the cash records and the bank statement of frankel company showed the following at the end of february: outstanding checks as of the beginning of february, $12,000; checks written by frankel company according to its books during february, $55,600; and checks cleared by the bank during february, $58,000. what was the amount of the outstanding checks at the end of february?

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Answer 1

The amount of outstanding checks at the end of February for Frankel Company would be $9,400.

To calculate the outstanding checks, we need to consider the checks written by Frankel Company during February and subtract the checks cleared by the bank during that month.

Checks written by Frankel Company during February: $55,600

Checks cleared by the bank during February: $58,000

To find the outstanding checks, we subtract the cleared checks from the checks written:

Outstanding checks = Checks written - Checks cleared

Outstanding checks = $55,600 - $58,000

Outstanding checks = -$2,400

However, since the outstanding checks at the beginning of February were given as $12,000, we need to add that amount to the calculation:

Outstanding checks at the end of February = Outstanding checks at the beginning of February + Outstanding checks during February

Outstanding checks at the end of February = $12,000 + (-$2,400)

Outstanding checks at the end of February = $9,400

Therefore, the amount of outstanding checks at the end of February for Frankel Company is $9,400.

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the prolouge gives information to the vieiwer or reader. what do you learn aboit the fate of the two lobers and the feud between th etwo families from yhese dourteen lines

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In the prologue of the story, we learn about the fate of the two lovers and the feud between their families. The prologue sets the scene for the rest of the story and gives the reader important information about what is to come.

We learn that the two lovers, Romeo and Juliet, are from rival families, the Montagues and the Capulets, who have been feuding for years.

The prologue tells us that the lovers will ultimately take their own lives, which suggests that their love will be doomed from the start. The prologue also implies that the feud between the families will play a significant role in the story and will ultimately contribute to the tragic end of the young lovers.

In short, the prologue gives us insight into the main conflict of the story and foreshadows the tragic fate of the two lovers.

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Which of the following guidelines should be followed for preparing good visual presentations? A. Avoid developing the slides in a sequence because they may fail to engage the audience. B. Begin a visual presentation with recommendations and research implications as they pertain to the study at hand. C. Begin with a slide showing the title of the presentation and the name of the individual presenting D. Avoid identifying the marketing research firm in a visual presentation

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The correct guideline for preparing good visual presentations is option C, which is to begin with a slide showing the title of the presentation and the name of the individual presenting. The correct answer is option (c).

This helps to establish credibility and introduce the topic to the audience. As developing the slides in a sequence is important to ensure a logical flow of information and keep the audience engaged. Visual presentations as the recommendations and research implications may be more effectively presented later in the presentation. Additionally, it is essential to maintain a logical sequence throughout the presentation, properly address marketing research findings, and provide recommendations when appropriate.

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Select the statement that correctly portrays HR responsibilities for most line managers that oversee employee associates. Multiple Choice Line Mongeto con rely on HR to take care of terminating problem employees Line Managers never interview job candidates Line Managers typically consult with HR to handle many employee issues O Line Managers do not need to be concerned about the legalities of HR

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The correct statement that portrays HR responsibilities for most line managers overseeing employee associates is: Line Managers typically consult with HR to handle many employee issues.

Line managers often work closely with HR departments to handle various employee-related matters such as performance management, employee development, conflict resolution, and policy interpretation. While HR may assist with terminating problem employees, line managers are still involved in the process and work in collaboration with HR. Line managers are also typically responsible for interviewing job candidates, although HR may be involved in the recruitment and selection process. Additionally, line managers need to be aware of the legalities and compliance requirements related to HR practices to ensure they are managing employees in accordance with applicable laws and regulations.

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Which of the following is NOT typically a trigger to an evolving strategy?

A. the need to keep strategy in step with changing circumstances, market conditions, and changing customer needs and expectations

B. the proactive efforts of company managers to fine-tune and improve one or more pieces of the strategy

C. the need to abandon some strategy features that are no longer working well

D. the need to respond to the newly initiated actions and competitive moves of rival firms

E. the need to respond to short-term swings in the stock market

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The correct option is E. The need to respond to short-term swings in the stock market is not typically a trigger to an evolving strategy.

