The demand for subassembly S is 150 units in week 7. Each unit of S requires 1 unit of T and 1 unit of U. Each unit of T requires 1 unit of V, 2 units of W, and 1 unit of X. Finally, each unit of U requires 1 unit of Y and 2 units of Z. One firm manufactures all items. It takes 2 weeks to make S, 2 weeks to make T, 2 weeks to make U, 1 week to make V, 2 weeks to make W. 1 week to make X, 2 weeks to make Y, and 1 week to make Z. Click the icon to view the product structure and the time-phased product structure. Construct a gross material requirements plan (type 0 if the input box is not used). Week Х tem 1 2 3 4 Lead Time (weeks) 5 6 7 S Gross reg Order release 2 T e product structure. Gross reg The time-phased product structure. Order release 2 U Gross reg S T Order release 2. 2 o ou (1) V (1) Gross reg Order release 2 U 1 PINK & W w Gross reg W (2) X (1) Y (1) Z(2) 6 7 Order release 2. 5 Time in weeks х Gross req Order release 1 Y Gross req Order release

Answers

Answer 1

The total requirement for W is 600, which is calculated by multiplying the requirement of 150 units of S by the 2 units of W needed to produce each unit of S.

Given the following: The demand for subassembly S is 150 units in week 7. Each unit of S requires 1 unit of T and 1 unit of U. Each unit of T requires 1 unit of V, 2 units of W, and 1 unit of X. Finally, each unit of U requires 1 unit of Y and 2 units of Z. One firm manufactures all items. It takes 2 weeks to make S, 2 weeks to make T, 2 weeks to make U, 1 week to make V, 2 weeks to make W. 1 week to make X, 2 weeks to make Y, and 1 week to make Z.To construct a gross material requirements plan, the lead time for each item must be considered. S is the final product, and it takes two weeks to make it. The materials needed to make S are T and U, and it takes two weeks to make each of these materials. T requires V, W, and X to make it; W requires P and W to make it, X requires 1 week to produce it, while V requires one week to make it. U, on the other hand, requires Y and Z, and it takes two weeks to produce it. Y and Z require one week and two weeks to produce, respectively. With the above information, we can construct a gross material requirements plan for the items. Here is a table showing the quantity of each item needed to satisfy the demand for 150 units of S in week 7.Week 7: Item Quantity Total requirement ST150150T150150V150150W300600X150150U150150Y300600Z6001200

The total quantity of each item is calculated by multiplying the requirements of the final product by the quantity needed to produce each item. For example, the total requirement for W is 600, which is calculated by multiplying the requirement of 150 units of S by the 2 units of W needed to produce each unit of S.

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Related Questions

Apple Inc.
Write a paper for investors to assess the company’s financial growth and sustainability.
Identify key performance indicators for the company you selected, including the following: The company and its ticker symbol Cash flow from operations Price-to-earnings ratio Stock dividends and the yield, if any Earnings per share ratio Revenue estimates for the next 12 months Revenue from the previous 3 years Statement of cash flows and identify net cash from operating, investing, and financing activities over the past 3 years Average trade volume. Current stock price, 52-week high, and 1-year estimated stock price Analysts’ recommendations for the stock (buy,sell, hold) Market cap for the company Relate the stock price to price-to-earnings ratio. Explain the market capitalization and what it means to the investor.
Evaluate trends in stock price, dividend payout, and total stockholders’ equity. Relate recent events or market conditions to the trends you identified.
Determine, based on your analysis, whether you think the organization is going to meet its financial goals, the outlook for growth and sustainability, and explain why you recommend this stock for purchase.

Answers

Apple Inc. has demonstrated a strong financial performance over the years, driven by its innovative products and strong brand. By analyzing key performance indicators, trends in stock price, dividend payouts, and total stockholders' equity, investors can gain valuable insights into the company's financial growth and sustainability.

Apple Inc. (AAPL) is a leading technology company that designs, manufactures, and sells consumer electronics, software, and online services. Key performance indicators for assessing the company's financial growth and sustainability include:

1. Cash flow from operations: Measures the cash generated from Apple's core business activities, indicating its operational efficiency and ability to generate consistent cash flow.

2. Price-to-earnings ratio (P/E ratio): Indicates the valuation of the company's stock relative to its earnings. A higher P/E ratio suggests higher investor expectations for future earnings growth.

3. Stock dividends and yield: Apple has historically paid dividends to shareholders, and the dividend yield indicates the annual dividend as a percentage of the stock price.

4. Earnings per share (EPS) ratio: Measures the company's profitability by dividing the net earnings by the number of outstanding shares. Higher EPS indicates higher profitability.

5. Revenue estimates for the next 12 months: Analyst projections of Apple's expected revenue in the upcoming year, indicating growth prospects.

6. Revenue from the previous 3 years: Assessing the trend in Apple's revenue provides insights into its historical performance.

7. Statement of cash flows: Analyzing net cash from operating, investing, and financing activities helps understand the sources and uses of Apple's cash over the past 3 years.

8. Average trade volume: Indicates the average number of shares traded daily, reflecting investor interest and liquidity.

9. Current stock price, 52-week high, and 1-year estimated stock price: These figures provide an overview of Apple's stock performance and potential future price movement.

10. Analysts' recommendations: Analysts' opinions on whether to buy, sell, or hold Apple's stock based on their assessment of its financial performance and growth prospects.

11. Market capitalization (market cap): Calculated by multiplying the stock price by the total number of outstanding shares, market cap represents the total value of the company in the stock market. It reflects investors' perception of Apple's worth and size.

Assessing trends in stock price, dividend payout, and total stockholders' equity is crucial to understanding Apple's financial performance. Recent events and market conditions should be considered to evaluate their impact on these trends.

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Helen Morgan opens a brokerage account and purchases 500 shares of Telkom stock at a price of R37.50 per share. The initial margin is 40%. A year later, the price of Telkom stock has fallen to R30 per share, what is the rate of return received by the investor? (Commisions and interest are ignored)

Answers

Helen Morgan has opened a brokerage account and has purchased 500 shares of Telkom stock at a rate of R37.50 per share. The initial margin is 40%. A year later, the price of Telkom stock has fallen to R30 per share. In order to calculate the rate of return that the investor has received, we have to first find the amount of money that was borrowed and the amount of money that was invested.

When you purchase shares of stock on margin, you are borrowing money from a broker to make the purchase. The amount of money that you are required to invest up front is known as the initial margin. If the value of the stock declines after you have purchased it, then the amount of money that you have borrowed may exceed the amount of money that you have invested. This can lead to a margin call, which requires you to deposit additional funds to maintain the required margin.The rate of return that you receive on your investment will depend on a number of factors, including the initial price of the stock, the amount of money that you borrow, the decline in the price of the stock, and the amount of money that you have remaining after the decline. In order to calculate the rate of return, you will need to take into account the amount of money that you have invested, the amount of money that you have borrowed, and the amount of money that you have remaining after the decline.

