Recruitment and Selection

Which of the following are important components of ensuring sufficient quality in an internal recruiting system:

a.

Systematic monitoring of the selection ratio

b.

Internal job posting systems

c.

Regular reviews of the employee value proposition

d.

Regular performance appraisals of all employees

Answers

Regular performance appraisals of all employees (option d): Performance appraisals are evaluations of an employee's job performance.

To ensure sufficient quality in an internal recruiting system, several components are important:

1. Systematic monitoring of the selection ratio (option a): This involves tracking the number of internal candidates who apply for a position compared to the number of candidates selected. By monitoring this ratio, organizations can evaluate the effectiveness of their internal recruiting efforts and make improvements if necessary.

2. Internal job posting systems (option b): These systems allow employees to access and apply for internal job openings. By promoting transparency and giving employees equal opportunity to apply for positions, internal job posting systems contribute to a fair and inclusive recruitment process.

3. Regular reviews of the employee value proposition (option c): The employee value proposition refers to the unique benefits and value that an organization offers to its employees.


4. Regular performance appraisals of all employees (option d): Performance appraisals are evaluations of an employee's job performance. Regularly conducting performance appraisals allows organizations to identify potential candidates for internal job openings and assess their suitability for the positions.

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charles butt post analyze an entrepreneur (150) provide an overview of your selected entrepreneur rhst descy the nature of rhe business and the good(s) and/ or service(s) they provide. In your overview include the following: target consumer, competitors, demad, industry forecast, marketing/ advertising strategies, growth, and profitss/ loss.

Answers

Charles Butt is an entrepreneur who is the CEO and Chairman of H-E-B, a grocery store chain based in Texas, United States. H-E-B provides various goods and services including groceries, household items, pharmacy services, and bakery products. The target consumers for H-E-B are individuals and families who are in need of groceries and other household items.

H-E-B faces competition from other grocery store chains such as Walmart, Kroger, and Aldi. The demand for H-E-B's products is driven by the need for everyday essentials and the convenience of shopping at a well-established grocery store.

In terms of industry forecast, the grocery retail industry is expected to grow steadily due to the consistent demand for groceries. H-E-B's marketing and advertising strategies focus on promoting their quality products, competitive pricing, and their commitment to customer satisfaction. They also heavily rely on word-of-mouth marketing and community involvement to build customer loyalty.

H-E-B has experienced significant growth over the years, expanding its presence across Texas and even entering new markets in Mexico. The company's profits have been consistent due to their strong customer base and effective business strategies.

In conclusion, Charles Butt's H-E-B is a well-known grocery store chain that caters to the needs of consumers by providing a wide range of goods and services. They face competition from other major grocery store chains and rely on effective marketing and advertising strategies to maintain their market share. With the steady demand for groceries, H-E-B is expected to continue growing and generating profits in the future.

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A company had $6,930,000 in net income for the year. its net sales were $14,500,000 for the same period. calculate its profit margin.

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The profit margin is 47.86%. A profit margin of 47.86% suggests that the company is generating a significant profit from its sales.

For every dollar in net sales, the company retains approximately $0.48 as profit after deducting all expenses. This indicates that the company has efficient cost management and effective revenue generation strategies in place.

A high-profit margin is generally considered favorable, as it demonstrates the company's ability to generate substantial earnings from its core operations. It implies that the company has a strong competitive position, effective pricing strategies, and a healthy balance between revenue and expenses.

To calculate the profit margin, we need to divide the net income by the net sales and multiply by 100 to express it as a percentage.

Profit Margin = (Net Income / Net Sales) x 100

Given that the company had a net income of $6,930,000 and net sales of $14,500,000:

[tex]Profit Margin = (6,930,000 / 14,500,000) * 100\\= 0.4786 * 100\\= 47.86%[/tex]

Therefore, the company's profit margin is 47.86%. This means that for every dollar of net sales, the company generates a profit of approximately $0.48 or 48 cents. It indicates the company's ability to control costs and generate profits from its sales.

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Which of the following is NOT an example of consumer-generated contert? A. One million posts by individais on Twiter and Facobook, using the hashtag tiAddasiove to show support for a new Adidas line of shoes with a social purposo B. Donlos "Crash the super Bowl" contest, Wyire tans swomitted their best 30-seoond comrnorcials for voting by tans c. Lows Hoteis ' wabsiie of photos of actual guests offering their own experiences E. ANke shoo commorcial that uses marathon runners as spokespeople hired by the company

Answers

The answer is option E. The Nike shoe commercial that uses marathon runners as spokespeople hired by the company is not an example of consumer-generated content.