Short-term swings in the stock market do not necessarily indicate changes in market conditions or customer needs and expectations. Evolving strategies should be based on long-term factors that impact the company's competitive position in the market. Therefore, short-term stock market fluctuations are not typically a primary driver of strategy evolution. An evolving strategy is typically triggered by factors like changing circumstances, market conditions, customer needs, proactive management efforts, and competitive moves by rivals. Short-term stock market swings are not a typical trigger for strategy evolution, as they do not necessarily reflect the company's long-term performance or strategic needs.

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what role does the u.s. government play with respect to market competition?

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The U.S. government plays a crucial role in promoting and maintaining market competition. The government's primary objective is to ensure fair and competitive markets that benefit consumers and promote economic growth. It achieves this through various mechanisms and institutions.

One key role of the U.S. government is the enforcement of antitrust laws. These laws aim to prevent monopolistic practices and promote competition by prohibiting anti-competitive behaviors such as price fixing, market allocation, and abuse of market dominance. Government agencies like the Federal Trade Commission (FTC) and the Department of Justice (DOJ) are responsible for investigating and taking legal action against companies engaged in anti-competitive practices. Additionally, the U.S. government establishes regulatory bodies and policies to oversee specific industries and sectors. These regulatory bodies, such as the Federal Communications Commission (FCC) or the Securities and Exchange Commission (SEC), monitor and ensure fair competition within their respective sectors.

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the stock market boom of the late 1990s was fueled in part by high-level corporate fraud. true or false

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True. The stock market boom of the late 1990s was indeed fueled in part by high-level corporate fraud, which included accounting scandals. This type of fraudulent activity caused economic damage and ultimately contributed to the market crash of the early 2000s.
True, the stock market boom of the late 1990s was fueled in part by high-level corporate fraud. Accounting scandals and unethical practices contributed to the rapid growth, which later caused significant economic damage when the truth was revealed. The stock market in the United States had a rapid surge at the conclusion of the 1990s decade, causing consumption to grow in the country. Economists now refer to this consequence as the Wealth Effect.

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The four major factors that determine what a firm charges for its products can be found in each of the categories below except:

A. costs
B. competitive factors.
C. regulatory factors.
D. introductory price offers
E. demand

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The four major factors that determine what a firm charges for its products can be found in each of the categories below except  introductory price offers. The correct answer is option d.

The four major factors that determine what a firm charges for its products typically include costs, competitive factors, regulatory factors, and demand.

These factors are interconnected and influence pricing decisions. Costs refer to the expenses incurred by the firm in producing, distributing, and promoting the product.

Competitive factors consider the prices set by rival companies and the competitive landscape in the market. Regulatory factors encompass government regulations, taxes, and legal requirements that may affect pricing decisions.

Demand reflects the customers' willingness and ability to pay for the product. By assessing these factors, a firm can establish a pricing strategy that aligns with its goals and market conditions.

However, the option that does not belong in these categories is option D. introductory price offers, as it is a specific pricing tactic rather than a major factor influencing overall pricing decisions.

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Seth is a licensee representing seller Dora. Which of these items is Seth required to disclose to prospective buyers about the property?
Dora doesn't use the back door because the steps leading to the yard are rotted.
Dora keeps sunflowers planted in the back yard because the local birds can eat the seeds.
The neighborhood kids like to ride their bikes in Dora's driveway.
The pink geraniums in the window boxes are fake.

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As a licensee representing seller Dora, Seth is required to disclose any material facts about the property that could affect a buyer's decision to purchase the property. In this case, the fact that Dora doesn't use the back door because the steps leading to the yard are rotted is a material fact that must be disclosed to prospective buyers.

The fact that Dora keeps sunflowers planted in the backyard and the neighborhood kids like to ride their bikes in the driveway may be considered non-material facts and do not necessarily need to be disclosed. The fact that the pink geraniums in the window boxes are fake may also be considered non-material, but it is still good practice to disclose this information as it could affect a buyer's perception of the property. In summary, Seth is required to disclose any material facts about the property to prospective buyers and should use good judgment when deciding what information to disclose.

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before accepting an engagement to audit a new client, a cpa is required to obtain

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Before accepting an engagement to audit a new client, a CPA is required to obtain the prospective client's management approval and perform necessary pre-engagement procedures, including conducting inquiries with the predecessor auditor, assessing the integrity of management, and evaluating their ability to comply with ethical requirements and professional standards.