Helen Morgan received a rate of return of 40% on her investment in Telkom stock. This means that her investment has grown by 40% over the course of one year, despite the decline in the price of the stock. If the rate of return had been negative, then the amount of money that she would have lost would have been even greater, as she would have been required to deposit additional funds to maintain the required margin.

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Pfd Company has debt with a yield to maturity of 7.2​, a cost of equity of 14.2%​, and a cost of preferred stock of 10.3%. The market values of its​ debt, preferred​ stock, and equity are 11.3​million, 2.6 ​million, and ​15.8 million, respectively, and its tax rate is 22%. What is this​ firm's after-tax​ WACC? ​
Note: Assume that the firm will always be able to utilize its full interest tax shield.

Answers

The after-tax weighted average cost of capital (WACC) is approximately 8.74%, calculated using the given information on debt, equity, and preferred stock. Therefore, the determined after-tax WACC is 8.74%.

The given information is as follows:

Debt's yield to maturity = 7.2%

Cost of equity = 14.2%Cost of preferred stock = 10.3%

Market value of debt = $11.3 million. Market value of preferred stock = $2.6 million. Market value of equity = $15.8 million. Tax rate = 22%We are supposed to determine the after-tax weighted average cost of capital (WACC).

The formula to calculate after-tax WACC is given as:

After-tax WACC = [(Market value of debt / Total capitalization) × (Cost of debt) × (1 − Tax rate)] + [(Market value of preferred stock / Total capitalization) × (Cost of preferred stock)] + [(Market value of equity / Total capitalization) × (Cost of equity)]Where Total capitalization = Market value of debt + Market value of preferred stock + Market value of equity

Substituting the given values, we get:

Total capitalization = $11.3 million + $2.6 million + $15.8 million= $29.7 millionAfter-tax WACC = [(11.3 / 29.7) × 0.072 × (1 − 0.22)] + [(2.6 / 29.7) × 0.103] + [(15.8 / 29.7) × 0.142]≈ 0.0874 or 8.74%

Thus, the after-tax WACC is 8.74%.Therefore, the answer is 8.74%.

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Paraphrase the following lines from the beginning of Idylls of the King.

For many a petty king ere Arthur came Ruled in this isle, and ever waging war Each upon other, wasted all the land; And still from time to time the heathen host Swarmed overseas, and harried what was left. And so there grew great tracts of wilderness, Wherein the beast was ever more and more, But man was less and less, till Arthur came. For first Aurelius lived and fought and died, And after him King Uther fought and died, But either failed to make the kingdom one. And after these King Arthur for a space, And through the puissance of his Table Round, Drew all their petty princedoms under him. Their king and head, and made a realm, and reigned.

Answers

Idylls of the King is a poem by Alfred Lord Tennyson. The opening lines of the poem describe the chaos and lack of unity in Britain before King Arthur arrived to unify the land: Before Arthur came to power, many petty kings ruled over Britain, and they were always fighting each other, which led to the destruction of the land.

The heathen host frequently invaded and plundered what remained. As a result, large areas of wilderness emerged, where animals became increasingly dominant, and humans became fewer and fewer. Aurelius was the first king who fought and died, followed by King Uther.

Despite their best efforts, they could not unite the kingdom. Eventually, King Arthur came to power, and he managed to bring all the petty kingdoms together under one banner. By doing so, he became the king and the leader of all the kingdoms, and he created a united kingdom that he could rule over.

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Which of the following will cause the demand curve for grape jelly to shift to the left? O A decrease in the price of peanut butter assuming that peanut butter and jelly are complements O An increase in the price of marshmallow fluff assuming that grape jelly and marshmallow fluff are substitutes O A increase in the income of consumers, assuming that grape jelly is an inferior good O An increase in the wages of workers who work in the jelly factories O A decrease in the number of firms producing grape jelly

Answers

An increase in the price of marshmallow fluff assuming that grape jelly and marshmallow fluff are substitutes will cause the demand curve for grape jelly to shift to the left.

When two goods are considered substitutes, an increase in the price of one will typically lead to an increase in demand for the other. In this case, grape jelly and marshmallow fluff are assumed to be substitutes. If the price of marshmallow fluff increases, consumers may choose to substitute grape jelly for marshmallow fluff, leading to a decrease in the demand for grape jelly. As a result, the demand curve for grape jelly will shift to the left.

It's important to note that the other options provided would not cause a leftward shift in the demand curve for grape jelly:

A decrease in the price of peanut butter (assuming complements): A decrease in the price of peanut butter, a complement to grape jelly, would likely increase the demand for grape jelly, resulting in a rightward shift of the demand curve.

An increase in the income of consumers (assuming grape jelly is an inferior good): If grape jelly is considered an inferior good, an increase in consumer income would lead to a decrease in demand for grape jelly, causing a leftward shift in the demand curve.

An increase in the wages of workers in jelly factories or a decrease in the number of firms producing grape jelly: These factors relate to supply and production rather than consumer demand and would not directly affect the demand curve for grape jelly.

An increase in the price of marshmallow fluff, assuming it is a substitute for grape jelly, would cause the demand curve for grape jelly to shift to the left. This shift occurs because consumers may choose to substitute grape jelly with the relatively cheaper marshmallow fluff, leading to a decrease in the demand for grape jelly. It's important to consider the relationship between goods (substitutes or complements) and their respective prices when analyzing demand curve shifts.

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What would be your stakeholders mapping for HOPE? (300
words)

Answers

HOPE's stakeholders are divided into two categories: primary and secondary stakeholders.

Primary stakeholders include donors, volunteers, and beneficiaries, while secondary stakeholders include the government, media, and partner organizations.

HOPE's primary stakeholders are essential to the organization's success as they are the direct contributors to its mission. Donors support HOPE financially, while volunteers provide their time and skills to support the organization's activities.

Beneficiaries are the individuals or communities that benefit from HOPE's programs and services. Secondary stakeholders are critical to HOPE's success as well, as they can influence the organization's activities and impact.

The government may provide funding or regulations that affect HOPE's operations, while the media can help raise awareness and promote HOPE's work. Partner organizations may collaborate with HOPE to achieve shared objectives.

Understanding the diverse interests and needs of these stakeholders is crucial for HOPE to build strong relationships and maintain its positive reputation. HOPE can engage with stakeholders through various communication channels, including social media, newsletters, and community events.