Consumer-generated content refers to content that is created by individuals who are not affiliated with the company or brand. In this case, the marathon runners are hired by the company, which means they are not consumers generating content on their own.

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Launching a smart helmet Business Using Inbound Marketing Strategies , Marketing goals

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The main goal of launching a smart helmet business using inbound marketing strategies is to create brand awareness, attract potential customers, and generate sales through targeted and engaging content.

Inbound marketing focuses on attracting customers by providing valuable content and personalized experiences that align with their needs and interests. By utilizing this approach, the smart helmet business can establish itself as an industry authority and build trust with its target audience.

To achieve these marketing goals, the smart helmet business can employ various inbound marketing strategies. Content marketing can be used to create informative blog posts, videos, and social media content that highlight the benefits and features of the smart helmet. Search engine optimization (SEO) techniques can be implemented to ensure that the content ranks high in search engine results, increasing its visibility to potential customers. Social media marketing can help in promoting the content and engaging with the target audience. Email marketing can be used to nurture leads and provide valuable updates and offers to existing customers. Additionally, implementing lead generation tactics such as offering downloadable guides or conducting webinars can capture customer information and further establish the smart helmet business as an industry leader.

In conclusion, launching a smart helmet business using inbound marketing strategies involves creating engaging content, optimizing it for search engines, utilizing social media platforms, and implementing lead generation tactics to attract potential customers, build brand awareness, and generate sales.

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Q7 On February 15. Mr. A borrows $1000 on a demand loan (repayments are only principal component) from his bank. Interest is paid at the end of each quarter (March 31, June 30 ) and at the time of the last payment. Interest is calculated at the rate of 10% on the balance of the loan outstanding. Mr. A repaid the loan with the following payments: Calculate the interest payments required till June 30 ?

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On February 15. Mr. A borrows $1000 on a demand loan (repayments are only principal component) from his bank. The interest payments required till June 30 is $150.

To calculate the interest payments required until June 30, we need to determine the outstanding balance of the loan at each interest payment date and calculate the interest rate based on that balance. The interest is calculated at a rate of 10% on the outstanding loan balance. By summing up the interest payments made on March 31 and June 30, we can determine the total interest payments required until June 30.

Mr. A borrowed $1000 on a demand loan and the interest is calculated at a rate of 10% on the balance of the loan outstanding. Let's calculate the interest payments required till June 30.

On February 15, the loan was taken, so no interest payment is required at that time.

On March 31, the outstanding balance of the loan would be $1000. Therefore, the interest payment for the first quarter

(February 16 - March 31) would be 10% of $1000, which is $100.

On June 30, the outstanding balance of the loan would depend on the repayment made by Mr. A. Let's assume that Mr. A made a partial repayment of $500 before June 30. The outstanding balance would then be

$1000 - $500 = $500

The interest payment for the second quarter (April 1 - June 30) would be 10% of $500, which is $50.

Therefore, the total interest payments required till June 30 would be $100 (March 31) + $50 (June 30) = $150.

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A strategy in which one group of the same individuals is studied over time, usually over several years or more, is known as the ______ approach to developmental research.

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A strategy in which one group of the same individuals is studied over time usually over several years or more is known as the longitudinal approach to developmental research.

The longitudinal approach aims to examine & understand the patterns & changes that occur in individuals' development across different stages of life. Researchers collect data from the same group of participants at multiple time points allowing them to track individual trajectories identify developmental milestones &investigate the continuity & discontinuity of various aspects of development.

By observing individuals over an extended period the longitudinal approach provides insights into the factors & processes that influence development & allows for the examination of long-term outcomes & developmental patterns within a single cohort.

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Calculate the takt time for a system where the total time per shift is 480 minutes, there is one shift, and workers are given two 15− minute breaks and 55 minutes for lunch. Daily demand is 302 units. (Round the final answer to 2 decimal places.) Takt time minutes per unit

Answers

To calculate the takt time, we need to subtract the non-working time (breaks and lunch) from the total time available and divide it by the daily demand.

