Need you assistance on the three questions
Position CCTV OPERATOR at York University
1. Why are you interested in a position with CCTV?
2. What do you feel CCTV contributes to the York community?
3. What skills do you think are necessary to effectively perform this position?

Answers

Answer 1

As an aspiring CCTV operator, I am interested in this position because I have a strong passion for ensuring safety and security in public spaces. Working with CCTV allows me to actively contribute to creating a safe environment for the York University community.

I believe in the importance of utilizing technology and surveillance systems to deter crime, monitor activities, and respond to incidents promptly. Being part of a team that operates CCTV cameras aligns with my career goals and allows me to make a meaningful impact in enhancing security measures.

What do you feel CCTV contributes to the York community?

CCTV plays a vital role in contributing to the safety and security of the York University community in several ways. Firstly, CCTV cameras act as a visual deterrent to potential criminal activities. The presence of cameras can discourage individuals from engaging in unlawful behavior, as they know their actions are being recorded. This proactive approach helps maintain a secure environment on campus.

Secondly, CCTV provides valuable evidence for investigations. In the event of an incident, footage from CCTV cameras can be reviewed to identify perpetrators, gather evidence, and support the resolution of criminal cases. This aids law enforcement agencies and campus security in their efforts to maintain a safe environment and hold accountable those who violate the university's policies.

Additionally, CCTV enhances situational awareness. Operators monitoring the cameras can quickly identify potential threats, suspicious activities, or emergencies. This real-time information enables timely response and appropriate action to mitigate risks and ensure the safety of the community.

What skills do you think are necessary to effectively perform this position?

To effectively perform the role of a CCTV operator, several skills are essential:a) Technical proficiency: A strong understanding of the operation and maintenance of CCTV systems, including camera controls, video management software, and recording equipment, is crucial. Proficiency in troubleshooting technical issues and conducting routine maintenance is necessary to ensure optimal performance of the system.

b) Attention to detail: The ability to closely monitor multiple camera feeds simultaneously and identify suspicious behavior or potential threats is vital. Attention to detail helps in observing and analyzing situations accurately, allowing for prompt action when necessary.

c) Communication skills: Effective communication is essential for collaborating with security personnel, relaying information during emergencies, and providing accurate incident reports. Clear and concise communication ensures that information is conveyed promptly and accurately to relevant stakeholders.

d) Situational awareness: Being able to assess situations quickly, anticipate potential risks, and make informed decisions is crucial. This skill helps prioritize incidents, determine appropriate responses, and coordinate with security personnel to manage situations effectively.

e) Stress management: CCTV operators often work in high-pressure situations and may witness distressing or critical incidents. The ability to remain calm, composed, and focused during stressful times is essential for maintaining situational awareness and making effective decisions.

By possessing these skills, a CCTV operator can contribute to the overall safety and security of the York University community.

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Related Questions

Which of the following are HR Strategic Management Theories? Human Capital Theory Resourced Based View Behavioural Theory All of the above 1 pts Question 3 Which of the following are HR Strategic Management Theories? Human Capital Theory Resourced Based View Behavioural Theory All of the above 1 pts

Answers

Both A) Human Capital Theory and B) Resource-Based View are HR strategic management theories, and they provide different perspectives on managing human resources within organizations.

All of the following are HR strategic management theories: Human Capital Theory, Resource-Based View, and Behavioral Theory.

1. Human Capital Theory: This theory focuses on the value of human capital within an organization. It emphasizes that employees are valuable assets and investments in their development, training, and well-being can lead to improved organizational performance.

Human Capital Theory suggests that organizations should strategically manage their human resources by attracting, developing, and retaining talented individuals to enhance productivity and competitiveness.

2. Resource-Based View: The Resource-Based View (RBV) theory suggests that a firm's competitive advantage lies in its unique and valuable resources and capabilities, including its human resources. In the context of HR strategic management, RBV emphasizes the importance of aligning human resources with the organization's strategic objectives. It highlights the need to develop and deploy HR practices that leverage and enhance the organization's unique human resources to achieve sustainable competitive advantage.

3. Behavioral Theory: The Behavioral Theory in HR strategic management focuses on understanding and influencing employee behavior to improve organizational effectiveness. This theory emphasizes the impact of individual and group behavior on organizational outcomes. It recognizes the importance of aligning HR practices, such as performance management, motivation, and rewards, with desired employee behaviors to achieve strategic objectives.

Taken together, these theories provide valuable insights and frameworks for effectively managing human resources in an organization's strategic planning. They highlight the significance of viewing employees as valuable assets, leveraging unique resources and capabilities, and shaping behavior to drive organizational success. By integrating these theories into HR strategic management practices, organizations can develop strategies that optimize their human resources and enhance their competitive advantage in the marketplace.

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Note the complete question is:

Which of the following are HR Strategic Management Theories?A)  Human Capital Theory B) Resourced Based View Behavioural Theory C) All of the above ?

Note- This is only one question which is repeated two times.

Season closures ___ the cost of fishing effort. This ___ fish stock levels and ___ the profitability of the industry. The main management system New Zealand uses to manage its commercial fishery is the ___

Answers

Season closures limit the cost of fishing effort. This sustains fish stock levels and improves the profitability of the industry. The main management system New Zealand uses to manage its commercial fishery is the Quota Management System (QMS).

Fishery management is the method of making a decision to protect fish populations for the long term, preserving the fishing industry and maintaining ecosystem productivity. To maintain a balance between environmental conservation and the needs of the fishing industry, various regulations have been put in place. Season closures limit the cost of fishing effort, helping sustain fish stock levels and profitability of the industry. When fishery resources are scarce, the government often introduces seasonal closures on fishing in an attempt to manage the situation and prevent further decline.

This helps fish populations to grow and reproduce, leading to an increase in the abundance of fish. This provides a larger yield when the fishing grounds are reopened. New Zealand's main management system used to manage its commercial fishery is the Quota Management System (QMS). The system is used to allocate a quota for different species, allowing fishermen to catch a specified amount. Fisheries are monitored to ensure that the quotas allocated are not exceeded. The QMS has been successful in regulating the industry, providing a sustainable fishery for future generations.

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James is the owner of a small retail business operated as a sole
proprietorship. During 2020, her business recorded the following
items of income and expense:
Revenue from inventory sales
$ 147,000

Answers

To analyze the effect of each transaction on various accounts, I will use the given column headings:

8.31 LO 8-1      

8-2      

8-3      

8-4      

8-6      

Now, let's go through each transaction and determine its effect on each financial statement category:

a. Sold 20,000 previously unissued shares of $1 par value common stock for $21 per share.

Cash | +$420,000 | | | | | |

Paid-In Capital | +$20,000 | | | | | |

Retained Earnings | | | | | | |

Net Income | | | | | | |

b. Issued 4,000 shares of previously unissued 7% cumulative preferred stock, $50 par value, in exchange for land and a building appraised at $210,000.

Cash | | | | | | |

Other Assets | +$210,000 | | | | | |

Liabilities | | | | | | |

Paid-In Capital | +$200,000 | | +$8,000 (Dividends in arrears) | | | |

Retained Earnings | | | | | | |

Net Income | | | | | | |

c. Declared and paid the annual cash dividend on the preferred stock issued in transaction b.