By engaging with stakeholders effectively, HOPE can enhance its credibility, build trust, and achieve its mission of creating positive social change.

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If there is a certain stock, its price at time 0 is $100. In the following 2 periods, the stock price can be doubled or halved. The risk-free interest rate for each period is 25%. We need to hedge a short of a European call option that expires at the end of 2nd period and the strike price is $100. Imagine you are a seller of options. One day, a famous hedge fund tycoon came to you to buy option. Dare you sell it to him? By utilizing replicate method pricing and delta hedging in our class notes, how would you hedge the risk if there is no such call option available in the market. (Please use compounding frequency is 1 for each step in this setting.) Besides a numeric result, please briefly explain how you achieve this perfect hedging.

Answers

Yes, we can sell the call option to the hedge fund tycoon since we can hedge the risk using the replicate method pricing and delta hedging.

Here is how we can achieve this perfect hedging: We can replicate the option with a stock and cash (money market account). In this case, since we are shorting the call option, we need to sell shares of stock for the initial price and receive cash. Then we can store that cash in a money market account. After the first period, we can rebalance the portfolio by adjusting the number of shares and cash such that the delta of the portfolio matches the delta of the call option. The delta of the call option is calculated as: (Change in the price of the call option) / (Change in the price of the underlying asset). If the price of the stock is doubled, then the price of the call option will also double. Thus, the change in the price of the call option is $100 at the end of the first period. If the price of the stock is doubled, then the change in the price of the stock is $100.

Therefore, the delta of the call option is 1.0 at the end of the first period. We can adjust the portfolio to match this delta by buying more shares of stock and borrowing cash (if necessary). After the second period, we can again rebalance the portfolio to match the delta of the call option at that time. If the price of the stock is doubled again, then the change in the price of the call option will be $200 at the end of the second period. If the price of the stock is halved, then the change in the price of the call option will be -$50. Therefore, the delta of the call option at the end of the second period is 0.5. We can adjust the portfolio to match this delta by buying more shares of stock and borrowing cash (if necessary).By using this strategy, we can perfectly hedge the short call option position. At each period, the portfolio has the same delta as the call option, so the change in the value of the portfolio will exactly offset the change in the value of the call option. Therefore, there is no risk associated with the short call option position.

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Scenario A-- On 12/31/16 Parent Company purchased 75% of the common stock of Subsidiary Co with a purchase price of$2,500,000 FMV.
Scenario B -- On 12/31/16 25% of the common stock of Subsidiary Co was purchased by Guardian Co at FMV for price of $1,500,000.
Use the following fact situations:
Subsidiary Co - total common equity
At 12/31/16 $2,000,000 = BV = Fair Value At 12/31/17 $3,000,000=FairValue
Year ending 12/31/17 Net Income = $800,000 Dividends Paid = $400,000
Parent Company-Year ending 12/31/17 Net Income = $1,000,000 (Parent company only, not including any income of Subsidiary Co)
Guardian Co - Year ending 12/31/17 Net Income= $6,000,000 (Guardian Co only, not including and income of Subsidiary Co)
Scenario B -- Answer the following related to the Guardian Company financial statements.
What is the 12/31/16 balance sheet account "Investment in Subsidiary?"
What is the 12/31/17 balance sheet account "Investment in Subsidiary?"
What is the 12/31/17 income statement account "Equity Income of Unconsolidated Subsidiary?"
What is the 12/31/17 total net income of Guardian Company?
What is the 12/31/16 balance sheet account "Noncontrolling Interest?"
What is the 12/31/17 income statement account "Noncontrolling Interest?"
What is the 12/31/11tconsolidated net income of Parent Company?

Answers

In Scenario B, the following are the answers related to Guardian Company's financial statements:

1. The 12/31/16 balance sheet account "Investment in Subsidiary" is $1,500,000. This represents the cost of acquiring 25% of the common stock of Subsidiary Co at fair market value.

2. The 12/31/17 balance sheet account "Investment in Subsidiary" remains unchanged at $1,500,000. The balance is not adjusted based on changes in fair value unless there are impairments or significant changes in ownership.

3. The 12/31/17 income statement account "Equity Income of Unconsolidated Subsidiary" is not applicable to Guardian Company since it holds less than 50% ownership. Instead, Guardian Company records its proportionate share of Subsidiary Co's net income as "Income from Investment in Subsidiary" in its income statement.

4. The 12/31/17 total net income of Guardian Company is $6,000,000. This figure represents the net income generated by Guardian Company during the year, excluding any income from its investment in Subsidiary Co.

5. The 12/31/16 balance sheet account "Noncontrolling Interest" is not applicable to Guardian Company since it does not hold a noncontrolling interest in Subsidiary Co. The noncontrolling interest would be reported if Guardian Company had more than a 50% ownership stake in Subsidiary Co.

6. The 12/31/17 income statement account "Noncontrolling Interest" is not applicable to Guardian Company for the same reason mentioned above. It would only be reported if Guardian Company had a noncontrolling interest in a subsidiary, which is not the case in this scenario.

7. The 12/31/17 consolidated net income of Parent Company is $1,000,000. This represents the net income generated by the Parent Company alone and does not include any income from Subsidiary Co, as it is treated as an unconsolidated subsidiary in this scenario.

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SECOND BANK PROVIDES THE FOLLOWING EQUITY DATA: REGULATORY EQUITY RELATED ACCOUNTS COMMON STOCK 4,000.00 PREFERRED STOCKS 900.00 RETAINED EARNINGS 3,001.00 CAPITAL NOTES 1,000.00 SUBORDINATED DEBT 4,000.00 RESERVE FOR LOAN LOSSES 800.00 RISK WEIGHTED ASSETS 60,000.00 How much is Tier 2?

Answers

The Tier 2 of the bank is 1,800.00.So correct answer of given question is  

1,800.00.

The calculation of the Tier 2 of the bank given the regulatory equity-related accounts and the total risk-weighted assets is shown below:

Tier 2 = (subordinated debt + undisclosed reserves) + (0.5 * long-term hybrid capital instruments).

First, determine the amount of subordinated debt and the undisclosed reserve that will be added.

The bank's only regulatory equity-related accounts include common stock, preferred stock, retained earnings, and capital notes. As a result, the bank does not have any undisclosed reserves.

Subordinated debt = 4,000.00

Reserve for loan losses = 800.00

Therefore, Tier 2 = (4,000.00 + 0) + (0.5 * 900.00) = 1,800.00

As a result, the Tier 2 of the bank is 1,800.00.

