What accounting problems might exist in combining the accounting systems of two businesses?

Answers

Answer 1

There would be many obstacles to anticipate with in deal and the accounting for it, thus there may be issues when combining the accounting systems.

Is accounting difficult?

Even though accounting does require a complex set of knowledge and skills as well as exceptional thoroughness, it isn't actually that much more hard than a lot of other popular academic fields that offer fantastic opportunities for lifetime jobs.

Do accountants have to be mathematicians?

You already possess the excellent math and analytical abilities that accountants need. In order to solve difficulties, accountants frequently use a combination of quantitative analysis, corporate strategy, legal concerns, and economic factors.

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Related Questions

one way the government helps increase economic productivity is by

Answers

Governments can boost labor productivity and economic growth by encouraging investment in human capital.

What is Economic boom and why is it important?

Economic growth increases government capacity and the supply of public goods. As economy grows, the state taxes these revenues, providing the capacity and resources necessary to provide the public goods and services that citizens need, such as health care, education, social protection, and basic public services. You can get

How you can measure economic growth?

The most common way to measure an economy is real gross domestic product or real GDP. GDP is the sum of all goods and services produced in our economy. The word "real" means that the total is adjusted to remove the effects of inflation.

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in the management in action case it is evident that the changs did not effectively manage for technological advances. how could they have done this?

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There are several ways in which the management in the case could have effectively managed for technological advances are 1)Staying informed, 2)Investing in technology and 3)Encourage innovation.

1)Staying informed: Management should stay informed about the latest technological advancements in their industry, and assess how they can be used to improve their operations and products. This can be done through regular research and attending industry conferences.

2)Investing in technology: The management could invest in the latest technologies and equipment that can help to improve efficiency, productivity and competitiveness.

3)Encourage innovation: Management could encourage and support employees to come up with new ideas and innovations that can help the company to stay ahead of the technological curve.

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subsidized loans are different from other types of loans because they _____.

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While you are enrolled in school at least quarter or during deferment periods, interest on your subsidized loans does not accrue. Loans for graduate and undergraduate students which are not dependent on financial need are known as unsubsidized Loans.

What three things distinguish subsidized loans from unsubsidized loans?

When you are enrolled at least half time in college, the Education Department will pay the interest on your loan. Unsubsidized: Interest starts to mount the moment the loan is issued, even while students are still attending classes. Subsidized: The first 6 months after you graduate from college, there are no payments due.

What distinguishes a subsidized loan from?

While you are enrolled in school at least quarter or during deferment periods, interest on your subsidized loans does not accrue. Loans that aren't subsidized loans which are not dependent on financial need are available for graduate and undergraduate students.

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is the stock of firm a correctly priced according to the capital asset pricing model (capm)? what about the stock of firm b? firm c? if these securities are not correctly priced, what is your investment recommendation for someone with a well-diversified portfolio?

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the stock of firm a correctly priced according to the capital asset pricing model (capm) Stock A is not correctly priced because the expected return seems to be 10.95%. Stock A is too cheap.

The Capital Asset Pricing Model (CAPM) is a model that describes the relationship between the expected return and risk of investing in a security. It shows that the expected return on a security is equal to the risk-free return plus a risk premium, which is based on the beta of that security.

A critical aspect of CAPM is the concept of undervalued and overvalued securities. If the rate of return is greater than the expected return, it would be considered an overvalued security. If the rate of return is less than expected returns, it would be regarded as undervalued security.

The question is incomplete, the complete question is:

Consider the data given below and answer the questions that follow:

You have been provided the following data about the securities of three firms, the market portfolio, and the risk-free-asset.

a) Is the stock of Firm A correctly priced according to the capital asset pricing model (CAPM)? what about the stock of firm b? firm c? if these securities are not correctly priced, what is your investment recommendation for someone with a well-diversified portfolio?

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the company has a price-earnings ratio of 15 times and earnings per share were $3. what is the market value of each share of stock?

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The market value of each share of stock is $45. This is calculated by multiplying the earnings per share ($3) by the price-earnings ratio (15). This means that each share of the company's stock is worth $45.

The market value of each share of stock is equal to the company's price-earnings ratio (P/E) multiplied by the company's earnings per share (EPS). In the case of a company with a P/E of 15 times and EPS of $3, the market value of each share of stock is $45 ($3 multiplied by 15).