Cash | -$28,000 | | | | | |

Other Assets | | | | | | |

Liabilities | | | -$28,000 | | | |

Paid-In Capital | | | +$28,000 (Dividends) | | | |

Retained Earnings | | | | | -$28,000 | |

Net Income | | | | | | |

d. Purchased 1,500 shares of common stock for the treasury at a total cost of $34,500.

Cash | -$34,500 | | | | | |

Other Assets | | | | | | |

Liabilities | | | | | | |

Paid-In Capital | | | | | | |

Retained Earnings | | | | | | |

Treasury Stock | | | | | | +$34,500 |

Net Income | | | | | | |

e. Declared a cash dividend of $0.25 per share on the common stock outstanding.

Cash | -$15,000 (60,000 shares x $0.25) | | | | | |

Other Assets | | | | | | |

Liabilities | | | -$15,000 | | | |

Paid-In Capital | | | +$15,000 (Dividends) | | | |

Retained Earnings | | | | | -$15,000 | |

Net Income | | | | | | |

f. Sold 600 shares of the treasury stock purchased in transaction d at a price of $25 per share. Declared and issued a 2% stock dividend on the common stock issued when the market value per share of common stock was $26. Split the common stock 2-for-1.

Cash | +$15,000 (600 shares x $25) | | | | | |

Other Assets | | | | | | |

Liabilities | | | | | |

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When a portfolio has a known future date for a particular outlay to occur, it is most likely that ___________ will be used by the portfolio manager as part of their immunisation strategy.
a. Net Worth Immunisation
b. Classical Immunisation
c. Tools of Immunisation
d. Contingent Immunisation
e. Target Date Immunisation

Answers

When a portfolio has a known future date for a particular outlay to occur, it is most likely that the Target Date Immunization will be used by the portfolio manager as part of their immunization strategy.

Target date immunization is a financial strategy in which an investor has a set target date for the money to be spent. Target date funds (TDFs) are mutual funds that automatically adjust the asset allocation over time as the target date approaches. The asset allocation changes as a result of a glide path that is predefined.When a portfolio has a known future date for a particular outlay to occur, it is most likely that the portfolio manager will use target date immunization as part of their immunization strategy. The manager will set the asset allocation of the portfolio to match the target date. The manager may utilize stocks, bonds, and other investment products to achieve the desired asset allocation. They will rebalance the portfolio on a regular basis as the target date approaches to ensure that it remains in line with the desired allocation.The portfolio manager's goal is to immunize the portfolio against interest rate risk. They aim to ensure that the portfolio has enough funds to meet the target date's requirements while avoiding any substantial losses due to interest rate changes. As a result, immunization of the portfolio with target date immunization protects against interest rate risk.

Target date immunization is a financial strategy in which an investor has a set target date for the money to be spent. When a portfolio has a known future date for a particular outlay to occur, it is most likely that the portfolio manager will use target date immunization as part of their immunization strategy. Immunization of the portfolio with target date immunization protects against interest rate risk.

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Employee drug and alcohol dependencies are considered to be?
cause for immediate dismissal
a designated group protected by the Employment Equity Act
disabilities covered under the AODA legislation
beyond the point of undue hardship
problems that workers need to address on their own

Answers

Employee drug and alcohol dependencies are not considered problems that workers need to address on their own. Instead, they are typically approached as issues that require support, intervention, and appropriate workplace policies. While the specific handling of drug and alcohol dependencies may vary depending on local laws and company policies, they are generally recognized as health concerns that may impact job performance, safety, and overall well-being.

In some cases, drug and alcohol dependencies can be grounds for immediate dismissal, especially if they significantly impair an employee's ability to perform their job duties or pose a risk to themselves, coworkers, or the organization. However, it is important to note that in many jurisdictions, the focus is shifting towards providing assistance, treatment, and support for employees struggling with substance abuse.

Furthermore, employee drug and alcohol dependencies may be considered as disabilities covered under legislation such as the Americans with Disabilities Act (ADA) in the United States or the Human Rights Codes in Canada. These laws protect individuals with disabilities from discrimination and require employers to provide reasonable accommodations, such as rehabilitation programs or modified work arrangements, unless they would cause undue hardship.

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How do benefit payments fluctuate over time in a variable life annuity?

a. benefit payments stay fixed

b. reflects changes in the market value of assets in a separate account

c. annuitant controls any benefit payment changes

d. any benefit payment fluctuations have to be approved in writing by the owner

Answers

Benefit payments in a variable life annuity fluctuate over time based on changes in the market value of assets in a separate account. Therefore, option b is correct.

In a variable life annuity, the benefit payments are not fixed but instead vary depending on the performance of the underlying investments in a separate account. The annuity contract is linked to investment funds, often referred to as separate accounts, which consist of various investment options such as stocks, bonds, or mutual funds.

The value of the separate account is directly impacted by the performance of these investments. If the investments perform well and increase in value, the value of the separate account will also increase. As a result, the benefit payments received by the annuitant will be higher.

Conversely, if the investments in the separate account perform poorly and decrease in value, the value of the separate account will decrease. In such cases, the benefit payments received by the annuitant will be lower.

The fluctuations in benefit payments are directly tied to the market performance of the investments in the separate account. Therefore, the annuitant bears the investment risk, and the amount of benefit payments can vary over time.

In a variable life annuity, benefit payments are not fixed but instead fluctuate based on changes in the market value of assets in a separate account. The performance of the underlying investments directly impacts the value of the separate account and, subsequently, the amount of benefit payments received by the annuitant.

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Alex owns a shop that sells customised BMX bikes. Each one is uniquely tailored to the rider. The products are unique one-offs, made by an outsourced company to individual designs agreed between Alex and a designer from the outsourced company.
In WEEK 26, Alex discusses with the manufacturer a design for a new bike. Alex and the manufacturer agree on a specification and an order is placed with the manufacturer.

Answers

This process allows Alex to offer unique, one-off BMX bikes to customers by collaborating with an outsourced manufacturing company. It ensures that each bike is tailored to the rider's preferences and meets the agreed-upon specifications.

In Week 26, Alex, the owner of a shop selling customized BMX bikes, engages in discussions with a manufacturer to design a new bike. This process involves collaboration between Alex and a designer from the outsourced manufacturing company to create a unique bike tailored to the rider's preferences. The timeline of events can be summarized as follows:

1. Week 26: Alex initiates discussions with the manufacturer to develop a design for a new BMX bike. This involves specifying the desired features, components, and aesthetic elements for the bike.

2. Alex and the manufacturer's designer work together to agree on the specifications of the bike. They consider factors such as frame material, size, color scheme, components (wheels, handlebars, brakes, etc.), and any additional customizations requested by the customer.

3. Once the design is finalized and both parties are satisfied, an order is placed with the manufacturer. The order includes all the details of the agreed-upon design and specifications.

4. The manufacturer takes over the production process, utilizing their expertise and resources to bring the design to life. They fabricate the custom BMX bike according to the agreed specifications.