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Company A expects that the us dollar will depreciate against the Singapore dollar from the spot rate of S$0.20 to S$0.15 in 30 days. The interbank lending rate of Singapore dollar 6.0% and the USA dollar is 6.5%, the borrowing rate for Singapore dollars 6.3% while that of USA dollar is 6.7%.
Assume that company A has a borrowing capacity of either $100 million or 150 million Singapore dollars in the interbank.
1. How could company A attempt to capitalize on its expectations without using deposited funds? Estimate the profits that could be generated from this strategy.
2. using the forecast exchange rate (technical forecasting, fundamental forecasting, use of PPP fundamental forecasting, and market-based forecasting) to forecast the Singapore dollar exchange rate in one month

Answers

To capitalize on its expectations without using deposited funds, Company A could engage in a currency arbitrage strategy called covered interest rate parity (CIRP). Here's how it can be done:

Borrow Singapore dollars worth $100 million from the interbank market at the borrowing rate of 6.3%.

Convert the borrowed Singapore dollars to US dollars at the spot rate of S$0.20 to get $20 million.

Invest the US dollars in the US interbank market at the lending rate of 6.5% for 30 days.

At the end of 30 days, receive the investment plus interest, which would be $20 million + ($20 million * 6.5% * (30/360)) = $20,361,111.

Convert the US dollars back to Singapore dollars at the forecasted exchange rate of S$0.15 to get S$3,054,167.

Repay the borrowed Singapore dollars, including interest, which would be S$100 million + (S$100 million * 6.3% * (30/360)) = S$100,525,000.

Calculate the profits by subtracting the repayment amount from the converted amount: S$3,054,167 - S$100,525,000 = S$2,953,167.

The estimated profits from this strategy would be approximately S$2,953,167.

Forecasting exchange rates involves different methods, and here are four commonly used approaches:

Technical forecasting: This approach uses historical price and volume data to identify patterns and trends in exchange rates. It relies on chart analysis and technical indicators to predict future rate movements.

Fundamental forecasting: This approach analyzes economic factors such as interest rates, inflation, GDP growth, and trade balances to determine the fair value of a currency. It assesses the fundamental strength of the economies to predict exchange rate movements.

Purchasing Power Parity (PPP) fundamental forecasting: PPP compares the prices of identical goods in different countries to determine the fair value of currencies. It suggests that exchange rates should adjust to equalize the purchasing power of different currencies.

Market-based forecasting: This approach considers market expectations and sentiment to predict exchange rate movements. It incorporates factors like investor sentiment, market positioning, and market reactions to economic events.

The specific method used to forecast the Singapore dollar exchange rate in one month is not provided in the question. Company A could employ any of these methods or a combination thereof to make their forecast.

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Assume that policymakers (politicians) are not happy with the outcome of what has occurred
in part C because market participants (homebuilders, realtors and of course homeowners) are not
happy with the outcome. Policymakers (politicians) attempt to support the price that existed before
the change which took place in C through a first time homebuyers tax credit. What impact will this
policy have on the market in the short run? What might happen to the market once this first time
homebuyers tax credit is allowed to expire?

Answers

If policymakers attempt to support the previous price levels in the market through a first-time homebuyers tax credit, it is likely to lead to a short-term increase in housing demand. This is because the tax credit would reduce the cost of buying a home for first-time buyers, increasing their purchasing power. As a result, the demand curve would shift outward, causing higher equilibrium prices and quantities in the market. This could subsequently result in the stimulated construction of more homes, potentially causing economic growth and job creation.

However, when the first-time homebuyer's tax credit expires, the quantity demanded of houses is likely to fall since the cost of purchase increases. Consequently, the quantity supplied is now greater than the demand, leading to an oversupply of houses in the market, thereby reducing housing prices to more sustainable levels. If this occurs, homeowners' wealth would decrease, which could lead to a decline in consumer spending and less investment in construction projects as builders realign their projected sales forecasts downwards.

In the long term, there could be two possible outcomes for the elimination of the first-time homebuyers tax credit. The first potential outcome is no impact, which means everything remains the same as the market continues to operate in equilibrium. The second possibility is that it could create significant instability in the market, leading to a decrease in demand, lower housing investment, and lost job opportunities. This could lead to higher levels of loan delinquencies, home foreclosures, and declines in the construction of new homes.

The implementation of a first-time homebuyer tax credit is likely to encourage demand and stimulate more home ownership in the short term. However, once the tax credit expires, the housing market will likely readjust to a new equilibrium, with prices and quantities settling at even more sustainable levels. Depending on the extent of the adjustment, once the policy is allowed to expire, increasing inventory levels could lead to price declines and even greater instability in the market. Policymakers must thus carefully weigh the potential risks and benefits of any policy aimed at shaping the market outcome.

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How to identify and screen potential franchisees?
Explain the reasons a business entrepreneur have a good
relationship with suppliers and lenders?

Answers

To identify and screen potential franchisees:Develop clear criteria for franchisee selection based on business requirements and values.

Advertise franchise opportunities, conduct thorough background checks, assess financial stability, evaluate relevant experience, interview candidates, and gather references. Implement a structured screening process to ensure compatibility and alignment with the franchise system.

Identifying and screening potential franchisees is crucial for maintaining a successful franchise network. Clear selection criteria help define the qualities and skills desired in franchisees. Advertising franchise opportunities through various channels attracts interested candidates. Conducting background checks helps uncover any red flags or legal issues. Assessing financial stability ensures that franchisees have the necessary resources to invest and sustain the business. Evaluating relevant experience helps gauge the candidate's suitability for the specific industry. Interviews provide opportunities to assess communication skills, motivation, and cultural fit. Gathering references from previous employers or business partners provides insights into the candidate's work ethic and reputation. Implementing a structured screening process ensures consistency and fairness in evaluating potential franchisees, ultimately contributing to the long-term success of the franchise.

2. Business entrepreneurs benefit from good relationships with suppliers and lenders because:Suppliers: Strong relationships with suppliers can lead to better pricing, priority access to goods or services, and improved reliability. Collaboration and mutual trust with suppliers foster long-term partnerships, timely deliveries, and access to innovative products. It enables entrepreneurs to meet customer demands efficiently, maintain product quality, and gain a competitive edge.

Lenders: A good relationship with lenders establishes trust and credibility, increasing the likelihood of obtaining favorable financing terms. Transparent communication and timely repayment build a positive credit history and open doors for future funding. Lender support during expansion or challenging times can provide essential financial resources and stability to sustain operations. Additionally, strong relationships with lenders may lead to access to specialized financial services and advice, aiding business growth and success.