Total time available per shift: 480 minutes

Breaks: 2 breaks x 15 minutes = 30 minutes

Lunch: 55 minutes

Working time per shift: 480 minutes - 30 minutes (breaks) - 55 minutes (lunch) = 395 minutes

Takt time = Working time per shift / Daily demand

Takt time = 395 minutes / 302 units ≈ 1.31 minutes per unit

Therefore, the takt time is approximately 1.31 minutes per unit.

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the globalization trend presents numerous benefits to scm including: removes distance barrier between markets/consumers consumers have greater product choices more supplier choices cost savings all of these

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The supply chain management benefits include removing barriers, greater product choices, and more supplier choices and cost savings. Thus, option D is correct.

The removal of the distance barrier between demands and consumers is the main honor of the globalization mania in supply chain management. This improves transportation and firms' investments in different countries and increases the expansion of business.

Globalization improves product choices for consumers. It gives multiple options to the clients to buy different products which helps price determination is done by the market. Customers have access to a global pool of suppliers for the products made by firms.

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The complete question is:

the globalization trend presents numerous benefits to SCM including:

a. removing distance barriers between markets/consumers

b. consumer having greater product choices

c. more supplier choices cost savings

d. all of these

Assume today is December 31,2017 . Imagine Works Inc. just paid a dividend of $1.25 per share at the end of 2017 . The dividend is expected to grow at 12% per year for 3 years, after which time it is expected to grow at a constant rate of 5.5% annually. The company is 9%. Using the dividend growth model (allowing for nonconstant growth), what should be the price of the company's stock today (December 31 , 2017)? Round your answer to the nearest cent. Do not round intermediate calculations. $ per share

Answers

The price of the company's stock today (December 31, 2017) should be $7.12 per share.

To calculate the price of the company's stock today, we will use the dividend growth model. Step 1: Calculate the dividend growth rate for the first 3 years. The dividend is expected to grow at 12% per year for 3 years. So, the growth rate for each year can be calculated as follows:

Year 1: Dividend growth rate = 12% * $1.25 = $0.15
Year 2: Dividend growth rate = 12% * ($1.25 + $0.15) = $0.18
Year 3: Dividend growth rate = 12% * ($1.25 + $0.15 + $0.18) = $0.19

Step 2: Calculate the dividend growth rate after the first 3 years.
After the initial 3 years, the dividend is expected to grow at a constant rate of 5.5% annually. So, the growth rate can be calculated as follows:Dividend growth rate = 5.5% * ($1.25 + $0.15 + $0.18 + $0.19) = $0.1

Step 3: Calculate the present value of the future dividends.
To calculate the present value of the future dividends, we need to discount each dividend by the required rate of return, which is 9% Present value of the dividend in Year 1 = $0.15 / (1 + 9%)^1 = $0.14
Present value of the dividend in Year 2 = $0.18 / (1 + 9%)^2 = $0.15
Present value of the dividend in Year 3 = $0.19 / (1 + 9%)^3 = $0.16

Step 4: Calculate the present value of the dividends after Year 3.
To calculate the present value of the dividends after Year 3, we use the constant growth rate of 5.5%. Present value of the dividends after Year 3 = $0.14 / (9% - 5.5%) = $6.67

Step 5: Calculate the price of the company's stock today.
The price of the stock today can be calculated by summing up the present values of the future dividends.\ Price of the stock today = $0.14 + $0.15 + $0.16 + $6.67 = $7.12

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An audit report prepared by Smithson and Gerard, CPA is shown below. The audit for the year ended December 31, 2007 was completed on March 17, 2008, and the report was issued to Jacob Corporation, a private company, on April 3, 2008. List any deficiencies in this report. Do not rewrite the report. At least ten deficiencies should be identified

We have examined the accompanying financial statements of Dalton Corporation as of December 31, 2007. These financial are the responsibility of the company’s management. Our responsibility is to express an opinion on these statements based on our audit.

We conducted our audit in accordance with the generally accepted accounting principles. Those principles require that we plan and perform the audit to provide reasonable assurance about whether the statements are free of misstatements. An audit includes examining, on a test basis, evidence supporting the amounts and disclosures in the financial statements. We believe that our audit provides a reasonable basis for our opinion.

In our opinion, except for the effects of not capitalizing certain lease obligation that should be capitalized in order to conform with generally accepted accounting principles, Jacob corporation as of December 31, 2005 in conformity with accounting principles generally accepted on the United States of America.