5. During the manufacturing process, there may be communication between Alex and the manufacturer to ensure that the bike is being built as intended. This may include progress updates, clarifications, or addressing any unforeseen issues that may arise.

6. After the manufacturing is complete, the customized BMX bike is delivered to Alex's shop.

It's important to note that the timeframe provided refers to Week 26 and does not include the duration of the manufacturing process, which can vary depending on factors such as complexity, production capacity, and any potential delays.

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How are Private Procurement Partnership (PPP). contracts
managed?

Answers

Private Procurement Partnerships (PPP) contracts are typically managed through a collaborative approach between the public and private sector entities involved in the project.

The management of PPP contracts involves several key activities to ensure successful implementation and operation of the project.

Contract Monitoring: A dedicated team is responsible for monitoring the performance of the private partner in delivering the agreed-upon services and meeting the contractual obligations. This includes regular performance reviews, site visits, and data analysis to assess compliance and address any issues or discrepancies.

Performance Management: Performance indicators and benchmarks are established to measure the performance of the private partner against agreed-upon targets. This allows for the evaluation of the partner's performance and enables corrective actions or incentives to be implemented as needed.

Risk Management: PPP contracts involve a range of risks, including financial, operational, and legal risks. Effective risk management strategies are employed to identify, assess, mitigate, and monitor these risks throughout the contract duration.

Stakeholder Engagement: Engaging relevant stakeholders, including government agencies, project users, and the general public, is crucial for the successful management of PPP contracts. Regular communication and consultation foster transparency, address concerns, and ensure the project aligns with stakeholder expectations.

Dispute Resolution: PPP contracts often include mechanisms for resolving disputes between the public and private partners. These mechanisms may involve negotiation, mediation, or arbitration to reach mutually acceptable resolutions.

Contract Amendments and Renegotiations: Over the course of a PPP contract, changes in circumstances or project requirements may necessitate contract amendments or renegotiations. This requires careful assessment and negotiation to ensure the contract remains aligned with the evolving needs and objectives.

Effective management of PPP contracts relies on clear contractual agreements, robust monitoring systems, stakeholder collaboration, and proactive risk management. The aim is to achieve value for money, maintain service quality, and ensure the successful delivery of public infrastructure or services through the partnership between the public and private sectors.

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- Research depends on the possibility of controlling the
influencing factors in a situation
Research
1) Exploratory
2) Descriptive
3) Experimental
4) None of the above

Answers

Research can involve different approaches depending on the nature of the study. The correct answer is option 4: None of the above.

Exploratory research aims to investigate a topic or phenomenon where little is known or understood. It seeks to generate insights, ideas, and hypotheses for further investigation.

Descriptive research, on the other hand, involves observing and describing the characteristics or behavior of a population or phenomenon. It aims to provide a detailed and accurate picture of the subject under study.

Experimental research involves manipulating variables and controlling influencing factors to establish cause-and-effect relationships between variables.

The given options do not cover all the possible types of research. Other types, such as correlational, qualitative, and mixed-methods research, exist alongside exploratory, descriptive, and experimental research. Therefore, the correct answer is option 4: None of the above, as it acknowledges that research can encompass various methodologies beyond the ones listed.

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A and B are partners in a business sharing profits and losses in the ratio of 1/3rd and 2/3rd. On 1st April, 2020, their capitals were ₹8,000 and ₹10,000 respectively. On that date, they admit C in partnership and give him 1/4th share in the future profits. C brings ₹8,000 as his capital and ₹6,000 as goodwill. The amount of goodwill is withdrawn by the old partners in cash. Pass the Journal entries and show the capital accounts of all the partners. Calculate proportion in which partners would share profits and losses in future

Answers

Here are the journal entries and capital accounts of the partners after the admission of C:

Journal Entries

Dr. Goodwill A/c 6,000

Cr. Cash A/c 6,000 (Goodwill is withdrawn by the old partners in cash)

Dr. C's Capital A/c 8,000

Dr. Goodwill A/c 6,000

Cr. A's Capital A/c 4,000

Cr. B's Capital A/c 2,000 (C brings in ₹8,000 as his capital and ₹6,000 as goodwill. The amount of goodwill is credited to his capital account and debited to the capital accounts of A and B in their old profit sharing ratio)

Capital Accounts

A's Capital A/c: 8,000 - 4,000 = 4,000

B's Capital A/c: 10,000 - 2,000 = 8,000

C's Capital A/c: 8,000 + 6,000 = 14,000

New Profit Sharing Ratio

A:B:C = 4k:8k:14k = 1:2:3;

Hence, new profit-sharing ratio is 1:2:3.


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with employee-monitoring systems, managers can supervise employees' work speeds.

Answers

Employee-monitoring systems help managers to supervise employees' work speeds.What is Employee monitoring?Employee monitoring refers to the process by which employers observe and track their employees' work-related activities.

Employee monitoring is intended to ensure that employees are being productive and adhering to company regulations and procedures. It also ensures that the workplace is free of harassment, discrimination, and other types of inappropriate behavior.Employee-monitoring systems are used to supervise employees' work speeds by enabling managers to observe their work patterns and output. These systems keep track of a range of data, including the amount of time spent on specific tasks, the number of keystrokes or mouse clicks made during a given period, and the amount of data transferred during a particular session.

Employee-monitoring systems also make it easier for managers to identify and address performance issues, such as missed deadlines or poor quality work. They can use the data collected by the system to provide feedback and coaching to employees, which can help them improve their performance and productivity.The use of employee-monitoring systems raises concerns about privacy and the potential for abuse. However, as long as employers are transparent about their use of such systems and provide clear policies and procedures, they can be an effective tool for ensuring workplace productivity and compliance with regulations.

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HISTORY OF STOCK MARKET CRISISES ASSIGNMENT
DUE DATE: OUT OF: 10 STRAND:TBA
REQUIRED: to research and write at least a one-page history reflection on two stock market crises (at least 2 pages of written material). Your history reflection shall include the Who, When, What, Where, Why, How and how to possibly fix the issues that arose.
After you shall write a personal reflection on what you learned completing this assignment and how it may help you in the future.
Your report shall also be properly referenced using MLA. A cover page is required with your name, student number, and proper course code.
Crises to investigate include, but not limited to:
a. Dutch Tulip bubble 1634-1637
b. Stock Market Crash 1929
c. Financial Crisis of 2007-2008 .
d. Black Monday of October 1987 .
e. Dot Com bubble from 1995-2001

Assessment: you are being assessed out of 10 based on spelling and grammar, having all required items, nicely bound before submission, submitted at the beginning of class on the due and high quality of content.

Answers

Even though Amsterdam hosted the world's first stock exchange in 1611, America didn't join the fray until the late 1700s. The Philadelphia Stock Exchange was America's first stock exchange, despite the fact that the Buttonwood dealers are credited with creating the country's largest stock market.

The 1929 Great Depression, Black Monday in 1987, the 2001 dotcom bubble burst, the 2008 financial crisis, and the 2020 COVID-19 pandemic all saw notable stock market falls.

NSE started operating on June 30, 1994, with the launch of the wholesale debt market (WDM) segment and the launch of the equities segment on November 3, 1994. The electronic trading facility was initially introduced by this exchange in India. The daily turnover on the NSE increased within a year of the company's operations.