Before accepting an engagement to audit a new client, a CPA is required to obtain information about the client's business, its operations, and its financial statements. The CPA must also evaluate the risks involved in the engagement and assess whether they have the necessary skills and resources to perform the audit effectively. Additionally, the CPA must comply with professional standards and ethical guidelines when accepting and performing the audit engagement.

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the whirlpool company created a house filled with company products so that salespeople could

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Creating a house filled with company products serves as an effective marketing strategy for Whirlpool to showcase their appliances in a practical and compelling manner, ultimately driving sales and brand loyalty.

Demonstrate and promote their products to potential customers. This concept, known as a "model home" or a "showroom," is a common marketing strategy employed by companies in various industries. In the case of Whirlpool, creating a house filled with their products allows salespeople to showcase the features, functionality, and design of their appliances in a realistic setting. Potential customers can see how Whirlpool products can fit into their own homes and imagine how they would enhance their daily lives. This type of immersive experience can be beneficial for both the salespeople and the customers. Salespeople can effectively demonstrate the capabilities and advantages of Whirlpool appliances, highlighting their quality, energy efficiency, and innovative features. Customers, on the other hand, have the opportunity to interact with the products, ask questions, and gain a better understanding of how they would integrate into their homes. By providing a tangible and interactive experience, Whirlpool's model home creates a conducive environment for salespeople to engage with customers, build trust, and potentially increase sales. It allows customers to make more informed purchasing decisions and fosters a connection between the brand and the customer. Overall, creating a house filled with company products serves as an effective marketing strategy for Whirlpool to showcase their appliances in a practical and compelling manner, ultimately driving sales and brand loyalty.

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question 1: how did the civil war affect the development of the northern economy and southern economy differently? how did the economic welfare of the former slaves in the south change? what change had the largest impact on their welfare

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The Civil War had contrasting effects on the economies of the North and the South. The Northern economy experienced significant growth and industrialization.

 due to increased government spending on war supplies, infrastructure development, and technological advancements.

In contrast, the Southern economy suffered extensive damage from the war's destruction, including loss of labor and infrastructure.

Regarding the economic welfare of former slaves in the South, their situation varied. Initially, the Emancipation Proclamation granted them freedom, but they faced immense challenges due to limited access to resources, discrimination, and exploitative labor arrangements. The largest impact on their welfare came with the passage of the 13th Amendment in 1865, abolishing slavery, which formally recognized their freedom and opened doors for progress towards economic independence and social mobility.

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the total revenue of a purely competitive firm from selling 5 units of output is $50. based on this information, total revenue for 8 units of output must be

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Based on the information given, the total revenue for 8 units of output must be $80 for a purely competitive firm.

Based on the information provided, a purely competitive firm has a total revenue of $50 when selling 5 units of output. In a purely competitive market, the price remains constant, regardless of the quantity produced or sold. To find the total revenue for 8 units of output, we can first determine the price per unit and then calculate the total revenue for 8 units.

Since the total revenue from selling 5 units is $50, we can find the price per unit by dividing the total revenue by the number of units:

Price per unit = Total revenue / Number of units
Price per unit = $50 / 5
Price per unit = $10

Now that we know the price per unit ($10), we can calculate the total revenue for selling 8 units of output:

Total revenue for 8 units = Price per unit * Number of units
Total revenue for 8 units = $10 * 8
Total revenue for 8 units = $80

So, based on the given information, the total revenue for a purely competitive firm when selling 8 units of output would be $80.

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all of the following are examples of business-to-business (b2b) business models except:

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Business-to-business (B2B) refers to the transactions that occur between businesses rather than between businesses and individual consumers. In a B2B business model, companies sell products or services to other companies that use them to operate and run their own business.

B2B models are important because they help businesses to streamline their supply chain, reduce costs, and improve efficiency.
Examples of B2B business models include wholesalers, manufacturers selling to distributors, software companies selling to other businesses, and consulting firms. These businesses typically sell in large quantities and have long-term relationships with their customers.
To answer the question, all of the following are examples of B2B business models except is not specified. Therefore, it is difficult to provide an answer to this question without additional information. However, it is important to note that B2B models vary widely and can be customized to fit the needs of different businesses. Understanding the various B2B models is crucial for businesses looking to expand their operations and reach new customers.

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revision is a step-by-step process. revision for ________________________ should be done first.

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Revision is a step-by-step process. Revision for key concepts and main ideas should be done first.

What does it entail?