Smithson and Gerard, CPA’s

March, 2008

Answers

Based on the provided audit report, here are ten deficiencies that can be identified:

1. The report does not mention the specific financial statements that were examined.
2. The report does not provide any details about the responsibilities of the company's management.
3. The report does not mention the specific generally accepted accounting principles followed during the audit.
4. The report does not provide any details about the evidence examined during the audit.
5. The report does not mention the specific lease obligation that was not capitalized.
6. The report does not provide any details about the impact of not capitalizing the lease obligation.
7. The report does not provide any specific recommendations for the company to conform with generally accepted accounting principles.
8. The report does not mention any limitations of the audit or any potential risks.
9. The report does not provide any information about the qualifications or experience of the auditors.
10. The report does not mention any potential conflicts of interest or independence issues.

It is important to note that these deficiencies are based on the information provided in the given audit report.

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You can spend the evening studying or you can go to see a movie. You have an incentive to spend the evening studying if A. the marginal benefit from spending the evening studying is gre B. the marginal benefit from going to see a movie is less than the C. the marginal benefit from spending the evening studying is gre D. no tradeoff occurs by spending the evening studying The night before a history test, you decide to go to a club with friends instead of reviewing your notes. You get 80 percent on your test compared with the 85 percent that you normally score. You and the opportunity cost of your evening at the club was A. faced a tradeoff between a higher test score and an evening at the club; the mark of 80 percent on your exam B. did not face a tradeoff because you made the best choice; zero C. faced a tradeoff between a higher test score and an evening at the club; the 5 percent fall in your grade D. did not face a tradeoff because your roommates agreed you should go to a club with friends and not study; zero

Answers

For the first question: You have an incentive to spend the evening studying if: A. the marginal benefit from spending the evening studying is greater than the marginal benefit from going to see a movie.

Incentives are based on comparing the benefits and costs of different options. If the marginal benefit of studying (the additional benefit you receive from studying) is greater than the marginal benefit of going to see a movie, then you have an incentive to spend the evening studying. For the second question: You faced a tradeoff between a higher test score and an evening at the club; the 5 percent fall in your grade. Choosing to go to the club with friends instead of reviewing your notes for the history test resulted in a lower test score. This implies that you faced a tradeoff between a higher test score (which you normally score at 85 percent) and having an evening at the club. The 80 percent mark on your exam reflects the opportunity cost of your decision to go to the club instead of studying.

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Comparing ABC and Plantwide Overhead Cost Assignments Wellington Chocolate Company uses activity-based costing (ABC). The controller identified two activities and their budgeted costs: Setting up equipment is based on setup hours, and other overhead is based on oven hours. Wellington produces two products, Fudge and Cookies, Information on each product is as follows: 1. Calculate the activity rate for (a) setting up equipment and (b) other overhead. 2. How much total overhead is assigned to Fudge using ABC ? 3. What is the unit overhead assigned to Fudge using ABC? Round to the nearest cent. per unit 1. Calculate the activity rate for (a) setting up equipment and (b) other overhead. 2. How much total overtead is assigned to fudge using ABC ? 3. What is the unit overhead assigned to Fudge using ABC? Round to the nearest cent. per unit 4. Now, ignoring the ABC results, calculate the plantwide overhead rate, based on oven hours. per oven hour 5. How much total overhead is assigned to Fudge using the plantwide overhead rate? 6a. The difference in the total overhead assigned to Fudge is different under the ABC system and non-ABC system because 6b. What is the difference in total overhead assigned to fudge under the two methods? Do not round intermediate calculations.

Answers

ABC assigns overhead costs based on activities, while the non-ABC system uses a plantwide rate. This can lead to differences in the total overhead assigned to products.

1. To calculate the activity rate for setting up equipment, divide the budgeted cost for setting up equipment by the total setup hours. To calculate the activity rate for other overhead, divide the budgeted cost for other overhead by the total oven hours.

2. To determine the total overhead assigned to Fudge using ABC, multiply the activity rate for setting up equipment by the number of setup hours required for Fudge, and add it to the product of the activity rate for other overhead and the number of oven hours required for Fudge.

3. The unit overhead assigned to Fudge using ABC can be found by dividing the total overhead assigned to Fudge by the number of units of Fudge produced. Round this value to the nearest cent per unit.

4. To calculate the plantwide overhead rate, divide the total budgeted overhead costs by the total oven hours.

5. To determine the total overhead assigned to Fudge using the plantwide overhead rate, multiply the plantwide overhead rate by the number of oven hours required for Fudge.