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predict the relative size of the crest height and width of offspring raised in the tank without chemical cues as compared to the parent daphnia.

Answers

The relative size of the crest height and width of offspring raised in the tank without chemical cues is expected to be similar to that of the parent Daphnia.

In the absence of chemical cues, the genetic information inherited from the parent Daphnia is likely to determine the offspring's physical characteristics, including the crest height and width. If there are no external factors influencing the development of the offspring, it is expected that their crest height and width will resemble those of their parent. However, it's important to note that there can be natural variations in traits due to genetic recombination, so exact measurements may differ to some extent.

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How does the value of the option to invest in the Mark II in 1982 change if:
a. The investment required for the Mark II is $815 million (vs. $915 million)? (Do not round intermediate calculations. Round your answer to 2 decimal places.)
b. The present value of the Mark II in 1982 is $515 million (vs. $476 million)? (Do not round intermediate calculations. Round your answer to 2 decimal places.)
c. The standard deviation of the Mark II's present value is only 23% (vs. 38%)? (Do not round intermediate calculations. Round your answer to 2 decimal places.)

Answers

To determine how the value of the option to invest in the Mark II in 1982 changes under different scenarios, we can use the Black-Scholes option pricing model. The formula for calculating the value of a call option is as follows:

C = S * N(d1) - X * e^(-r * T) * N(d2)

Where:

C = Value of the call option

S = Current price of the underlying asset (present value of the Mark II in this case)

N = Cumulative standard normal distribution

d1 = (ln(S/X) + (r + (σ^2)/2) * T) / (σ * √T)

d2 = d1 - σ * √T

X = Strike price (investment required for the Mark II in this case)

r = Risk-free interest rate

T = Time to expiration (1982 in this case)

σ = Standard deviation of the underlying asset's return

a. If the investment required for the Mark II is $815 million, we need to recalculate the value of the call option using the new strike price.

b. If the present value of the Mark II in 1982 is $515 million, we need to use the new current price of the underlying asset in the calculation.

c. If the standard deviation of the Mark II's present value is only 23%, we need to use the new standard deviation of the underlying asset's return in the calculation.

Without specific values for the risk-free interest rate and time to expiration, it's not possible to provide precise calculations.

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The following information was available to reconcile Montrose Company's book balance of Cash with its bank statement balance as of October 31, 2020 a. After all posting was completed on October 31, th

Answers

To reconcile Montrose Company's book balance of Cash with its bank statement balance, adjustments need to be made for outstanding checks, unrecorded checks and deposits, accounting errors, bank transactions not recorded, and bank service charges. After making these adjustments, the adjusted book balance should match the bank statement balance, ensuring the accuracy and completeness of the company's cash records.

To reconcile Montrose Company's book balance of Cash with its bank statement balance as of October 31, 2017, we need to consider the following information:

a. Book balance of Cash on October 31: $13,219 debit.

b. Outstanding checks from September:

Check #296: $1,334

Check #307: $12,754

Bank statement balance reconciliation: $29,355

Check #307 was returned with the October canceled checks, but check #296 was not. Additionally, check #315 for $893 and check #321 for $2,000, both written in October, were not among the canceled checks returned with the statement.

c. Accounting error:

Check #320 for October rent was correctly written for $4,000 but erroneously entered in the accounting records as $4,900.

d. Bank transactions not recorded by Montrose:

Credit memo for an electronic fund transfer related to a customer payment: $21,400

Bank service charge: $120

e. Bounced check:

NSF check from customer Jefferson Tyler: $3,202, plus NSF charge: $49

f. Unrecorded bank service charge: $74

g. Unrecorded cash deposit:

October 31 cash receipts deposited in the bank's night depository: $6,856

To reconcile the book and bank balances, we need to adjust the book balance based on the information provided. Once all adjustments are made, the adjusted book balance should match the bank statement balance.

The correct question should be :

The following information was available to reconcile Montrose Company's book balance of Cash with its bank statement balance as of October 31, 2017:

a. After all posting was completed on October 31, the company's Cash account had a $13,219 debit

b. Cheques #296 for $1,334 and #307 for S 12,754 were outstanding on the September 30 bank balance, but its bank statement showed a $29.355 balance reconciliation. Cheque #307 was returned with the October cancelled cheques, but cheque #296 was not. It was also found tnat cheque #315 for S893 and cheque #321 for S2.000, both written in October were not among the cancelled cheques returned with the statement.

c. In comparing the cancelled cheques returmed by the bank wit the entries in the accounting records , it was found that cheque #320 for the October rent was correctly written for S4,0g0 but was erroneously entered in the accounting records as $4,900

d. A credit memo enclosed with the bank statement indicated that there was an electronic fund transfer related to a customer payment for $21.400. A $120 bank service charge was deducted. This transaction was not recorded by Montrose before receiving the bank statement.

e. A debit memo for $3,251 listed a S3,202 NSF cheque plus a $49 NSF charge. The cheque had been received from a customer, Jefferson Tyler. Montrose had not recorded this bounced cheque before receiving the statement.

f. Also enclosed with the statement was a $74 debit memo for bank services. It had not been recorded because no previous notification had been received.

g. The October 31 cash receipts, S6,856, were placed in the bank's night depository after banking hours on that date and this amount did not appear on the bank statement.

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Brooklyn Cabinets is a manufacturer of kitchen cabinets. The two cabinetry styles manufactured by Brooklyn are contemporary and farmhouse. Contemporary style cabinets sell for $90 and farmhouse style cabinets sell for $85. Each cabinet produced must go through carpentry, painting, and fiishing processes. The following table summarizes how much time in each process must be devoted to each style of cabinet.

Answers

(In short): The production processes for Brooklyn Cabinets' contemporary and farmhouse style cabinets include carpentry, painting, and finishing. The contemporary cabinets sell for $90, while the farmhouse cabinets sell for $85.

To manufacture the cabinets, certain amounts of time must be allocated to each process. The table provided outlines the time required for each process for both cabinet styles:

Cabinet Style Carpentry Time (hours) Painting Time (hours) Finishing Time (hours)

Contemporary 2 1 3

Farmhouse 3 2 2

The table shows that for contemporary cabinets, 2 hours are spent on carpentry, 1 hour on painting, and 3 hours on finishing. On the other hand, farmhouse cabinets require 3 hours for carpentry, 2 hours for painting, and 2 hours for finishing.

Brooklyn Cabinets can utilize this information to optimize their production processes, allocate resources efficiently, and determine the total production time and costs for each cabinet style. The contemporary cabinets have a total production time of 6 hours, while the farmhouse cabinets require a total of 7 hours. This data enables the company to calculate the cost of production by multiplying the total production time with an appropriate hourly rate. By considering these factors, Brooklyn Cabinets can make informed decisions regarding pricing, resource allocation, and production planning to ensure profitability and customer satisfaction.

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Discuss the role of securitization in the global financial crisis (GFC) ?2007-2008 (Word counts: 200-350 words)

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Securitization played a significant role in the global financial crisis (GFC) of 2007-2008. The securitization of subprime mortgages, coupled with lax lending standards and the complexity of securitized products, led to a housing bubble and widespread financial instability when borrowers defaulted on their mortgages. The crisis underscored the need for transparency, risk assessment, and regulation in the securitization market.