Developing strong relationships with suppliers and lenders is critical for a business entrepreneur's success. Suppliers play a crucial role in providing goods or services necessary for operations. Building trust and rapport with suppliers can result in benefits such as discounted pricing, priority access to limited stock, and reliable delivery. Long-term partnerships with suppliers ensure a stable supply chain, timely availability of products, and access to new and innovative offerings. These advantages enable entrepreneurs to meet customer demands effectively, maintain consistent product quality, and stay ahead in a competitive market.

Having a good relationship with lenders is equally important. Lenders provide vital financial support for various business needs, such as startup capital, expansion projects, or working capital. Building trust and credibility with lenders through transparent communication, accurate financial reporting, and timely repayment establishes a positive credit history. This history enhances the entrepreneur's reputation and increases the likelihood of securing favorable financing terms, such as lower interest rates or longer repayment periods. During challenging times or growth phases, a strong relationship with lenders can provide essential financial resources and stability. Moreover, maintaining good relationships with lenders may grant entrepreneurs access to specialized financial services, valuable advice, and networking opportunities, facilitating business growth and long-term success.

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Awal Co. has a proposed project that will generate sales of 1094units annually at a selling price of $24 each. The fixed costs are $12017 and the variable costs per unit are $4.46. The project requires $30659 of fixed assets that will be depreciated on a straight-line basis to a zero book value over the 7-year life of the project. The salvage value of the fixed assets is $8,100 and the tax rate is 22 percent. What is the operating cash flow?

Answers

The operating cash flow for the project is $18,422.60.  This represents the cash generated from the project's operations after accounting for all expenses, taxes, and depreciation.

To calculate the operating cash flow, we need to determine the annual operating profit before taxes (EBT) and then adjust it for taxes.

1. Calculate the annual operating profit before taxes (EBT):

  Sales revenue = $26,256

  Variable costs =  $4,872.84

  Fixed costs = $12,017

 

  EBT = Sales revenue - Variable costs - Fixed costs

      = $26,256 - $4,872.84 - $12,017

      = $9,366.16

2. Calculate the annual taxes:

  Taxable income = EBT - Depreciation

                = $9,366.16 - ($30,659 / 7)

                = $9,366.16 - $4,379.86

                = $4,986.30

 

  Taxes = Taxable income * Tax rate

        = $4,986.30 * 0.22

        = $1,096.19

3. Calculate the operating cash flow:

  Operating cash flow = EBT - Taxes + Depreciation

                     = $9,366.16 - $1,096.19 + ($30,659 / 7)

                     = $9,366.16 - $1,096.19 + $4,379.86

                     = $12,649.83

The operating cash flow for the project is $12,649.83. This represents the cash generated from the project's operations after accounting for all expenses, taxes, and depreciation.

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ou are configuring certificates for a federation trust. You've already issued SSL certificates to the root CAs in both the accounts and partner forests. Now you need to export both root root CAs' certificates so they can later be imported in the opposite forests.
Click on the option you would use in the Certificates MMC console to accomplish this task.

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To export both root root CAs' certificates so they can later be imported in the opposite forests, the option in the Certificates MMC console that would be used is "Export". Certificates are issued to attest to the authenticity of a site, person, or device, as well as to encrypt data to provide security during transmission.

To exchange security information between forests or domains, you may need to use certificates. When a federation trust is established between two organizations, each organization must provide the other with a copy of its SSL root CA certificate. This certificate will be used to establish a secure SSL connection between the two parties.To achieve the above, the steps you would use to export both root CAs' certificates are:Click the Windows Start button and type “certificates” in the search box. From the results, click the Certificates MMC console to open it.

Click on the appropriate certificate folder, in this case, the Trusted Root Certificate Authorities, and then Certificates.Right-click the root CA certificate and choose All Tasks > Export.A new certificate export wizard will be launched, follow the prompts to export the certificate to a location of your choice. When the export is complete, you will receive a message stating the certificate was successfully exported. You can then provide a copy of the exported certificate to the opposite forest/domain.

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Which of the following elements demonstrate the degree of globalization? O High levels of trade and exchange between countries. O A low export to Gross Domestic Product ratio for a country. Rapidly growing Gross Domestic Product for several countries. O Large underground economies

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The following elements demonstrate the degree of globalization: High levels of trade and exchange between countries.

Rapidly growing Gross Domestic Product for several countries.Globalization has increased in recent years, leading to significant economic growth and interconnectedness. One way to gauge the degree of globalization is to look at the amount of trade and exchange between countries. When countries have high levels of trade, they tend to be more open and interconnected with one another. The increasing amount of global trade has led to a number of benefits, including increased access to new markets and a larger consumer base. Additionally, globalization has led to increased competition, which has helped to drive innovation and efficiency. As a result, countries that have embraced globalization tend to have rapidly growing economies and high levels of economic growth. This growth has enabled many countries to invest in infrastructure, education, and other areas that are critical for long-term economic success.In conclusion, high levels of trade and exchange between countries, as well as rapidly growing Gross Domestic Product for several countries are the elements that demonstrate the degree of globalization.

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TRUE / FALSE. "If the certificate of limited partnership that is filed
with the secretary of state is substantially defective, a general
partnership is created.

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The statement "If the certificate of limited partnership that is filed with the secretary of state is substantially defective, a general partnership is created" is FALSE.

In the context of limited partnerships, the filing of a certificate of limited partnership with the secretary of state is a crucial step in establishing the limited partnership. A certificate of limited partnership outlines the key details of the partnership, such as the names of the general and limited partners, the partnership's business purpose, and the duration of the partnership.

If the certificate of limited partnership is substantially defective, it means that there are significant errors or omissions in the filing that could potentially invalidate or render the document ineffective. In such cases, it does not automatically create a general partnership. Instead, it may lead to legal issues or complications that need to be addressed.

To properly form a limited partnership, it is essential to file an accurate and complete certificate of limited partnership, adhering to the requirements set by the relevant state laws. Failure to meet these requirements can result in the rejection of the filing or the need for corrections and amendments to the certificate.

If the certificate of limited partnership filed with the secretary of state is substantially defective, it does not automatically create a general partnership. Instead, it may result in legal complications, and it is necessary to rectify the deficiencies or refile the corrected certificate to establish the intended limited partnership.

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Create a map or an infographic that demonstrates how the supply chain would be structured for a college athletics department. Include the primary 1st-tier customers and suppliers, and 2nd-tier if possible. The more detail the better (e.g., geographical locations, dollar value of goods purchased from supplier(s), sales volume with customers).
Your map should be understandable to someone who does not work for the organization, but who is familiar with supply chain management.

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A map or infographic illustrating the supply chain structure of a college athletics department would include primary 1st-tier customers such as student-athletes, coaching staff, and athletic trainers. The suppliers could include athletic equipment manufacturers, apparel brands, sports facilities, and food and beverage vendors.