6a. The difference in the total overhead assigned to Fudge is different under the ABC system and non-ABC system because the ABC system allocates overhead based on specific activities, while the non-ABC system uses a plantwide overhead rate based on a single cost driver.

6b. To find the difference in total overhead assigned to Fudge under the two methods, subtract the total overhead assigned to Fudge using ABC from the total overhead assigned to Fudge using the plantwide overhead rate. Do not round intermediate calculations.

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The purchasiog powet of maney and the price level is Answerk A - E ruersely related. pestively related buring rechesisns, but inversaly reiamd dutry rhanion. inversely relafod duing receasicra, but positively relatsd during iflaton. psotiveiy reianed. None of the ahove.

Answers

The purchasing power of money and the price level are inversely related during deflation, but positively related during inflation. Hence, the correct option is C.

The purchasing power of money is the amount of goods and services that can be purchased with a certain amount of money. It reflects the value of money. The price level is the average of all prices in the economy.

The relationship between the purchasing power of money and the price level can be explained using inflation and deflation. Inflation refers to a general rise in prices, and deflation refers to a general decrease in prices.

During inflation, the price level increases, which leads to a decrease in the purchasing power of money. This is because more money is needed to buy the same amount of goods and services. On the other hand, during deflation, the price level decreases, which leads to an increase in the purchasing power of money. This is because less money is needed to buy the same amount of goods and services. Therefore, the purchasing power of money and the price level are inversely related during deflation but positively related during inflation.

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Richard Posner is a US federal court judge who also writes on economic topics. A newspaper reporter summarized Posner's views on the effect of online bookstores and e-books on the demand for books: "Posner's [argument] is that the disappearance of bookstores is to be celebrated and not mourned, partly because e-books and online stores will reduce the cost of books and thus drive up demand for them." Source: Christopher Shea, "Judge Posner Hails the Demise of Bookstores," Wall Street Journal, January 13, 2011. Do you agree with Posner's statement, as given by the reporter? A. Yes, a bigger demand results when a product's cost declines. B. No, because the demand for a product is impacted only by changes in tastes, preferences, and the number of buyers. C. Yes, it is acceptable for non-economists to use economic terms casually and imprecisely. D. No, the accurate phrasing would be that "a reduced price drives up the quantity demanded."

Answers

The accurate phrasing would be that "a reduced price drives up the quantity demanded." Therefore, the answer is D. No, the accurate phrasing would be that "a reduced price drives up the quantity demanded."

The reporter's summary of Posner's views implies that the lower cost of books resulting from e-books and online stores would lead to an increase in demand for books. While it is true that a decrease in price can lead to an increase in the quantity demanded of a product, it is important to differentiate between "demand" and "quantity demanded." Demand refers to the overall desire or willingness to purchase a product at various price levels, while quantity demanded specifically refers to the quantity of a product consumers are willing and able to purchase at a given price.

Therefore, the statement in option D provides a more accurate phrasing by stating that a reduced price drives up the quantity demanded, rather than simply stating that a reduction in cost increases demand. It acknowledges the distinction between demand and quantity demanded and highlights the relationship between price and the specific quantity consumers are willing to purchase.

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: total labilites are 3120,700 . Your nondett labilibes, such as accourta payable, are forecastad to increase by 510,200 . What will be your nat new thancing needed for nent year? The net francing recuired will be 1 (Round to the nearest dolar.)

Answers

The net new financing needed for the next year is approximately $137,600, considering changes in net income, ending assets, beginning stockholders' equity, beginning total liabilities, and non-debt liabilities

To calculate the net new financing needed for the next year, we need to consider the changes in net income, ending assets, payout ratio, beginning stockholders' equity, beginning total liabilities, and non-debt liabilities.

Given:

Net income = $50,000

Ending assets = $503,900

Payout ratio = 10.3%

Beginning stockholders' equity = $295,100

Beginning total liabilities = $120,700

Increase in non-debt liabilities = $10,200

Net new financing needed = (Net income - Dividends) + (Ending assets - Beginning stockholders' equity) - (Beginning total liabilities + Increase in non-debt liabilities)

Net new financing needed = ($50,000 - ($50,000 * 10.3%)) + ($503,900 - $295,100) - ($120,700 + $10,200)

Net new financing needed = ($50,000 - $5,150) + ($208,800) - ($130,900)

Net new financing needed = $44,850 + $208,800 - $130,900

Net new financing needed = $122,750

Hence, the net new financing needed for the next year will be approximately $122,750. This calculation takes into account the changes in net income, ending assets, payout ratio, beginning stockholders' equity, beginning total liabilities, and non-debt liabilities, providing an estimate of the additional financing required for the upcoming period.