When it comes to prioritizing what to revise first, it is important to consider the intended audience and purpose of the writing. In other words, revision for clarity and organization should be done first.

This means ensuring that the main points are clearly stated, the writing flows logically, and transitions between ideas are smooth. Additionally, checking for proper grammar, punctuation, and sentence structure should also be included in this first round of revision.

By focusing on clarity and organization initially, the writer can create a strong foundation for the rest of the revision process and ultimately create a polished and effective piece of writing.

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any information that a business possesses which gives the business an advantage over competitors is called:

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Any information that a business possesses which gives the business an advantage over competitors is called: proprietary information

This information includes various forms of knowledge, data, or expertise that is unique to the business and not easily replicable by competitors. Proprietary information can take different forms, such as trade secrets, patents, trademarks, copyrights, or exclusive rights to certain processes, technologies, or designs.

It encompasses valuable insights, market research, customer data, innovative ideas, strategic plans, formulas, algorithms, and any other confidential information that provides the business with a competitive edge and enhances its market position. Safeguarding and leveraging proprietary information is crucial for businesses to maintain their competitive advantage and protect their market share.

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An individual is purchasing a permanent life insurance policy with a face value of $25000. While this is all the insurance that he can afford at this time, he wants to be sure that additional coverage will be available in the future. Which of the following options should be included in the policy

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When an individual is purchasing a permanent life insurance policy with a face value of $25,000, it is important to include options that will allow for additional coverage in the future. One such option is the ability to increase the face value of the policy. This is known as the policy's death benefit or face amount.

Another option to consider is the ability to increase the premiums that are paid into the policy. This is known as the policy's cash value. As the policy accumulates cash value, the individual may be able to increase the premiums that are paid into the policy, allowing for additional coverage in the future.

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the major asset of savings institutions is ______; whereas ______ are the primary source of funds.

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Loans are the most valuable asset of savings institutions, whereas deposits are the principal source of cash.

Savings institutions, such as banks or credit unions, typically make loans to individuals and businesses. These loans can be in the form of mortgages, personal loans, or business loans. The interest earned from these loans is a major asset for savings institutions, as it generates income for the institution.

On the other hand, deposits are the primary source of funds for savings institutions. Depositors, including individuals and businesses, place their money in savings accounts, checking accounts, or certificates of deposit (CDs) offered by these institutions.

The deposits serve as a source of liquidity and funds that the savings institutions can use to make loans and investments. Deposits also provide a stable funding base for the institution's operations.

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How should an analyst most appropriately adjust the financial statements of a firm that uses operating leases to finance its plant and equipment? Increase long-lived assets. Decrease shareholders' equity, Decrease liabilities.

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To appropriately adjust the financial statements of a firm that uses operating leases to finance its plant and equipment, an analyst should **increase long-lived assets**, **decrease liabilities**, and **increase shareholders' equity**.

Operating leases are not recorded as assets or liabilities on the balance sheet under the traditional accounting framework. However, to provide a more accurate representation of the firm's financial position, analysts often adjust the financial statements by recognizing the impact of operating leases.
Increasing long-lived assets reflects the recognition of the leased assets that are being utilized by the firm. These assets should be included on the balance sheet to provide a comprehensive view of the company's holdings.
Decreasing liabilities reflects the adjustment made to remove the lease obligations from the liabilities section of the balance sheet. Operating leases represent contractual obligations, and by removing them from the liabilities, it reflects a more realistic representation of the firm's financial obligations.
Increasing shareholders' equity is necessary to maintain the balance sheet equation (Assets = Liabilities + Shareholders' Equity) after recognizing the leased assets and adjusting the liabilities.
By making these adjustments, the financial statements will provide a more accurate and transparent view of the firm's financial position, reflecting the impact of operating leases on its assets, liabilities, and shareholders' equity.

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when does a deficiency judgment come into play in a foreclosure? as a lender technique to initiate a non-judicial foreclosure in a judicial foreclosure when a court validates the lender's request to initiate foreclosure proceedings when a foreclosure sale does not cover the outstanding debt as an alternative to a foreclosure

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A deficiency judgment comes into play in a foreclosure when a foreclosure sale does not cover the outstanding debt.

In a foreclosure, the lender typically has the right to sell the property to recover the outstanding debt owed by the borrower. However, if the proceeds from the foreclosure sale are not sufficient to cover the full amount owed, a deficiency occurs. The deficiency is the difference between the outstanding debt and the sale proceeds.