To create a map or infographic demonstrating the supply chain structure of a college athletics department, we can outline the key components and relationships involved. Here is an explanation of the main elements:

1. Primary 1st-Tier Customers:

- Student-Athletes: They are the primary customers of the athletics department as they participate in various sports programs and competitions.

- Coaching Staff: Coaches play a vital role in training and guiding student-athletes.

- Athletic Trainers: These professionals provide medical and rehabilitation support to ensure the well-being of student-athletes.

2. Primary 1st-Tier Suppliers:

- Athletic Equipment Manufacturers: Companies producing sports equipment, such as balls, bats, helmets, and protective gear, supply these products to the athletics department.

- Apparel Brands: Sportswear brands supply uniforms, jerseys, shoes, and other clothing items for the student-athletes and coaching staff.

- Sports Facilities: The college athletics department may partner with sports facilities to organize practices, games, and tournaments.

- Food and Beverage Vendors: These suppliers provide nourishment and refreshments for athletes during training sessions and competitions.

3. Secondary 2nd-Tier Suppliers:

- Academic Institutions: The athletics department may collaborate with academic institutions to provide educational support to student-athletes.

- Sports Medicine Providers: Medical professionals, hospitals, and specialized clinics offer additional healthcare services and expertise.

- Sponsorship Partners: Various companies and brands may sponsor the college athletics department, providing financial support, equipment, or promotional opportunities.

Geographical locations, dollar values, and sales volume can be incorporated into the map or infographic to provide a comprehensive view of the supply chain. This visual representation helps demonstrate the interconnectedness and dependencies within the supply chain of a college athletics department to someone familiar with supply chain management concepts.

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2020 2019 2018 Revenue 2,000,000 1,500,000 1,000,000 Using horizontal analysis on the above table, we can determine that Select one: O a. None of the choices O b. Even though revenue is increasing every year, the rate of increase from 2019 to 2020 is less than the rate of increase from 2018 to 2019. O c. The percentage increase in revenue from 2019 to 2020 is the same as the percentage increase in revenue from 2018 to 2019. O d. Revenue is increasing every year and the rate of increase from 2019 to 2020 is higher than the rate of increase from 2018 to 2019.

Answers

A technique for financial analysis called "horizontal analysis," commonly referred to as "trend analysis," evaluates how certain financial statement items have changed across a number of reporting periods. To find trends, patterns, and changes in important financial measures, entails comparing a company's financial data across time, usually from year to year.

The horizontal analysis helps in the comparative analysis of financial statements data over the years. This method shows the percentage change in the items of the financial statements over a period of years. This analysis of changes is called horizontal analysis.

Based on the table given, the revenue in the year 2018 was $1,000,000 and in 2019 it was $1,500,000 which shows an increase of $500,000. Then again from 2019 to 2020, the revenue increased by $500,000. Hence, the revenue for 2020 would be $1,500,000 + $500,000 = $2,000,000.Comparing the changes between years, we see that the rate of increase from 2019 to 2020 is less than the rate of increase from 2018 to 2019.

Hence, the answer is b. Even though revenue is increasing every year, the rate of increase from 2019 to 2020 is less than the rate of increase from 2018 to 2019.

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1. What is the quick ratio if cash is $20,500, accounts receivable are $45,000, inventories are $30,000, accounts payable are $60,000, and accrued interest is $20,000?
2. What is the current ratio if cash is $10,000, accounts receivable are $25,000, inventories are $30,000, accounts payables are $40,000, accruals are $15,000, and long term liabilities are $50,000
3. The quick ratio is 0.75. Current assets are $150,000 and current liabilities are $90,000. What is the amount in the inventory account?
4. What is a firm's total asset turnover if its fixed assets are $240,000, current assets are $60,000, current liabilities are $55,000, sales were $600,000, and net income was $120,000?
5. A firm has current assets of $800,000, current liabilities of $500,000, cost of goods sold of $1,000,000, and inventory of $250,000. What is the firm inventory turnover?
6. A firm has accounts receivable of $324,000. During the year, total sales are $957,000, of which $300,000 are cash sales. What is the average collection period?
7. What is a firms times interest coverage ratio if it posts revenues of $800,000, taxes of $45,000, COGS and operating expenses of $600,000, and interest of $50,000?
8. What is a firm's debt ratio if its total assets are $350,000, equity is $140,000, current liabilities are $40,000, and long term liabilities are $170,000?
9. Delta Co. has a debt ratio of 0.50, current liabilities of $80,000, and total assets of $320,000. What is Delta Co. long term liabilities?
10. Alex. Co. has sales of $6,450,000, total assets of $1,850,000, and total liabilities of $650,000, which consist of bonds. The firm's operating profit margin is 18%, and it pays a 12% rate of interest on its bonds. How much is the Alex. Co. interest coverage ratio?

Answers

Quick Ratio: 0.82, Current Ratio: 1.18, Inventory: $82,500, Total Asset Turnover: 4, Inventory Turnover: 4, Average Collection Period: 681.06 days, Times Interest Coverage Ratio: 4.9, Debt Ratio: 0.6, Long Term Liabilities: $160,000 and Interest Coverage Ratio: 5.234.

How We Calculated Different Types Of Ratios And Turnover Of Given Data

1. Quick Ratio = (Cash + Accounts Receivable) / (Accounts Payable + Accrued Interest)

  Quick Ratio = ($20,500 + $45,000) / ($60,000 + $20,000)

  Quick Ratio = $65,500 / $80,000

  Quick Ratio = 0.81875

2. Current Ratio = (Current Assets) / (Current Liabilities)

  Current Ratio = ($10,000 + $25,000 + $30,000) / ($40,000 + $15,000)