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Here is the complete question:

For the next fiscal year, you forecast net income of $50,000 and ending assets of $503,900. Your firm's payout ratio is 10.3%. Your beginning stockholders' equity is $295,100, and your beginning total abilities are $120,700. Your non-debt liabilities, such as accounts payable, are forecasted to increase by $10,200. What will be your net new financing needed for next year? The net financing required will be $ (Round to the nearest dollar)

you own a $1,000 face value lehman brothers hond with an 8% coupon, the bond matures in 20 years and it is callable in 5 years at a redemption proce of $1,020, the current price of the bond is $980. What is the yoeld to call on the bond?

Answers

The yield to call on the bond is approximately 8.91%. Bonds are debt securities issued by corporations, municipalities, and governments to raise capital.

To calculate the yield to call on the bond, we need to determine the yield rate that would make the present value of the bond's cash flows equal to its current price.

The cash flows for the bond can be broken down into two scenarios: the bond is called in 5 years or it is held until maturity in 20 years.

If the bond is called in 5 years, the cash flows would be:

Annual coupon payment: $1,000 * 8% = $80

Call redemption price: $1,020

If the bond is held until maturity in 20 years, the cash flows would be:

Annual coupon payment: $1,000 * 8% = $80

Face value at maturity: $1,000

To calculate the yield to call, we need to find the discount rate that makes the present value of these cash flows equal to the current price of $980.

Using a financial calculator or Excel, we can find that the yield to call on the bond is approximately 8.91%.

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What strategies would you use to optimize your slogan design to improve consumer recall? Check all that apply.

Phrase frequency Jingles Phrase complexity Phrase exposure Sight words Phrase length Rhyming

Answers

To optimize slogan design for improved consumer recall, strategies such as jingles, phrase exposure, sight words, and rhyming can be effective.

One effective approach is to incorporate catchy jingles into the slogan. Jingles create a memorable and melodic association with the brand or product, making them easier for consumers to remember.

Consistently displaying the slogan in advertisements, packaging, and digital platforms reinforces its presence in consumers' minds. Using visually impactful words or phrases that stand out can also improve recall.

Unique or visually striking elements in the slogan catch consumers' attention, making it more likely to be remembered. Another strategy is to incorporate rhymes or rhythmic patterns in the slogan. Rhymes create a natural flow and repetition, aiding in retention and recall.

Optimizing the design of a slogan involves considering phrase frequency, complexity, and length. Repeating the slogan consistently in marketing campaigns increases exposure and reinforces recall. Keeping the slogan simple and straightforward improves comprehension and makes it easier for consumers to remember.

By employing these strategies and tailoring them to the target audience, marketers can optimize slogan design to improve consumer recall and strengthen brand recognition.

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Which of the followings is NOT true?

Group of answer choices

Focus group is a method for primary data collection in marketing research.

A marketing researcher should specify constraints while developing the research plan.

Syndicated data are data gathered for public release and are not specific to any one client.

Assuming same amount of data, secondary data are typically more expensive than primary data.

Purchasing secondary data that fit your marketing research goal saves time compared to collecting your own primary data of similar size.

Answers


Focus group is a method for primary data collection in marketing research. This is true. Focus groups involve a small group of people discussing a particular topic, providing valuable primary data for marketing research.


A marketing researcher should specify constraints while developing the research plan. This is true. Specifying constraints helps in focusing the research and ensuring that it is conducted within certain limitations.
Syndicated data are data gathered for public release and are not specific to any one client.

This is true. Syndicated data refers to data collected by a third party and made available to multiple clients, usually for a fee. It is not specific to any one client. Assuming the same amount of data, secondary data are typically more expensive than primary data. This is NOT true.

Secondary data is usually less expensive compared to primary data. Primary data collection involves conducting surveys, interviews, experiments, etc., which can be costly, while secondary data can be obtained from existing sources at a lower cost.

Purchasing secondary data that fit your marketing research goal saves time compared to collecting your own primary data of similar size. This is true.

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What part do FedEx employees play to make the organization become more efficient?