In such cases, the lender may seek a deficiency judgment from the court. A deficiency judgment is a court order that holds the borrower personally liable for the remaining debt. The lender can then pursue collection actions against the borrower to recover the deficiency amount.

It's important to note that the availability and process of obtaining a deficiency judgment can vary depending on the jurisdiction and the specific terms of the mortgage or foreclosure laws in place. Some jurisdictions may prohibit deficiency judgments or have specific requirements for their application. Therefore, it's advisable to consult local laws and regulations or seek legal advice for accurate information regarding deficiency judgments in a specific foreclosure situation.

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a competitive price-taker firm's marginal cost curve is regarded as its supply curve because

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A competitive price-taker firm's marginal cost curve is regarded as its supply curve because it represents the minimum price at which the firm is willing to sell each unit of output, given its production costs.

In a perfectly competitive market, firms are price-takers, meaning that they cannot influence market prices and must accept the prevailing market price for their goods and services.

Because competitive firms cannot influence prices, they must adjust their output levels to match demand at the prevailing market price. In order to maximize profits, a competitive price-taker firm will produce at the level where marginal cost equals the market price. This point of production corresponds to the intersection of the firm's marginal cost curve and the market price.

Thus, the marginal cost curve for a competitive firm represents the cost of producing each additional unit of output. It is also the minimum amount that the firm is willing to accept for each unit produced, given its cost structure. Therefore, the marginal cost curve is a natural representation of the firm's supply curve, as it describes how much output the firm is willing and able to supply at each given price in the market.

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in an economy, the marginal propensity to concume is 0.9, and gross domestic product gdp is 100 billion. if gross private deomestic investment declines by 2 billion, then gdp willl

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If the marginal propensity to consume is 0.9 and gross private domestic investment declines by 2 billion in an economy with a GDP of 100 billion, then the GDP will decrease by 20 billion.

The marginal propensity to consume (MPC) refers to the proportion of additional income that individuals or households choose to spend on consumption. In this case, an MPC of 0.9 indicates that for every additional unit of income, 90% will be spent on consumption.

To calculate the change in GDP resulting from a change in gross private domestic investment, we can use the formula: ΔGDP = Change in investment × (1/MPC).

Given that gross private domestic investment declines by 2 billion, we can substitute these values into the formula: ΔGDP = -2 billion × (1/0.9).

Calculating the expression, we find that ΔGDP = -2.22 billion. Since GDP represents the total value of goods and services produced in an economy, a negative change indicates a decrease in GDP.

Therefore, the GDP will decrease by approximately 20 billion in response to a 2 billion decline in gross private domestic investment, based on the given MPC of 0.9. This demonstrates the impact of changes in investment on overall economic output.

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if you want to post your résumé on a job website, you should

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Posting your résumé on a job website is a beneficial step in today's digital job market. It increases your visibility to potential employers and allows you to access a wide range of job opportunities.

When you post your résumé on a job website, you significantly enhance your chances of being discovered by employers. These websites often have extensive networks and attract a large number of employers searching for suitable candidates. By making your résumé available on these platforms, you increase your visibility and expand your reach to a broader audience of potential employers.

Furthermore, job websites provide convenient tools and features that make the job search process more efficient. They often allow you to create a profile, upload your résumé, and customize your search preferences. This enables employers to find your profile based on their specific criteria, such as skills, experience, and qualifications. Additionally, many job websites offer email alerts and notifications for new job postings that match your interests, keeping you updated on relevant opportunities.

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If a project could have a bad outcome
A) the discount rate should be increased
B)the market risk premium should be revised downward C)the beta should be increased
D) expected cash flows should be adjusted downward to reflect this possibility

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The correct answer is D) expected cash flows should be adjusted downward to reflect this possibility. When a project has the potential for a bad outcome, it means there is a higher risk associated with the project's cash flows.

To account for this risk, the expected cash flows should be adjusted downward. By adjusting the cash flows, the negative possibility is factored into the analysis, leading to a more accurate assessment of the project's expected value.

Increasing the discount rate (option A) would only reflect a higher required return due to increased risk but wouldn't specifically address the bad outcome.

Revising the market risk premium (option B) and increasing the beta (option C) would also adjust the required return but may not directly address the potential negative outcome. Adjusting the expected cash flows (option D) is the most appropriate action to reflect the possibility of a bad outcome.