The price-earnings ratio (P/E) is one of the most commonly used tools for valuing a company's stock. It is calculated by dividing the current market price of a company's stock by its earnings per share (EPS). This means that the higher the P/E ratio is, the more expensive the stock is in comparison to its earnings, and vice versa. It is important to note that P/E ratios vary from industry to industry, so it is important to compare the P/E ratios of similar companies in order to get a more accurate valuation.

When evaluating a company's stock, investors should consider the company's P/E ratio in order to get a better understanding of the stock's value. A high P/E ratio can indicate that the stock is overvalued and a low P/E ratio can indicate that the stock is undervalued.

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marketing strategy is formulated in terms of the marketing mix; that is, it involves determining the product, features, price, communications, distribution, and services that will provide customers with superior value. this entire set of characteristics is often referred to as the

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The concept is a Marketing strategy, which is an organization's promotional efforts to allocate scarce resources. The answer is the total product.

Marketing strategy is an organization's promotional efforts to allocate limited resources across a variety of platforms and channels to increase sales and gain a sustainable competitive advantage in the target market.

It covers general issues such as target markets, what services to offer, and how to evaluate and promote them. Simplistically, we can define total output as the total quantity or amount of final output produced by a firm using specified inputs over a specified period of time.

A marketing strategy is a long-term plan for achieving business goals by understanding customer needs and creating a clear and sustainable competitive advantage. It covers everything from identifying your customers to choosing the channels you use to reach them.

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an investment adviser has a fee structure that states: assets under management annual fee 0 - $1,000,000 2.00% >$1,000,000 - $5,000,000 1.50% >$5,000,000 - $10,000,000 1.00% >$10,000,000 negotiable with client which statement is true about such an arrangement? a this is prohibited under nasaa rules because it favors customers with more assets under management b this is prohibited because advisers cannot have negotiable fees c this is permitted as long as the negotiated fee is less than 1% d this is permitted without restriction

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This is permitted as long as the negotiated fee is less than 1% is TRUE about such an arrangement

What are Negotiated Fees?Negotiated fees are the sums that network dentists have consented to accept as full payment for services that are covered, less any co-payments, deductibles, cost-sharing, and benefit caps. Negotiated fees may be altered. A financial advisor cannot demand "unreasonable" fees. It is acceptable and reasonable to have a charge structure that lowers the fee % as the amount of assets managed increases. The adviser may also set negotiable fees, provided that they are fair and implemented consistently. As a result, the advisor may negotiate a cost for a client with $15,000,000 in assets to invest that is less than 1% (it could not be higher than 1% because doing so would result in the client being charged a higher fee than clients with lower investment amounts).

The complete question is,

An investment adviser has a fee structure that states:

Assets Under Management Annual Fee

0 - $1,000,000 2.00%

>$1,000,000 - $5,000,000 1.50%

>$5,000,000 - $10,000,000 1.00%

>$10,000,000 Negotiable With Client

Which statement is TRUE about such an arrangement?

A. This is prohibited under NASAA rules because it favor customers with more assets under management

B. This is prohibited because advisers cannot have negotiable fees

C. This is permitted as long as the negotiated fee is less than 1%

D. This is permitted without restriction

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Money that is invested, either tax-deferred or tax-free, within a retirement plan. Keep it simple, Never invest purely for tax savings, Never invest using borrowed money What are the basic rules of investing?

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The fundamental guidelines for investing are to make sure you are aware of your investment objectives and risk tolerance, diversify your portfolio, do your research, comprehend the fees, and stay current on market trends.

What are the basic rules of investing?

It's crucial to have a plan in place before  basic rules of investing and to stick with it. Understanding your objectives and risk tolerance is crucial before investing. What kind of return do you anticipate? What is the timeframe for your investments? Will you be able to handle the market's volatility?

You can spread out the risk of investing your money by diversifying your investments. This entails making investments across various industries, geographies, and asset classes. In this manner, the rest of your investments might be able to lessen the blow if one of them performs poorly.

It's also crucial to research your investments. Make sure you are knowledgeable about the business you are investing in as well as the industry. Recognize the costs involved in investing in that asset. Additionally, it's critical to constantly be aware of market trends and how they might affect your investments.

Finally, never make investments solely to reduce your tax liability and never make investments with borrowed funds. It's crucial to comprehend the tax ramifications of your investments and to confirm that they align with your financial objectives. Additionally, it is not a good idea to invest with borrowed money as this can result in sizable losses if the market declines.