Answers

In order for an organization to become more efficient, each employee must play a part. In the case of FedEx, there are a number of key roles that employees play in ensuring the company runs efficiently and smoothly.

Firstly, employees are responsible for ensuring packages are processed in a timely and efficient manner. This requires a number of different skills, including good organizational skills and attention to detail. Employees must also be familiar with the various shipping and delivery systems used by FedEx, and must be able to quickly and accurately enter information into these systems.

Secondly, employees are responsible for customer service. They must be knowledgeable about the various services offered by FedEx, and must be able to answer customer questions and resolve any issues that arise. This requires good communication skills and a friendly, professional demeanor.

Finally, employees must be willing to work together as a team in order to ensure the smooth running of the company. This means being willing to share knowledge, assist colleagues when needed, and work together to find solutions to any problems that arise.

Overall, each FedEx employee plays a critical role in the company's success. By working together as a team and focusing on their individual responsibilities, employees help to ensure that packages are processed quickly, customers are satisfied, and the company runs efficiently and effectively.

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Lucy Sportswear (LS) manufactures specialty t-shirts. LS uses a job-order cost system to cost t-shirts.

During August, LS manufactured Job # 2022-X200, an order requesting 5,000 t-shirts. The following costs were incurred: Actual Cotton and thread: $14,000. Actual Direct Labor: $4,500, at a rate of $15.00 per hour. Manufacturing Overhead was applied at a rate of $20.00 per Direct Labor hour incurred. Actual automated sewing machine hours incurred for the job was 600. 5,000 t-shirts were manufactured. Actual administrative costs for August were $20,000. Actual marketing costs for August were $15,000. Actual Manufacturing Overhead for August was $3,000.

What was total product cost per t-shirt for Job 2022-X200 using normal costing?

Answers

The total product cost per t-shirt for Job 2022-X200 using normal costing is $3.95 per t-shirt.

We know that in the normal costing method, actual direct materials and actual direct labor are used to calculate the total product cost. Manufacturing overhead is applied at a predetermined overhead rate that is based on estimated overhead costs and actual direct labor hours incurred.

According to the given information:Actual Cotton and thread = $14,000Actual Direct Labor = $4,500 at a rate of $15.00 per hour Manufacturing Overhead is applied at a rate of $20.00 per Direct Labor hour incurred.Actual automated sewing machine hours incurred for the job was 600.5,000 t-shirts were manufacturedUsing the above-given data, we can calculate the predetermined overhead rate as follows:

Predetermined overhead rate = Estimated overhead cost / Estimated activity level= ($20 * 4,500) / 1 = $90,000

Thus, the manufacturing overhead cost for the production of 5,000 t-shirts can be calculated as follows:

Manufacturing Overhead = Predetermined overhead rate * Actual activity level= $90,000 * (600 / 1) = $54,000Therefore, the total product cost per t-shirt for Job 2022-X200 using normal costing can be calculated as follows:

Total Product Cost = Direct Materials + Direct Labor + Manufacturing Overhead / Total number of units produced= ($14,000 + $4,500 + $54,000) / 5,000= $72,500 / 5,000= $14.50 per t-shirt

But we have to include the actual administrative costs and actual marketing costs in the calculation of total product cost.

Therefore, the total product cost per t-shirt can be calculated as follows:

Total Product Cost = Direct Materials + Direct Labor + Manufacturing Overhead + Actual administrative costs + Actual marketing costs / Total number of units produced= ($14,000 + $4,500 + $54,000 + $20,000 + $15,000) / 5,000= $107,500 / 5,000= $21.50 per t-shirt

Thus, the total product cost per t-shirt for Job 2022-X200 using normal costing is $21.50 per t-shirt.

However, this answer is based on the actual costs incurred. We need to find the total product cost per t-shirt using normal costing, which uses the predetermined overhead rate. Therefore, we need to calculate the manufacturing overhead based on the predetermined overhead rate.

Manufacturing Overhead = Predetermined overhead rate * Actual activity level= $90,000 * (600 / 1) = $54,000

Therefore, the total product cost per t-shirt can be calculated as follows:

Total Product Cost = Direct Materials + Direct Labor + Manufacturing Overhead / Total number of units produced= ($14,000 + $4,500 + $54,000) / 5,000= $72,500 / 5,000= $14.50 per t-shirt

Thus, the total product cost per t-shirt for Job 2022-X200 using normal costing is $14.50 per t-shirt.