  Current Ratio = $65,000 / $55,000

  Current Ratio = 1.1818

3. Quick Ratio = (Current Assets - Inventory) / Current Liabilities

  0.75 = ($150,000 - Inventory) / $90,000

  $90,000 x 0.75 = $150,000 - Inventory

  $67,500 = $150,000 - Inventory

  Inventory = $150,000 - $67,500

  Inventory = $82,500

4. Total Asset Turnover = Sales / Average Total Assets

  Average Total Assets = (Fixed Assets + Current Assets) / 2

  Average Total Assets = ($240,000 + $60,000) / 2

  Average Total Assets = $300,000 / 2

  Average Total Assets = $150,000

  Total Asset Turnover = $600,000 / $150,000

  Total Asset Turnover = 4

5. Inventory Turnover = Cost of Goods Sold / Average Inventory

  Average Inventory = (Beginning Inventory + Ending Inventory) / 2

  Average Inventory = $250,000

  Inventory Turnover = $1,000,000 / $250,000

  Inventory Turnover = 4

6. Average Collection Period = (Accounts Receivable / Total Sales) x 365 days

  Average Collection Period = ($324,000 / ($957,000 - $300,000)) x 365 days

  Average Collection Period = ($324,000 / $657,000) x 365 days

  Average Collection Period = 1.867 x 365 days

  Average Collection Period = 681.055 days

7. Times Interest Coverage Ratio = (Operating Profit + Interest Expense) / Interest Expense

  Times Interest Coverage Ratio = ($800,000 - $600,000 + $45,000) / $50,000

  Times Interest Coverage Ratio = $245,000 / $50,000

  Times Interest Coverage Ratio = 4.9

8. Debt Ratio = (Total Liabilities) / (Total Assets)

  Debt Ratio = ($40,000 + $170,000) / $350,000

  Debt Ratio = $210,000 / $350,000

  Debt Ratio = 0.6

9. Debt Ratio = (Total Liabilities) / (Total Assets)

  0.50 = (Long Term Liabilities) / $320,000

  Long Term Liabilities = $320,000 x 0.50

  Long Term Liabilities = $160,000

10. Interest Coverage Ratio = Operating Profit / Interest Expense

   Interest Coverage Ratio = ($6,450,000 x 0.18) / ($1,850,000 x 0.12)

   Interest Coverage Ratio = $1,161,000 / $222,000

   Interest Coverage Ratio = 5.234

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Which of the following statements is true? Select one:
a. Vendors with past activity but with a zero current balance can be deleted.
b. Vendors with current balances can be inactivated.
C. Vendors with zero balances can be inactivated.
d. None of the above statements is true.

Answers

The correct option is C, because the true statement regarding vendor management is that: Vendors with zero balances can be inactivated. Vendor management is a procedure that involves the collaboration of your organization's acquisition department, accounting department, and the suppliers themselves to enable suppliers to provide higher-quality goods and services at the best possible cost.

Vendor management is critical to the success of any company, regardless of its size or industry. It can help businesses in several areas, including cost reduction, risk reduction, and improved vendor relationships. The true statement regarding vendor management is that: Vendors with zero balances can be inactivated. Explanation To be more specific, this means that vendors with no outstanding balances or unpaid invoices can be inactivated without causing any payment or accounting issues.

This action is usually done to clean up the system and free up space. In contrast, vendors with current balances can't be inactivated because it's crucial to keep track of those vendors to avoid overdue payments. Similarly, vendors with past activity but zero current balance cannot be deleted because there's still relevant data that may be used in the future. Hence, the correct option is C. Vendors with zero balances can be inactivated.

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If you deposit today $8,597 in an account for 6 years and at the end accumulate $11,722, how much compound interest rate (rate of return) you earned on this investment?

Answers

To determine the compound interest rate earned on an investment, we can use the formula for compound interest:

Future Value = Principal × (1 + Interest Rate)^Time

In this case, the principal (initial deposit) is $8,597, the future value is $11,722, and the time period is 6 years. We need to find the interest rate. Rearranging the formula, we have:

Interest Rate = (Future Value / Principal)^(1/Time) - 1

Substituting the given values, we get:

Interest Rate = ($11,722 / $8,597)^(1/6) - 1

Calculating this expression, we find the compound interest rate earned on this investment is approximately 4.25% per year.

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a stock just paid $1.6 dividend yesterday. the dividend is expected to grow at 2.4% per year thereafter. if the required rate of return of the stock is 10.2%, then using the dividend discount model, the stock price should be . (round your answer to two decimal places, such as 12.34).

Answers

The dividend discount model (DDM) is used to estimate the value of an investment based on its future cash flows, or dividends.

It's calculated as the present value of expected future dividends.

Given the following information:

Dividend paid yesterday,

D0 = $1.6

Expected growth rate of dividend, g = 2.4%

Required rate of return, r = 10.2%

Using the DDM, the stock price can be determined as follows:P = D1 / (r - g)P = $1.6 x (1 + 2.4%) / (10.2% - 2.4%)P = $1.64 / 0.078P = $21.03Therefore, the stock price is $21.03.

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A mixed economic system is best described an economy with a mix of
Choose matching definition
facts and predictions
free markets and government control
domestic and foreign buyers
both material and nonmaterial desires

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A mixed economic system is best described as an economy with a mix of free markets and government control.

A mixed economic system combines elements of both market-based capitalism and government intervention. It recognizes that while free markets are efficient in allocating resources and promoting economic growth, there are certain areas where government intervention is necessary to ensure fairness, equity, and social welfare.

In a mixed economic system, free markets play a significant role. They allow for private ownership of resources, competition among businesses, and voluntary exchange based on supply and demand. Free markets enable individuals and businesses to make economic decisions driven by self-interest and profit motive. This fosters innovation, efficiency, and productivity in the economy.

However, a mixed economic system also acknowledges the limitations of free markets and the need for government intervention. Government control can take various forms, including regulations, laws, fiscal policies, and social programs. Government intervention aims to correct market failures, such as externalities, monopolies, information asymmetry, and unequal distribution of resources. It also seeks to provide public goods and services, protect consumer rights, ensure fair competition, and address social and economic inequalities.

The combination of free markets and government control in a mixed economic system allows for a more balanced and inclusive economy. It recognizes the importance of economic freedom and entrepreneurship while ensuring that the government acts as a safeguard to protect public interests and promote social well-being.

In summary, a mixed economic system refers to an economy that incorporates both free markets and government control. It strikes a balance between the efficiency and innovation of market forces and the need for government intervention to address market failures and promote social welfare.

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the information provided by managerial accounting is of most benefit to a firm's

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The information provided by managerial accounting is of most benefit to a firm's management . Managerial accounting focuses on providing internal financial and non-financial information to help management make informed decisions and effectively run the organization.

This information includes detailed cost analysis, budgeting, performance evaluation, forecasting, and other decision-making tools. It enables management to understand the financial health of the company, identify areas of improvement, allocate resources efficiently, and set strategic goals.

With managerial accounting information, management can assess the profitability of different products or services, evaluate the effectiveness of various departments, determine optimal pricing strategies, and make informed decisions about investments and expansion.

Ultimately, managerial accounting information empowers management to make data-driven choices, improve operational efficiency, and achieve the company's objectives by effectively utilizing resources and maximizing profitability.