Securitization is a process of pooling assets such as mortgage loans, auto loans, and credit card debt, into a single security that is sold to investors. The cash flows generated by the underlying assets are used to pay back the investors who hold the security. The process of securitization was a key factor in the global financial crisis (GFC) that occurred in 2007-2008.

Role of securitization in the global financial crisis: The securitization process enabled banks to reduce their exposure to credit risk by transferring it to other parties. Banks would originate mortgage loans and then sell them to investors in the form of mortgage-backed securities (MBS). This allowed banks to earn fees from originating the loans without having to worry about the credit risk associated with them.The securitization process made it easier for borrowers to obtain credit as banks no longer had to hold the loans on their balance sheets. This led to a significant increase in subprime mortgage lending, which contributed to the housing bubble in the US.The securitization process also led to a lack of transparency in the financial system. Investors who purchased MBS often had little information about the underlying assets that were used to create the securities. This lack of transparency made it difficult for investors to assess the risks associated with MBS.The securitization process created complex financial instruments that were difficult to value. When the housing bubble burst, the value of MBS plummeted, causing significant losses for investors. This led to a loss of confidence in the financial system, which ultimately led to the global financial crisis.

In conclusion, the securitization process played a significant role in the global financial crisis. The process allowed banks to transfer credit risk to other parties, which contributed to the housing bubble in the US. The lack of transparency in the financial system and the complexity of financial instruments created by the securitization process made it difficult for investors to assess the risks associated with MBS. This ultimately led to a loss of confidence in the financial system and the global financial crisis.

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FILL THE BLANK. "In the context of marketing research, (........) on its
own has limited value to marketers, and once it has been
interpreted, it will be very useful.
Data.
Information.
Knowledge.
Customer feedback."

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In the context of marketing research, information on its own has limited value to marketers, and once it has been interpreted, it will be very useful.

The correct answer is Data.

marketing research is the process of obtaining and analyzing information to assist marketing decisions. It includes collecting data from primary and secondary sources, processing, and interpreting it to help a business understand the target market. However, the collected data does not have significant value until it is converted into meaningful information. Information is data that is structured, organized, and processed to make it valuable for decision-making. Marketers convert raw data into information by processing it using analytical tools.

They use statistical techniques and other data analysis methods to identify trends, patterns, and relationships. When marketers interpret information, they gain knowledge. Knowledge is the application of information to solve problems, make decisions, and create opportunities. In conclusion, information is the key to successful marketing research. The collected data is only valuable when it is transformed into meaningful information that can be interpreted to gain knowledge and insights to make informed marketing decisions.

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Which of the following accurately describes the exchange rate system under the classical gold standard
system (1875-1914)?
A. © Under the gold standard, each country's currency would be pegged against an ounce of gold in order to stabilize the
exchange rate between countries. •
B. Under the gold standard, the exchange rate between countries would be allowed to float based on market
trends and policies made by each country's central bank. ©
C. A key shortcoming of the classical gold standard was that the supply of newly minted gold could be limited, such that the growth of world trade and investment could be
seriously hampered.
• D a and c

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Under the classical gold standard system (1875-1914), the exchange rate system was pegged against an ounce of gold in order to stabilize the exchange rate between countries. Hence, the accurate description of the exchange rate system under the classical gold standard system is A.

The classical gold standard system (1875-1914) was a system in which countries pegged their currencies against gold to stabilize the exchange rate between them.

Under this system, each country agreed to fix the price of its currency to a specific amount of gold and was required to buy and sell gold at that price.

To maintain the gold standard, central banks had to hold a reserve of gold to back their currencies, which prevented them from issuing too much paper money.

This system worked well until World War I, which led to a decline in international trade and investment.

This made it more difficult to maintain the gold standard, leading to its eventual collapse.

The key shortcoming of the classical gold standard was that the supply of newly minted gold could be limited, such that the growth of world trade and investment could be seriously hampered.

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the possibility of a parallel/gray market occurs whenever price differences are greater than the cost of transportation between two markets. true or false

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The possibility of a parallel/gray market occurs whenever price differences are greater than the cost of transportation between two markets. This statement is True.

A parallel market is a black market in which goods are exchanged for money or other goods and services without government oversight, intervention, or regulation. Parallel markets are often referred to as underground markets, informal markets, or shadow markets. They are often used as a way to avoid taxes and government regulations, to avoid government restrictions on imports and exports, or to sell goods that are not readily available in the official market.Gray market is a term that is used to describe the practice of buying goods that are not intended for sale in a particular market or country, and then selling them in that market or country without the authorization of the manufacturer or distributor. In general, gray market goods are genuine products that are imported into a market through channels other than the authorized distributor, and they are sold at a lower price than the official price in that market.

The conclusion that can be drawn from the above statement is that whenever price differences between two markets are greater than the cost of transportation, it creates a possibility for a parallel or gray market to emerge. In such markets, goods are exchanged for money or other goods and services without government oversight, intervention, or regulation. Gray market goods are genuine products that are imported into a market through channels other than the authorized distributor, and they are sold at a lower price than the official price in that market.

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Reid is a patient at a mental hospital. During the intervals when Reid was of sound mind, he agreed to sell his ‘Play Station 2’ to Elena for RM 400. However, Elena refuses to conclude the contract on the ground of mental incapacity. Advice Reid whether he can enforce the contract under the Contract Act 1950. Support your answer with decided cases and relevant provisions.

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Reid, as a patient at a mental hospital, may face challenges in enforcing the contract with Elena for the sale of his 'Play Station 2.' According to the Contract Act 1950, a contract entered into by a person of unsound mind is voidable.

Elena's refusal to conclude the contract on the ground of mental incapacity can be considered valid.

Section 11 of the Contract Act 1950 states that a person is considered of unsound mind if they are incapable of understanding the terms and nature of the contract or if they are unable to form a rational judgment regarding it. In the case of Chitty v. National & Provincial Bank (1930), it was held that a person suffering from mental illness may lack the capacity to enter into a contract.

Considering Reid's mental condition, his intervals of sound mind may not be sufficient to establish his overall capacity to understand and enter into a contract. Thus, it is likely that Reid will not be able to enforce the contract against Elena due to his mental incapacity. It is advisable for Reid to seek legal advice regarding his specific circumstances.

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During the fall season:
The Jones utilizes it’s old buildings to create haunted houses
Plant pumpkin patches
Apple picking
Plant corn and create a corn maze
Petting zoo with farm animals (since they do not like keeping their animals locked up)
Corn on the cob
During the winter:
Have ice castles
Christmas lights
Sledding and skiing
During the spring
rent out unused space as venues for weddings and ceremonies
Drive-in theatre
During the summer
Using the VRIO Model as found in Chapter 6 of the text, write a description about the competitive advantage the Fields will have by choosing this venture.
Please help with creating the VRIO analysis for this family farm with the following attractions as the business plan.