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many transnational companies do not know how to cope with the mixed economic system in china.

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Coping with a mixed economic system in China can be challenging for many transnational companies.

China's mixed economic system combines elements of both capitalism and socialism, which can create a complex business environment for foreign companies. While China has opened up its market to foreign investment, there are still regulations and policies that may limit or hinder business operations. Additionally, the government has a strong influence on many industries, and navigating the bureaucratic processes can be difficult. Cultural differences and language barriers can also add to the challenges. To cope with these issues, companies may need to seek guidance from local experts, build relationships with government officials, and adapt to the unique business practices and norms in China. It is important to do thorough research and due diligence before entering the market to fully understand the risks and opportunities.

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which of the following is an important characteristic of a normal knowledgeable investor?does not believe in scientific evidences. understands the consequences of bias in an investment process. always displays rationality.does not understand the consequences of bias in an investment process.

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An important characteristic of a normal knowledgeable investor is to understand the consequences of bias in an investment process.

Bias can affect an investor's decision-making process and lead to poor investment choices. A knowledgeable investor recognizes this and takes steps to minimize bias, such as conducting thorough research, seeking diverse perspectives, and avoiding emotional reactions.

A knowledgeable investor not only understands the consequences of bias but also displays rationality and critical thinking skills when evaluating investment opportunities. They do not rely solely on emotions or personal beliefs but instead analyze data and information to make informed decisions. Additionally, a knowledgeable investor is open to scientific evidence and seeks to incorporate it into their investment strategies when applicable. By being aware of biases and using rationality, a knowledgeable investor can make sound investment decisions that lead to long-term success.

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.As part of a leadership development program at your company, you are about to be assigned to a global cross-functional project team. The team has members from 6 different countries that you haven't visited before and don't know of any colleagues that have worked in these countries. The opportunity is exciting and will increase your exposure to the executive team, which means it's a big deal to you chances for promotion. Which of the following actions would be the LEAST helpful in building your cultural competence ?

Select : 1

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Learn about the rules of interpersonal communication for each of the countries.

Participate in training that focuses on the competencies needed to succeed in multi-national environments.

Look up the different team members’ profiles online to understand their skills or expertise.

Set actionable development goals focused on learning effective cross-cultural skills

Answers

The least helpful action in building cultural competence would be to only look up the different team members' profiles online to understand their skills or expertise. The correct option is C.

While this may be helpful in understanding their professional background, it does not address the need for understanding cultural norms and communication styles that are important in building relationships with team members from different countries.

To effectively work with a global cross-functional team, it is crucial to participate in training that focuses on the competencies needed to succeed in multi-national environments, learn about the rules of interpersonal communication for each country, and set actionable development goals focused on learning effective cross-cultural skills. This will help in developing a deep understanding of the cultural nuances and communication styles of the team members, which in turn will help in building trust, collaboration, and a sense of community within the team. It will also demonstrate a commitment to building cultural competence, which is a valuable skill in today's global business environment.

The other options focus on learning effective cross-cultural skills and gaining knowledge about interpersonal communication specific to each country, which are more beneficial for enhancing your cultural competence. The correct option is C.

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suppose the figure to the right depicts an economy where the expected future exchange rate, , is fixed. an open-market expansion of the money supply in this zero-interest economy would

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An open-market expansion of the money supply in a zero-interest economy with a fixed expected future exchange rate would increase aggregate demand, potentially lead to inflation, and have limited short-term impact on the exchange rate.

How does open-market money supply expansion affect a zero-interest economy with a fixed exchange rate?

The question is asking for an explanation of how an open-market expansion of the money supply affects a zero-interest economy with a fixed exchange rate. In such an economy, increasing the money supply through open-market operations has several implications.

Firstly, it boosts aggregate demand as people have more money to spend, potentially stimulating economic activity.

However, this increase in the money supply can also lead to inflation by raising prices and reducing the purchasing power of money.

In the short run, the fixed exchange rate may not be directly affected, but if the inflation rate outpaces other countries, it can put downward pressure on the exchange rate over time.

The effects of this expansion depend on various factors and can impact different economic agents differently.