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what may occur during the postpurchase behavior stage of the purchase decision process? (select all that apply)

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These things could happen during the post-purchase behavior phase of the decision-making process that is feeling satisfied or unsatisfied, experiencing cognitive dissonance, assessing a product against expectations.

Recognizing the need for a service or product is the first stage in the consumer decision-making process. Recognizing a need, whether motivated inwardly or outside, yields the same outcome: a wish. After identifying a need, consumers must learn more in order to comprehend how to satiate it, which brings us to step two. Consumers again rely on internal and external considerations, as well as their prior interactions—both favorable and unfavorable—with a product or brand, while evaluating their selections.

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what were the economic institutions of ancient china?

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The economic institutions of ancient China were based on a system of agriculture and trade. This system was based on the principles of Confucianism, which emphasized the importance of family, education, and social order.

What is emphasized ?

Emphasis is the act of giving special attention or importance to something. It can be done through the use of language, body language, or other means. Emphasis can be used to draw attention to a particular point or idea, highlight the importance of a particular topic, or create an emotional response.

In addition to agriculture and trade, there were other economic activities in ancient China such as mining, manufacturing, and fishing. The government also set up guilds to regulate certain industries such as metalworking or shipbuilding. These guilds provided training for workers and set standards for quality control.

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Categorize each of the following characteristics as being either more representative of a traditional organization or a lean organization.


1. Emphasis is placed on shortening manufacturing cycle times.

2. Manufacturing plants tend to group like machinery together in different parts of the plant.

3. Setup times are shorter.

4. Produce in larger batches.

5. Strive to maintain low inventory levels.

6. Cycle time tends to be longer.

7. Quality tends to be "inspect-in" rather than "build-in. "

8. Manufacturing plants tend to be organized with self-contained production cells.

9. Maintain greater quantities of raw materials, work in process, and finished goods inventories.

10. Setup times are longer.

11. High quality is stressed in every aspect of production.

12. Produce in smaller batches

Answers

Lean manufacturing facilities are typically set up with independent production cells. In a typical organisation, setup times are lengthy.

What would you say is an organisation?

An community is a collection of people that cooperate, such as a firm, neighbourhood association, charity, or union. The term "organisation" can be used to describe a person, a group, a company, or the process of creating or developing anything.

Which 3 sorts of organisations are there?

The organisational structures utilised by the majority of businesses today can be categorised into three types: functional, departmental, and matrix. The advantages and disadvantages of each form must be considered by owners before deciding which to utilise for their business.

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What can the government do to regulate cryptocurrency?

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Cryptocurrencies have not been subject to a globally coordinated regulatory framework, despite the fact that international organizations have been analyzing the risks and developing effective policy cryptocurrencies.

The definition of cryptocurrency

A digital currency, or cryptocurrency, is an alternative payment method developed with the use of encryption technology. By utilizing encryption technology, cryptocurrencies can serve as a virtual accounting system and a medium of exchange.

In 2023, which cryptocurrency will grow?

Ethereum: The best financial move for 2023, according to some, will be to invest in Ethereum. It is because Ethereum's value is steady and has significantly increased since 2021.

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however, the maximum page size was too small for their clients. the marketing firm wants to buy a new printer capable of handling all client requirements. this purchase would be a

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The marketing firm is in need of a new printer that is capable of handling all of their client requirements. The current printer they are using has a maximum page size that is too small for their clients.

This purchase would be a capital expenditure, as it is a long-term investment in a fixed asset that is used in the production process. The marketing firm will need to consider factors such as print speed, resolution, and paper handling capacity when selecting a new printer. Additionally, the firm will need to research and compare the costs and features of different models to ensure that they are getting the best value for their money. They may also want to consider the cost of maintenance and the availability of replacement parts. Overall, this purchase is an important step in ensuring that the firm is able to meet the needs of their clients and continue to grow their business.

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Investment spending includes spending on: Multiple Choice consumer durable goods. New capital goods. Services. Stocks and bonds

Answers

investment spending includes spending on:

a. New capital goods.

b. Services.