Answers

The Fields family farm gains a competitive advantage by offering a wide range of seasonal attractions, utilizing existing infrastructure, and providing a unique and diverse experience. This combination of value, rarity, and effective organization sets them apart from competitors in the market.

The VRIO model is a strategic tool used to assess the competitive advantage of a business based on four key factors: Value, Rarity, Imitability, and Organization. Let's analyze the competitive advantage of the Fields family farm based on the provided business plan.

Value: The family farm offers a diverse range of attractions throughout the year, including haunted houses, pumpkin patches, apple picking, corn mazes, a petting zoo, corn on the cob, ice castles, Christmas lights, sledding, skiing, renting out spaces for weddings and ceremonies, and a drive-in theatre.

This variety of attractions adds value to the business as it caters to different customer preferences and interests, providing a unique experience.

Rarity: The combination of all these attractions in one location, along with the utilization of the farm's existing infrastructure, sets the Fields family farm apart from competitors.

The ability to offer such a wide range of activities throughout the seasons is relatively rare and can attract customers who are looking for diverse experiences in one place.

Imitability: Some of the attractions, such as haunted houses and pumpkin patches, can be replicated by competitors. However, the Fields family farm's advantage lies in the ability to combine these attractions with the existing infrastructure and create a seamless experience.

The uniqueness and integration of the offerings make it challenging for competitors to replicate the entire experience effectively.

Organization: The Fields family farm's competitive advantage also relies on the organization's ability to manage and execute the different attractions efficiently.

This includes maintaining the farm, managing operations, providing excellent customer service, and coordinating events such as weddings and ceremonies. The organization's ability to effectively organize and deliver these experiences enhances its competitive advantage.

In conclusion, the Fields family farm gains a competitive advantage through the value it offers with its diverse range of attractions, the rarity of combining these offerings in one location, the challenge of imitating the complete experience, and the efficient organization and management of the different activities.

These factors differentiate the farm from competitors and position it as a unique and attractive destination for customers seeking seasonal entertainment and events.

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Arbitration is the final step in resolving problems in a grievance.
How is the arbitrator chosen?
What are the qualifications of the arbitrator?
Is it legal for a labor dispute to go to a court in the legal system and have the issue heard by a judge? Why or why not?
What can the arbitrator do that a mediator cannot?
How can arbitration be avoided?
Can the opinion of the arbitrator be appealed?

Answers

Arbitration is the final step in resolving problems in a grievance, which is done through an arbitrator, chosen with the consent of both parties. Arbitration, an alternative dispute resolution method to trial, has certain unique features and advantages. An arbitrator is chosen by the two parties involved in the dispute.

It is common for parties to select a single arbitrator who will determine the outcome of the case. The qualifications of the arbitrator must be: both parties involved must agree on the selection of the arbitrator. Most arbitrators have experience in law, industry, or unions. Labor disputes cannot go to court in the legal system and have the issue heard by a judge, as labor law and regulations provide an alternative to litigation. The National Labor Relations Board (NLRB) can adjudicate grievances between workers and employers, while collective bargaining agreements usually include grievance and arbitration procedures. An arbitrator is empowered to make a binding decision to resolve the dispute between the parties, whereas a mediator merely facilitates discussions between the parties to reach an agreement.

Arbitration can be avoided in several ways, such as through negotiation and agreement by the parties involved in the dispute, prior to reaching the arbitration stage. The opinion of the arbitrator cannot be appealed unless there is evidence of bias or that the arbitrator exceeded their powers.

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Consider a British pound-U.S. dollar dual currency bonds that pay £581.40 at maturity per $1,000 of par value. If at maturity, the exchange rate is $1.80 = £1.00, Multiple Choice : you should insist on getting paid in dollars. it is an advantageous situation for investors holding this bond. it is a disadvantageous situation for the issuer of the bond. investors holding this bond are better off for the exchange rate and the issuer of the bond is worse off for the exchange rate.

Answers

**The correct answer is "investors holding this bond are better off for the exchange rate and the issuer of the bond is worse off for the exchange rate."**

In this scenario, the exchange rate at maturity is $1.80 = £1.00. The bond pays £581.40 per $1,000 of par value, which means if an investor holds this bond, they will receive £581.40 for each $1,000 at maturity. With the exchange rate of $1.80 = £1.00, the investor will receive more dollars for each pound, resulting in a favorable exchange rate for them.

Therefore, investors holding this bond benefit from the exchange rate because they receive a higher amount in dollars when converting the pounds they receive at maturity. On the other hand, the issuer of the bond will need to pay more dollars to fulfill the bond's obligation due to the favorable exchange rate, which puts them at a disadvantageous position.

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Assume that on December 31, 2024. Kimberly-Clark Corp. signs a 10-year, non-cancelable lease agreement to lease a storage building from Pharoah Storage Company. The following information pertains to this lease agreement. 1. The agreement requires equal rental payments of $67,699 beginning on December 31,2024. 2. The fair value of the building on December 31,2024 , is $495,702. 3. The building has an estimated economic life of 12 years, a guaranteed residual value of $11,000, and an expected residual value of $7,400. Kimberly-Clark depreciates similar buildings on the straight-line method. 4. The lease is nonrenewable. At the termination of the lease, the building reverts to the lessor. 5. Kimberly-Clark's incremental borrowing rate is 8% per year. The lessor's implicit rate is not known by Kimberly-Clark.

Answers

The lease agreement between Kimberly-Clark Corp. and Pharoah Storage Company is a finance-lease.

To determine whether a lease is classified as an operating lease or a finance lease, certain criteria must be evaluated. In this case, the lease meets the criteria for a finance lease based on the following factors:

1. The lease term of 10 years exceeds 75% of the building's estimated economic life of 12 years.

2. The present value of the lease payments at the beginning of the lease exceeds 90% of the fair value of the building.

To calculate the present value of the lease payments, we can use the formula:

PV = PMT × [(1 - (1 + r)^-n) / r],

where PV is the present value, PMT is the equal rental payment, r is the discount rate, and n is the number of rental payments.

Using the given information:

PMT = $67,699,

r = 8% (Kimberly-Clark's incremental borrowing rate),

n = 10 (number of rental payments).

Calculating the present value:

PV = $67,699 × [(1 - (1 + 0.08)^-10) / 0.08] = $523,430.

Since the present value of the lease payments exceeds 90% of the fair value of the building ($495,702), the lease is classified as a finance lease.

Based on the information provided, the lease agreement between Kimberly-Clark Corp. and Pharoah Storage Company is classified as a finance lease. This classification is determined by evaluating the lease term and the present value of lease payments. By classifying it as a finance lease, Kimberly-Clark will record the building as an asset and recognize a liability for the present value of lease payments.

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Generally speaking, do the pension funds can take at most
average risk?

Answers

Generally speaking, pension funds can take on an average level of risk. Pension funds are long-term investors who need to generate enough returns to pay pensions to their members in the future. While they are investing, pension funds consider both the risk and return of their investments.

They tend to focus on long-term investments such as equities and bonds rather than short-term investments. As a result, pension funds may be able to take on more risk than other investors due to their long-term nature. However, they still need to ensure that their investments are diversified to avoid excessive risk.