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Lights, Camera, and More sells filmmaking equipment. The company offers three purchase options: (1) pay full cash today, (2) pay onehalf down and the remaining one-half plus 10% in one year, or (3) pay nothing down and the full amount plus 15% in one year. George is considering buying equipment from Lights, Camera, and More for $60,000 and therefore has the following payment options: Required: 1-a. Assuming an annual discount rate of 11%, calculate the present value and the total cost. 1-b. Which option's cost has the lowest present value? Complete this question by entering your answers in the tabs below. Assuming an annual discount rate of 11%, calculate the present value and the total cost

Answers

Assuming an annual discount rate of 11%, the present value and the total cost for each payment option can be calculated as follows:

Option 1: Pay in full cash today

The present value is equal to the full cash amount since there are no future payments. Therefore, the present value is $60,000, and the total cost is also $60,000.

Option 2: Pay one-half down and the remaining one-half plus 10% in one year

The present value can be calculated using the formula:

PV = D1 / (1 + r) + D2 / (1 + r)^2

Where:

PV = Present value

D1 = Down payment

D2 = Final payment

r = Discount rate

Using the values given:

PV = $30,000 / (1 + 0.11) + ($30,000 + 0.1 * $30,000) / (1 + 0.11)^2

PV = $26,126.76

The total cost is the sum of the down payment and the final payment:

Total cost = $30,000 + ($30,000 + 0.1 * $30,000) = $63,000

Option 3: Pay nothing down and the full amount plus 15% in one year

The present value can be calculated using the formula:

PV = D / (1 + r)

Where:

D = Future payment

r = Discount rate

Using the values given:

PV = ($60,000 + 0.15 * $60,000) / (1 + 0.11)

PV = $48,739.73

The total cost is the future payment plus any down payment:

Total cost = $60,000 + ($60,000 + 0.15 * $60,000) = $81,000

1-b. The option with the lowest present value is option 2: Pay one-half down and the remaining one-half plus 10% in one year. The present value for this option is $26,126.76, which is lower than the present values for the other options ($48,739.73 for option 3 and $60,000 for option 1). Therefore, option 2 has the lowest cost in terms of present value.

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Which of the following is true of the historical simulation method for calculating VaR?a. It fits historical data on the behavior of variables to a lognormal distributionb. It assumes that what will happen in the future is a random sample from what has happened in the pastc. It uses Monte Carlo simulation to create random future scenariosd. It fits historical data on the behavior of variables to a normal distribution

Answers

The statement that is true of the historical simulation method for calculating VaR (Value at Risk) is: b. It assumes that what will happen in the future is a random sample from what has happened in the past.

The historical simulation method for VaR calculation relies on the assumption that the future behavior of variables can be approximated by the historical data. It assumes that the observed historical data represents a random sample from the same underlying distribution that will generate future outcomes. By analyzing the historical data, the method estimates the potential loss at a certain level of confidence, assuming that the future will behave similarly to the past.

Option a is incorrect because the historical simulation method does not assume a specific distribution, such as a lognormal or normal distribution. Option c is incorrect because Monte Carlo simulation is a different approach that involves generating random scenarios. Option d is incorrect because the method does not fit the data to a specific distribution like the normal distribution.


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collusion between two firms occurs when firms explicitly or implicitly agree to adopt a uniform business strategy. the firms independently pursue strategies that could hurt each other. announce that each will match its rival's market price. firms act altruistically to bring about the economically efficient outcome.

Answers

Collusion is an anti-competitive practice that occurs when two or more firms agree to work together to achieve a common goal, usually by coordinating their business strategies.

In this context, collusion occurs when two firms agree to adopt a uniform business strategy, such as matching each other's market price. This type of collusion is often illegal, as it can harm competition and lead to higher prices for consumers. When two firms collude to match each other's market price, they are essentially creating a duopoly, where they dominate the market and control the prices. This can lead to higher prices for consumers and reduced choice. However, if the firms act altruistically and collaborate to bring about an economically efficient outcome, this type of collusion can be beneficial.
For example, if two firms in a market are both producing a product at a high cost, they may agree to collude and match each other's prices to ensure that they both remain profitable. This can lead to a more stable market and prevent a price war that could harm both firms.
Overall, while collusion can have negative effects on competition, it is important to understand the context in which it occurs and the motivations behind it. If firms act in the interest of the economy as a whole, collusion can lead to a more efficient market outcome. However, if firms collude solely for their own benefit, it can lead to anti-competitive behavior and harm consumers.

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