Investment spending refers to spending on goods and services that are used to produce other goods and services in the future, such as new capital goods (e.g. machines, equipment, buildings) and services (e.g. research and development, business consulting). It does not include spending on consumer durable goods (e.g. cars, appliances) or stocks and bonds.Capital goods are physical assets that are used in the production of goods and services. Examples of capital goods include machinery, equipment, and buildings. They are typically long-lasting and are used repeatedly in the production process. New capital goods refer to newly acquired or manufactured items that are used for production. They can be bought or leased and are often used to increase productivity, efficiency, or output.

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Juice wrld is the best <3
Rip juice wrld:(( 999

Answers

I believe the answer is I agree

Answer:

Juice Wrld was an excellent artist. He spoke to many with his songs and reached those who could connect to him and his struggles through his music, personally his music is catchy and sounds good. He has a unique voice and his lyrics are relatable.  he will always be in our hearts we will always remember him and his songs

On June 1, Year 1, Hamlin, Inc. Paid $12,000 for 12 months rent on its warehouse in Huntsville, Alabama. In addition, on October 1, Year 1, Hamlin paid $3,000 for a one-year insurance policy on the warehouse. Hamlin's reporting period ends on December 31st of each year.


Required

Show how both prepaid purchases and the associated year-end adjustments at the end of Year 1 may affect a financial statements model. (In the Statement of Cash Flows column, use OA to designate operating activity, IA for investing activity, FA for financing activity, and NC for net change in cash. Enter any decreases to account balances and cash outflows with a minus sign. Not all cells in the "Statement of Cash Flows" column may require an input - leave cells blank if there is no corresponding input needed. Do not round intermediate calculations. )

Answers

At the end of Year 1, the prepaid rent will require an adjustment to reduce expenses in the income statement and the prepaid insurance will require an adjustment to increase expenses and reduce cash on the statement of cash flows.

What is  accrual accounting method?

This question is using the accrual accounting method which states that income and expenses should be recorded in the period in which they are incurred, regardless of when cash is exchanged.

On June 1, Year 1, Hamlin paid $12,000 for 12 months rent, an increase to prepaid rent in the Balance Sheet, and a decrease to cash in the Statement of Cash Flows (OA).

On October 1, Year 1, Hamlin paid $3,000 for a one-year insurance policy, an increase to prepaid insurance in the Balance Sheet, and a decrease to cash in the Statement of Cash Flows (OA).

At the end of Year 1, Hamlin will make a year-end adjustment to allocate the prepaid rent and prepaid insurance over the appropriate accounting periods.

The answer financial statements model are given below:

Accounts              | Debit | Credit | Statement of Cash Flows

----------------------------------------------------------------

Rent Expense          | 12,000 |       | OA

Prepaid Rent          |       | 12,000 | OA

----------------------------------------------------------------

Insurance Expense     | 3,000  |       | OA

Prepaid Insurance     |       | 3,000  | OA

----------------------------------------------------------------

Year-End Adjustment   | 4,000  |       | OA

Accumulated Depreciation |       | 4,000  | OA

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all you can eat venues with elbows and bow ties crossword clue

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"All-you-can-eat restaurants with bow ties and elbows" crossword puzzle answer the past. business crossword puzzle

How would you define business?

A person is conducting business when they create goods or render services with the goal of making a profit. Enterprise Definition. A business is a creative group or team that engages in commercial endeavors.

Is there another term for assistance?

Help, help, assist, and comfort believe that providing another with what they need is a good notion, especially when that need arises at a specific time.

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brenda plans to reduce her spending by 50 a month. what would be the future value of this reduced spending over the next 13 years

Answers

$8175.7 would be the future value of this reduced spending over the next 13 years.

Annual savings = Monthly spending reduction× Number of months per year = $50 × 13 = $650.

FV = PMT × FV annuity table factor

= $650 × 12.578 = $8175.7.

An annuity table offers a time-based factor and a discount rate (interest rate) that can be multiplied by to calculate the present value of an annuity payout. To determine how valuable a series of Annual will be at some point in the future, the future value annuity factor is calculated. The future value of an annuity can be calculated using the following formula: FV = C X [(1+r)n - 1 / r] X (1+r). The number of payments and discount rate are commonly plotted on the y-axis and x-axis, respectively, in an annuity table. Find both of them on the table for your annuity, and then locate the cell where they cross.

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suppose that the hypothetical country of kernaland suffers a chronic scarcity of its staple grain, corn. true or false: people in kernaland must be poor.

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False, Imagine that corn, the nation of Kernaland's main food source, is always in short supply. true or false: kernaland residents must be underprivileged.