The level of risk that pension funds can take on depends on their specific circumstances, such as their liabilities, funding level, and investment objectives. Therefore, it is essential for pension funds to have a sound investment strategy that considers all of these factors.

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Which statement is false?
If you expect interest rates to rise, you would prefer a fixed-rate over a variable-rate mortgage.
You are likely to be charged a lower interest rate on an insured mortgage than a conventional mortgage.
On-reserve land is often the property of the First Nation, thus individuals can only mortgage and own the home.
The premium on CMHC mortgage loan insurance is maxed at 4.5% for traditional down payments.

Answers

The statement that is false is: The premium on CMHC mortgage loan insurance is maxed at 4.5% for traditional down payments.

The premium on CMHC (Canada Mortgage and Housing Corporation) mortgage loan insurance is not capped at 4.5% for traditional down payments. The premium rates for CMHC mortgage loan insurance can vary depending on various factors, including the down payment amount and the loan-to-value ratio.

The premium rates charged by CMHC are based on a sliding scale, where a higher down payment results in a lower premium rate. Generally, the higher the down payment, the lower the premium rate.

The specific premium rates for CMHC mortgage loan insurance can be obtained from CMHC's official website or by contacting CMHC directly. It is important to refer to the official information provided by CMHC to determine the accurate premium rates.

The false statement is: The premium on CMHC mortgage loan insurance is maxed at 4.5% for traditional down payments. The premium rates for CMHC mortgage loan insurance are not capped at 4.5% and can vary based on factors such as the down payment amount and the loan-to-value ratio.

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Differences between hedge funds and mutual funds are that

A. hedge funds are only subject to minimal SEC regulation.
B. hedge funds are typically open only to wealthy or institutional investors.
C. hedge funds managers can pursue strategies not available to mutual funds such as short selling, heavy use
of derivatives, and leverage.
D. are commonly structured as private partnerships.
E. all of the above

Answers

The answer is E: all of the above. Hedge funds are different from mutual funds because hedge funds are only subject to minimal SEC regulation, typically open only to wealthy or institutional investors, commonly structured as private partnerships, and hedge fund managers can pursue strategies not available to mutual funds such as short selling, heavy use of derivatives, and leverage.

Hedge funds and mutual funds are two distinct investment strategies that differ in terms of investment goals, management, and structure. Mutual funds pool funds from many investors to purchase a diversified mix of stocks, bonds, and other securities. On the other hand, hedge funds use advanced investment strategies such as derivatives, leverage, and short selling to earn high returns.Hedge funds are different from mutual funds in various ways. Firstly, hedge funds are typically open only to wealthy or institutional investors. Unlike mutual funds, which are open to retail investors and can be purchased on the stock exchange, hedge funds are privately offered investment funds. Secondly, hedge funds are only subject to minimal SEC regulation, which enables hedge funds to use advanced investment strategies and avoid the restrictions imposed on mutual funds.Thirdly, hedge funds are commonly structured as private partnerships, which allow them to operate without much scrutiny or oversight from regulators. Hedge funds are typically managed by experienced investment managers who are responsible for making investment decisions on behalf of investors.Finally, hedge fund managers can pursue strategies not available to mutual funds such as short selling, heavy use of derivatives, and leverage. This enables hedge fund managers to earn high returns, but it also exposes investors to higher risks.

In conclusion, hedge funds and mutual funds differ in terms of investment goals, management, and structure. Hedge funds are different from mutual funds because hedge funds are only subject to minimal SEC regulation, typically open only to wealthy or institutional investors, commonly structured as private partnerships, and hedge fund managers can pursue strategies not available to mutual funds such as short selling, heavy use of derivatives, and leverage.

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Atlas Corp. is considering two mutually exclusive projects. Both require an initial investment of $11,500 at t = 0. Project S has an expected life of 2 years with after-tax cash inflows of $5,800 and $7,700 at the end of Years 1 and 2, respectively. Project L has an expected life of 4 years with after-tax cash inflows of $4,136 at the end of each of the next 4 years. Each project has a WACC of 9.25%, and Project S can be repeated with no changes in its cash flows. The controller prefers Project S, but the CFO prefers Project L. How much value will the firm gain or lose if Project L is selected over Project S, i.e., what is the value of NPVL- NPVS? a. $1,233.88 b. $732.85 c. $955.61 d. $1,472.71 e. $1,348.02

Answers

To determine the value gained or lost by selecting Project L over Project S, we need to calculate the net present value (NPV) of each project and then compare them. the value of NPVL - NPVS is approximately $885.43.

To clarify, the value in question refers to the difference in net present value (NPV) between Project L and Project S. In the previous calculation, the value of NPVL - NPVS was found to be approximately $885.43. This indicates that if Project L is chosen over Project S, the firm would gain an additional value of $885.43., the value is approximately $885.43. This means that the firm would gain $885.43 by choosing Project L instead of Project S.

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If you were managing countries with high growth, large market, and a well-trained workforce, you would be referring to the: ASEAN BRICS PIIGS

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If you were managing countries with high growth, large market, and a well-trained workforce, you would be referring to the BRICS countries.

BRICS stands for Brazil, Russia, India, China, and South Africa, which are considered emerging economies with significant economic potential, sizable populations, and a skilled labor force. These countries have been recognized for their rapid economic growth, expanding consumer markets, and investments in education and workforce development. They often attract attention as attractive destinations for business and investment opportunities due to their favorable demographic and economic indicators.