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2-The Snickers Company Produces Two Chocolate Bars Called: Wunderbar And Hersheys. Both Chocolate Bars Must Have Up

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The Snickers Company produces two chocolate bars called Wunderbar and Hersheys .These two chocolate bars are part of the product line offered by the Snickers Company.

The Snickers Company, known for its popular Snickers chocolate bar, also produces two other chocolate bars called Wunderbar and Hersheys. These chocolate bars are part of the company's product line and offer different flavors and ingredients compared to the original Snickers bar. The Wunderbar chocolate bar is a Canadian candy bar that consists of caramel, peanut butter, and a crispy wafer, all covered in milk chocolate.

On the other hand, the Hersheys chocolate bar is a classic American chocolate bar that features a rich and creamy milk chocolate flavor. Both Wunderbar and Hersheys are enjoyed by chocolate lovers worldwide and provide a variety of taste options for consumers.

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Michael Jones borrowed $15,550 from a bank for three years. If the quoted rate (APR) is 6.45 percent, and the compounding is daily, what is the effective annual interest rate (EAR)? (Round answer to 2 decimal places, e.g. 15.25\%. Use 365 days for calculation.)

Answers

The effective annual interest rate for michael jones' loan is approximately 6.

to calculate the effective annual interest rate (ear) for a loan with daily compounding, we can use the formula:

ear = (1 + (quoted rate / number of compounding periods)of compounding periods - 1

in this case, the quoted rate (apr) is 6.45 percent, which needs to be converted to a decimal by dividing it by 100:

quoted rate = 6.45% / 100 = 0.0645

the compounding is daily, so the number of compounding periods per year is 365.

now we can calculate the effective annual interest rate (ear):

ear = (1 + (0.0645 / 365))- 1

by calculating the above expression, the effective annual interest rate (ear) is approximately 6.60%. 60%.

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You've convinced the CEO to stay put. Now your challenge is to choose the best customer relationship management (CRM) approach. Susan believes that all members are equally important to the business, and have the same potential to contribute to the bottom line. She is convinced that everyone expects and deserves to get the same offerings and prices. In fact, she thinks some people will be offended if others receive exclusive benefits. Members who feel offended may switch to the competition, and you certainly don't want to lose more membership fees. But you know that members differ significantly in their long-term value to the business. For example, some routinely pay extra for one-on-one treatments while others never do. Almost 80 percent of new referrals have come from only 20 percent of current customers. Maybe you should design a program to recognize and take advantage of customer lifetime value (CLV) differences.

What is the best CRM strategy?

Treat all customers equally

create a differentiated approach based on CLV

Answers

The best CRM strategy in this scenario would be to create a differentiated approach based on customer lifetime value (CLV). While Susan believes in treating all members equally, it is important to acknowledge that customers differ significantly in their long-term value to the business.

By designing a program that recognizes and takes advantage of CLV differences, you can ensure that you are maximizing the potential of your high-value customers and providing them with tailored offerings and prices. This approach allows you to focus your resources and efforts on the customers who have the greatest impact on the bottom line, while still providing satisfactory service to all members. By doing so, you can increase customer loyalty and minimize the risk of losing membership fees from customers who may be offended by exclusive benefits given to others.

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PIN Ltd is a firm that has been underperforming for many years and has just had a change in management. The new management team have just made an announcement that they expect to start paying an annual dividend 3 years from today, and they expect that after the initial dividend of $4 it will grow at a constant rate of 4% per annum. The required rate of return for PIN Ltd shares is 16% per annum. Which of the following is closest to the value of PIN Ltd shares?

A) $29.60

B) $33.75

C) $24.77

D) $21.36

Answers

Based on the given information, the value of PIN Ltd shares is approximately $33.75. This conclusion is reached by analyzing the available data and financial indicators related to the company.

To find the value of PIN Ltd shares, we can use the dividend discount model (DDM). The formula for DDM is:
Value of shares = Dividend / (Required rate of return - Dividend growth rate)
In this case, the dividend in year 3 is expected to be $4, and the dividend growth rate is 4% per annum. The required rate of return is 16% per annum.
Using the formula, we can calculate the value of shares:
Value of shares = $4 / (0.16 - 0.04)
Value of shares = $4 / 0.12
Value of shares = $33.33 (rounded to two decimal places)
The closest value to $33.33 among the given options is option B) $33.75. Therefore, the value of PIN Ltd shares is closest to $33.75.

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