The primary food sources for all living things on earth are plants and animals. Animal products such as fish, milk, meat, poultry, and cheese are the primary sources of protein in human diets. Unlike animals, plants give us fruits and vegetables, which are a major source of fibre, protein, and carbs. Local sourcing often refers to obtaining food, ingredients, and other consumables from within a predetermined distance of where they will be used or sourced, or from a particular geographic location. Nutrient-rich items are referred to as foods. The body needs nutrients for energy for breathing, digesting food, and maintaining body temperature, as well as for all other bodily processes.

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Which of the following illustrates a major problem with using gross domestic product as a measure of national productivity?

a) It ignores resource depletion and pollution. b) It ignores population growth.

c) It is highly unreliable. d) It overvalues environmental costs.

which of the following is generally accepted as a valid criticism of the production of useful goods and services? question 7 options: a) government involvement b) the black market c) environmental pollution d) economic freedom

Answers

To make the process of resolving customer complaints simpler and faster, the Consumer Protection Act of 1986 was passed. The Act established the term "customer" for the first time and granted him explicit extra rights.

Which of the following is the macro economics' main focus when examining the economy as a whole?

The study of macroeconomics considers the entire economy. It focuses on big topics including output growth, unemployment rates, price inflation, budget deficits, and levels of exports and imports. The area of economics known as macroeconomics is responsible for studying the economy as a whole. Three topics are the main emphasis of macroeconomics: national output, unemployment, and inflation.

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Answer:

c) environmental pollution

Explanation:

the creation of goods and services often results in the creation of pollution in the environment. this makes it an acceptable form of

Question #3
Multiple Select
The main types of markets are called
consumer
O industrial
customer
Oresidential
Question #4
Multiple Choice

Answers

The two most important types of marketplaces are consumer and business markets. There are also institutional markets, government markets, and global markets.

What other kind of markets are there?

In a market where buyers and sellers may meet, there can be an exchange of commodities and services. Markets include both actual physical markets and digital ones, such those found online. There are additional examples, such as the stock market, gray market, and auction market.

Although it can be complicated, marketing is primarily driven by four variables: product, price, promotion, and place. These are the fundamental concepts around which everything else is built, and they apply regardless of how tactics and distribution methods evolve. The seven P's or another form of these core concepts are sometimes included.

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Why do many investors choose to make diversification a key element of their
investment strategies?
O A Diversification focuses financial resources into one high-yield
investment.
B. Diversification spreads out investments to limit the risk of losing
money.
C. Diversification guarantees a stable rate of return on an
investment.
OD. Diversification increases both the risk and possible reward of
investing

Answers

So many investors choose to make diversification a key element of their investment strategies because diversification spreads out investments to limit the risk of losing money. The Option B is correct.

What is the Importance of Diversification?

Diversification is a risk-mitigation strategy that allocates investment funds across various vehicles, industries, companies, and other categories in order to minimize risk and maximize returns.

Diversification is a common investing technique used to reduce the likelihood of losses. By diversifying your investments, you reduce the likelihood of your portfolio being wiped out by a single negative event affecting a single holding. Instead, your portfolio is spread across various asset classes and companies, preserving capital while increasing risk-adjusted returns.

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mitch has $100 to spend and wants to buy either a new amplifier for his guitar or a new mp3 player to listen to music while working out. both the amplifier and the mp3 player cost $100, so he can only buy one. this illustrates the basic concept that : a. trade can make everyone better off. b. people face trade-offs c. rational people think at the margin. d. people respond to incentives.

Answers

This illustrates the basic concept that b. people face trade-offs

What is Trade-offs?

When an opportunity cost is present, such as when choosing between two items of equal value, people must make trade-offs. The MP3 player in Mitch's situation serves as the opportunity cost of purchasing the amplifier, and vice versa. Making the most of their limited resources is made possible by the idea of trade-offs.

When making decisions, rational people consider all possible outcomes. Marginal thinking entails weighing the advantages and disadvantages of a choice and estimating the small changes that an action would bring about. In this situation, Mitch would weigh each item's marginal benefit against the other. This aids him in weighing the benefits and drawbacks of each choice so he can decide with confidence.

When making decisions, people are also influenced by incentives. Analysing whether the potential benefits of a decision outweigh the costs is necessary for this. In this scenario, Mitch would be deciding whether owning the MP3 player or the amplifier is more advantageous than paying for it. If he decides to get rid of the item, he may also think about the potential profit he could make from reselling it.