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Other Questions
Create the social media crisis plan to deal with the crisis you are going to face while you are selling your product onlineEnsure you have a workable plan ready for dealing with crisis situations. These steps will help:1. DetectBefore you can even begin to work on an issue, you have to know that there is an issue in the first place. To effectively manage your social media presence, you have to be tuned into the chatter surrounding your brand.Dealing with everyday complaints or posts with negative sentiment is a part of your regular reputation management. However, make sure that you are taking the time to look at the big-picture view to see if there is something bigger on the horizon.2. IdentifyIdentify what led to the problem. Who was involved? What happened and when did it happen?Once you have a clear and objective view of the problem, its time to look into steps to fix it. Make sure that you not only have control of the situation, but that each involved team in your organization is synced on how to deal with the situation and potential future crises like it.3. ConsiderWell call these the four Ts:Tone What should be the tone of your response? Make sure that it aligns both with your companys tone in general, but also with the appropriate tone demanded by the situation. If you can be lighthearted about the incident, be lighthearted. If its a serious issue, communicate in a serious tone.Timeliness How long ago did the incident happen? Make sure you are reacting as quickly as you can without tripping over your own feet in an effort to correct your mistake. This is why it is so important to be efficient in how you take apart the problem and prepare your communication strategy.Thoroughness What networks are you covering? This is not like posting content; you do not need to be everywhere, drawing even more attention to a problem you would like to have people accept and move past. Consider how the story is spreading, and address it in the same way.Transparency In almost every situation, transparency is best. That means not only should your response acknowledge any mistake your brand made, but it also should show that you are trying to deal with it honestly. This means openly broadcasting all of the steps that you are taking to fix it and make sure it does not happen again.4. RespondNow, its time to respond. Ensure your team has their social media posts ready on all appropriate channels, then send them out. Be prepared to continually deal with further feedback also, alert your PR team to your communications strategy so that news reports only include the official positioning. It is highly useful to be using a CMS tool here, to make sure that you are controlling the conversation to the fullest extent.Once you have developed a plan, make sure to circulate it within your organization. Everyone in marketing, PR, and sales should read it. You could even try running scenarios with your team to test your preparation.With a good crisis plan in place and the proper training, your team can safely avoid a potential social media catastrophe. Complete with object pronouns. Quin les sirvi la comida a los pasajeros a bordo del avin? El asistente de vuelo _______ _______ sirvi. Responses les les la se la nos lo 3. conventional finance theory assumes investors are , and behavioral finance assumes some systematic . group of answer choices rational; irrationality irrational; rationality philanthropic; irrationality greedy; philanthropic behavior REFLECTIVE JOURNALWrite a journal on What does the research say about includinggifted students in the regular education classroom? the number of failures of a testing instrument from contamination particles on the product is a poisson random variable. on average there are 0.02 failures per hour.(a) What is the probability that the instrument does not fail in an 8-hour shift?(b) What is the probability of at least one failure in a 24-hour day?Round your answers to four decimal places (e.g. 98.7654). 89F What are the three level of intervention to control Hazard? I MI B C a 99+ 1 DIFFERENCES IN PERSONALITY TRAITS Leen Deong Sue requests a meeting with Ken Arnold, the Korean team's American liaison, to discuss the Korean team's unease with individual competition as well as their desire for more clear-cut rules. She wants to gauge Ken's reaction to these issues before she makes suggestions for improving production procedures. Ken is interested in the Korean team's impression of the American system. The plant manager has used the individual incentive concept of years, yet he feels that the team concept he's been reading about might increase productivity and employee satisfaction. Ken and a pleasantly surprised Leen agree to write a proposal to the plant manager about moving towards team incentives. Ken is also puzzled by the Korean need for clearer ruler. He tells Leen that Americans generally don't like specific behavioral rules will go well. However, after a long discussion, they decided that a question-and-answer session to clarify plant policies will ease the Korean's transition and be a good opportunity to build rapport with the American workers. Leen is encouraged by Ken willingness to listen and respect his request. They then agree to meet regularly to discuss ways they can ease the Korean team's discomfort and improve overall effectiveness of the production area. Case Study Question 1) Why is there a difference in how the Korean team and the Americans work? 2) Using the Big Five Model, explain the personality traits that both Ken and Leen have? (a) A 1,000 par value bond with a term of 5 years and a coupon rate of 6% payable semi-annually is purchased to yield 8% convertible semi-annually. Find the purchase price using Equation 4.2 (from the lecture notes). Round your answer to the nearest cent. (b) Find the purchase price for the bond in part (a) using the premium-discount formula (Equation 4.3). Round your answer to the nearest cent. As mentioned previously, it is usually the case that the redemption amount and the face amount are the same (C = F). Unless indicated otherwise, this is assumed when bond prices are listed in the financial press. If this is so, the bond price can be expressed as P = Fv+Franj. (4.2) Using the identity v? = 1 - jami, Equation 4.2 becomes P = C + (Fr Cj)aj = F + F(r j)ami. (4.3) In August, Ralph bought a new set of golf clubs that cost $775. The cost of the clubs was marked up to $800 in October. Which proportion can be used to find what percent of the original price the new price is, if p represents the unknown percent?a.565/650 = p/100b.100/650 = 565/pc.556/650 = 100/pd.650/565 = p/100 AG Inc. made a 10,000 sale on account with the following terms: 2/10, n/30. If the company uses the net method to record sales made on credit, what is/are the debit(s) in the journal entry to record the sale? O Debit Accounts Receivable for 9,800 O Debit Accounts Receivable for 9,800 and Sales Discounts for 200 O Debit Accounts Receivable for 10,000 O Debit Accounts Receivable for 10,000 and Sales Discounts for 200 Question 32 Earnings per share relate to preference shares only ordinary shares only. both preference and ordinary shares neither preference nor ordinary shares A large urn contains 34% red marbles, 42% green marbles and 24% orange marbles. The marbles are also labeled with the letters A or B: 20% of the red marbles are labeled A, and 80% are labeled B. Tim's scores the first 5 times he played a video game are listed below. 4,526 4,599 4,672 4,745 4,818 Tim's scores follow a pattern. Which expression can be used to determine his score after he played the video game n times?A 4,453n +73B 73(n+4,453)C 4,526nD 73n+4,453 Alice deposits $ 100 into an account today and $ 200 five years later. Interest for the first 10 years is credited at a nominal discount rate of d compounded semi-annually , and thereafter at a nominal interest rate of 8 % compounded quarterly . The accumulated balance at the end of 20 years is $ 1000. Calculate d.Unfortunately, this is the end of the question. No more information can be provided. First Bank is considering giving Ivanhoe Company a loan. First, however, it decides that it would be a good idea to have further discussions with Ivanhoe's accountant. One area of particular concern is the inventory account, which has a December 31 balance of $278,000. Discussions with the accountant reveal the following: 1. The physical count of the inventory did not include goods that cost $95,000 that were shipped to Ivanhoe, FOB shipping point, on December 27 and were still in transit at year end. 2. Ivanhoe sold goods that cost $37,000 to Pharoah, FOB destination, on December 28. The goods are not expected to arrive at their destination in India until January 12. The goods were not included in the physical inventory because they were not in the warehouse. 3. On December 31, Flint had $30,000 of goods held on consignment for Ivanhoe. The goods were not included in Ivanhoe's ending inventory balance. 4. Ivanhoe received goods that cost $27,000 on January 2. The goods were shipped FOB shipping point on December 26 by Bridgeport. The goods were not included in the physical count. Determine the correct inventory amount at December 31. Determine the correct inventory amount at December 31. The correct cost of inventory is: Ending inventory-physical count Adjustments: Add to inventory: 1. Title passed to Ivanhoe when goods were shipped 2. Title remains with Ivanhoe until buyer receives goods 3. Consignor (Ivanhoe) owns goods 4. Title passed to Ivanhoe when goods were shipped $ LA Mrs. Martinez has $10,000 to invest. One bank offers her a return of 7.5% on the whole sum. Another bank offers her a return of 8% on part of the sum, and 6% on the rest of the sum. How much of the $10,000 would need to be invested at 8% at the second bank, for the overall return to be the same as at the first bank? 2) [10 points) Let a,b,n 2 such that amon, and ged(a,b) = 1. Prove that ab. (Note: This was a HW problem.) I NEED HELP ASAP PLEASE! Solve the recurrence relation an+2 + an+1 20an = 0, ao = 4, a1 = -11. Not yet answered Marked out of 5.00 Flag question Explain the importance of the term "Compensation" in human resource management and support your answer with the proper example. Time left 1:58:23 Question 42 Not yet answered Marked out of 5.00 Flag question Explain the importance of the term "Compensation" in human resource management and support your answer with the proper example. The sooner the better, please helpWhich of the following groups has the authority to set and enforce accounting practices and standards for companies that issue securities to the public? SEC GASB FASB O NYSEWhich of the following ac