Overall, Mitch's choice exemplifies the fundamental ideas of trade-offs, marginal thinking, and incentive response. Making decisions based on the potential advantages and disadvantages of the available options allows people to make the best use of their limited resources.

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Which term best explains the concept of the
Money Multiplier?
A. Loanable Funds
B. Production Possibilities Frontier
C. Supply and Demand

Answers

Answer:

the answer is a loadable funds

Drag the tiles to the boxes to form correct pairs.
Match the different. brainstorming techniques to their applications

Answers

Note that the Brainstorming Techniques matched to one another are given as follows:

Clustering - connecting ideas for a topic using different shapes and color-coding to identify how the ideas are relatedThree perspectives - describing the topic, tracing its history, and examining its connections with related topicsFreewriting - writing down first thoughts on a topic in a timed session. without pausing to check for relevance or grammar

What are brainstorming techniques?

The most essential thing to remember with any approach of brainstorming is to prioritize quantity above quality. Accepting all ideas, no matter how ridiculous or unimportant they may appear, aids brainstorming.

The aim is to establish a large enough pool of ideas from which to draw or combine ideas for the best solution or approach.

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your client has taken the following actions: established an inter vivos trust in which she reserved the power to revoke the trust if she is not satisfied with its operation funded the trust with a diversified portfolio named herself trustee and specified that, upon her death, her husband is to become the trustee named herself and her husband as the income beneficiaries and her children as remainder beneficiaries after the surviving spouse's death which one of the following is an income tax implication of this trust arrangement? a) your client, the grantor, must pay income tax on all income earned by the trust. b) the trust must pay income tax on earned income that is not distributed. c) income earned by the trust is taxed to the children as irrevocable remainder beneficiaries. d) the trust receives a deduction for the distributable net income paid to the lifetime income beneficiaries.

Answers

The trust receives a deduction for the distributable net income paid to the lifetime income beneficiaries is an income tax implication of this trust arrangement.

What do you know about Trust?

The two parties are in a fiduciary relationship. The trustee is given the authority to use a certain asset or piece of property for the benefit of the beneficiary by the trustor, who is one of the parties. Trusts offer the trustor's assets legal protection. It guarantees that the assets are solely dispersed in accordance with the trustee's wishes. It can support the assets' defense against any erroneous claims. Any deceit by the creditors is prevented by the trust arrangement. Additionally, it lowers the settlor's jurisdiction's inheritance tax. Taxes on income and capital are also reduced by it.

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firm a had the following selected items on its balance sheet: cash$28,000,000 common stock ($40 par; 1,800,000 shares outstanding)72,000,000 additional paid-in capital12,600,000 retained earnings55,000,000 how would each of these accounts appear after: a cash dividend of $2 per share? round the number of shares outstanding to the nearest whole number and the other answers to the nearest dollar. cash$ common stock ($ par; shares outstanding)$ additional paid-in capital$ retained earnings$ a 6 percent stock dividend (fair market value is $80 per share)? use the original balance sheet from the problem statement. round the number of shares outstanding to the nearest whole number and the other answers to the nearest dollar. cash$ common stock ($ par; shares outstanding)$ additional paid-in capital$ retained earnings$ a one-for-two reverse split? use the original balance sheet from the problem statement. round the number of shares outstanding to the nearest whole number and the other answers to the nearest dollar. cash$ common stock ($ par; shares outstanding)$ additional paid-in capital$ retained earnings$

Answers

A one-for-two reverse split:

Cash: $28,000,000

Common Stock: $72,000,000

Additional Paid-in Capital: $12,600,000

Retained Earnings: $55,000,000

How would each of these accounts look following a $2 per share cash dividend?A cash dividend of $2 per share:Cash: $28,000,000 - ($2 x 1,800,000 shares) = $22,000,000Common Stock: $72,000,000Additional Paid-in Capital: $12,600,000Retained Earnings: $55,000,000 - ($2 x 1,800,000 shares) = $49,000,000A 6 percent stock dividend (fair market value is $80 per share):Cash: $28,000,000Common Stock: $72,000,000 + ($72,000,000 x 6%) = $76,320,000Additional Paid-in Capital: $12,600,000Retained Earnings: $55,000,000Note: The number of shares outstanding increases by 6% to 1,896,000 shares (1,800,000 x 1.06)A one-for-two reverse split:Cash: $28,000,000Common Stock: $72,000,000Additional Paid-in Capital: $12,600,000Retained Earnings: $55,000,000Note: The number of shares outstanding decreases by 50% to 900,000 shares (1,800,000/2)

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whatr is the value today of 3300 per year at a discount rate of 8% if the first payment is recieved 7 years from today and the last payment is received 25 years from today

Answers

The loan agreement stipulates that 25 equal annual payments must be made at the conclusion of each of the ensuing 25 years.

In the future, will cash money vanish?

Cash may eventually actually vanish. However, where and when are primarily at issue. In some nations, it might vanish, but it might also stay. If it ultimately occurs in 50, 100, or more years, it won't really matter to anyone alive today.

In ten years, will money have doubled?

Over the past 90 years, the S&P 500 index has experienced annualized total returns averaging 9.8%. The annual return is still between 7% and 8% after accounting for inflation. Money will double in value if you earn 7% in a year.

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Lear Inc. Has $870,000 in current assets, $385,000 of which are considered permanent current assets. In addition, the firm has $670,000 invested in fixed assets.

a. Lear wishes to finance all fixed assets and half of its permanent current assets with long-term financing costing 8 percent. The balance will be financed with short-term financing, which currently costs 6 percent. Lear’s earnings before interest and taxes are $270,000. Determine Lear’s earnings after taxes under this financing plan. The tax rate is 40 percent.

b. As an alternative, Lear might wish to finance all fixed assets and permanent current assets plus half of its temporary current assets with long-term financing and the balance with short-term financing. The same interest rates apply as in part a. Earnings before interest and taxes will be $270,000. What will be Lear’s earnings after taxes? The tax rate is 40 percent

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Part an of the financing plan includes $670,000 in long-term financing at 8% and $192,500 in short-term financing at 6%.

What will be Lear’s earnings after taxes?

a. After taxes, earnings come to $162,000

b. After-tax income is $162,000

These financings will have interest payments totaling $53,600 and $11,550, respectively.

After taxes, Lear will receive

$153,850 ($270,000 - ($53,600 + $11,550)) x (1 - 0.4)

Lear will have $7,500 in short-term debt at a rate of 6 percent and $862,500 in long-term debt at an 8 percent interest rate under the alternative financing plan.

There will be $69,000 and $450 in interest payments for each of these financings, respectively.

$162,100 ($270,000 - ($69,000 + $450)) x.

Lear's net income will be this amount after taxes (1 - 0.4).

a. According to the proposed financing structure, Lear would finance all of its fixed assets and half of its long-term current assets with long-term debt. Short-term financing will be used to pay off the remaining balance of current assets, both long-term and short-term. The total amount of long-term financing required would be $

670,000 + (385,000/2) = $742,500

($385,000/2) + $485,000

= $435,000

would be the total amount of short-term financing.

The total annual interest expense would be

($742,500 x 8%) =

$59,400 + ($435,000 x 6%)

= $26,100

= $85,500.

Lear's earnings after taxes would be

$270,000 - $85,500 x 40%

= $162,000

b. As part of the alternative financing strategy, Lear would finance all of its fixed assets, ongoing current assets, and temporary current assets with long-term debt. Short-term financing will be used to pay off the rest of the temporary current assets. The total amount of long-term financing required would be

$670,000 + $385,000 + ($485,000/2)

= $1,030,500.

The total amount of short-term financing would be

($485,000/2)

= $242,500

The total annual interest expense would be $1,030,500 x 8%

= $82,240 + ($242,500 x 6%)

= $14,550

= $96,790.

Lear's net income would be $270,000 - $96,790 x 40%

= $145,874.

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most sales forecasts are based on past sales performances as well as_______

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The majority of sales projections are based on anticipated market conditions as well as historical sales performance.

What often forms the basis of sales forecasts?

The health of the sales pipeline, market trends, and prior performance are frequently taken into account in sales estimates. Businesses project biweekly, bimonthly, quarterly, then yearly income totals using the sales forecast.

What is the process of historical forecasting?

Sales data from a specific time period is converted to quantifiable earnings trends in historical forecasting. This requires assessing your development over the course of several months, quarter, or years and making the assumption that the percentages should remain unchanged as your profitability rise in the future.

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