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Assume that interest rate parity exists. The spot rate of the Argentine peso is $.40. The one-year interest rate in the U.S.is 7%; the comparable rate is 12% in Argentina. Assume the futures price is equal to the forward rate. An investor purchased futures contracts on Argentine pesos, representing a total of 1,000,000 pesos. Determine the total dollar amount of profit or loss from this futures contract based on the expectation that the Argentine peso will be worth $.42 in one year

Answers

The total dollar amount of profit from this futures contract based on the expectation that the Argentine peso will be worth $.42 in one year is $20,000.

The formula to calculate the total dollar amount of profit or loss from the futures contract is as follows:Profit or loss = (F2 – F1) x Size of the contract x Number of contractsWhere:F1 is the initial forward rateF2 is the final forward rateSize of the contract is the total number of pesos covered by the contractNumber of contracts is the number of contracts bought or soldLet us calculate the forward rate.

Forward rate = Spot rate x [(1 + Rate in country 2)/(1 + Rate in country 1)]Forward rate = $.40 x [(1 + .12)/(1 + .07)]Forward rate = $.40 x [1.12/1.07]Forward rate = $.41757 ≈ $.42Forward rate is the rate at which the investor will sell Argentine pesos one year from now.

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Often times companies will poorly name their brands.
Perform some research and identify a brand that is poorly named. Then
a. Provide the name of the brand and the company that has made that mistake.
b. Write about why you think that is a mistake in one paragraph.

Answers

a. "Isuzu Mysterious Utility Wizard" is one brand that is frequently regarded as having a bad name. Isuzu Motors Ltd., a Japanese automaker, manufactures this particular kind of car.

b. "Isuzu Mysterious Utility Wizard" is an error for a number of reasons. First of all, the name is excessively complicated and offers no useful information about the product. It's unclear and doesn't provide prospective buyers a clear idea of what the product is or what it delivers.

Isuzu has assembly and production facilities in Fujisawa, which have existed there ever since the business was established there under previous names, as well as in the prefectures of Tochigi and Hokkaido. Worldwide, the majority of commercial markets sell cars with Utility Wizard the Isuzu brand.

While its Japanese rival Yanmar concentrates on commercial-level powerplants and generators, Isuzu's major market focus is on diesel-powered commercial trucks, buses, and construction.

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"Question 1 Heizer and Render advises that when analyzing and designing processes to transform resources into goods, the following questions should be asked: - Is the process designed to achieve competitive advantage in terms of differentiation, response or low cost? - Does the process eliminate steps that do not add value? - Does the process maximize customer value as perceived by the customer? - Will the process win orders? A Time-Function Map is similar to a flow process chart, but with time added to the horizontal axis. With time-function mapping, notes indicate the activities and arrows indicate the flow direction, with time on the horizontal axis.

1.1 Choose a process within your organization and construct a Baseline Time-Function Map.

1.2 Analyse the process and demonstrate how you would go about improving the process.

Answers

1.1 Baseline Time-Function Map The baseline time-function map is the starting point for analyzing the process and highlighting areas that require improvement. Below is a Baseline Time-Function Map for the ordering process. The horizontal axis represents time, while the vertical axis represents the various steps involved in the process, such as entering the order into the system, verifying the order, and delivering it to the customer. [tex]Baseline\ Time-Function\ Map[/tex]

1.2 Improvement Process Analysis of the ordering process indicates that several areas need improvement. The following are steps to improve the process: i. Developing a better communication strategy. This involves developing a communication strategy that involves the customer in the process.

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1. Preparing an Operations and Supply Chain Management Model Template (Canvas) based on the operations and supply chain concepts covered throughout the course and 2. Designing an operations and supply chain model of a company - your own "bread production business" - Mass Production or Master Baker. Design your own business. Define the operations and supply chain model which will suit your business model using your own operations and supply chain model canvas. Briefly describe your strategy and operating model.

Answers

1. Strategy: Our strategy is to provide high-quality bread products to customers in an efficient and timely manner, focusing on customer satisfaction and profitability.

2. offer a variety of freshly baked bread products, including artisanal loaves, specialty bread, and healthy s. Our products are made from locally sourced ingredients to ensure freshness and taste.

3. Process: Our production process combines traditional baking techniques with modern equipment to achieve consistent quality and efficiency. We prioritize proper ingredient sourcing, dough preparation, fermentation, baking, and packaging.

4. Capacity Planning: We analyze demand patterns and adjust production capacity accordingly. We maintain flexibility to accommodate seasonal variations and market fluctuations while minimizing waste and optimizing resource utilization.

5. Inventory Management: We employ a just-in-time inventory approach to ensure freshness and minimize waste. We monitor ingredient availability, track production output, and manage finished goods inventory to meet customer demand efficiently.

6. Supplier Management: We establish strong partnerships with local suppliers to ensure a reliable and consistent supply of high-quality ingredients. We maintain open communication, conduct regular quality assessments, and seek continuous improvement.

7. Quality Control: We implement stringent quality control measures throughout the production process. This includes regular testing, inspections, and adherence to food safety regulations to maintain the highest standards.

8. Distribution: We utilize a well-designed distribution network to deliver our products to various sales channels, including our

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More and more companies are opting to move away from the traditional approach of 'annual review' evaluating their employees' performance. Referencing your research and drawing on your own experience , what is your preference and why? Should reviews happen more frequently? In your research, did you uncover any "new" performance reviews methods?

Answers

Based on research and my own experience, I prefer a shift away from the traditional annual performance review approach towards more frequent and ongoing performance discussions.

Annual reviews often suffer from several limitations, including a lack of timely feedback, a focus on past events rather than ongoing development, and a tendency to create anxiety or stress for employees.

Frequent performance discussions, such as quarterly or monthly check-ins, provide several advantages. They allow for more timely feedback, enabling employees to make necessary adjustments and improvements in real time.

These discussions also foster open communication, collaboration, and goal alignment between managers and employees. Moreover, they facilitate continuous learning and development, as employees receive guidance and support throughout the year.

In my research, I've come across various "new" performance review methods that organizations are adopting. Some examples include:

1. Continuous Feedback: Encouraging ongoing feedback and communication between managers and employees, facilitated through regular one-on-one meetings or digital platforms. This promotes a culture of transparency and real-time performance improvement.

2. 360-Degree Feedback: Gathering feedback from multiple sources, including peers, subordinates, and customers, to provide a holistic view of an employee's performance. This method offers a broader perspective and encourages self-awareness and growth.

3. Objectives and Key Results (OKRs): Setting specific objectives and measurable key results to define and track employee performance. OKRs provide clarity and alignment, enabling employees to understand their contribution to overall organizational goals.

4. Real-Time Performance Tracking: Utilizing technology-driven platforms that enable continuous performance tracking and measurement. These tools allow for instant feedback, goal monitoring, and performance analytics.

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QUESTION 21 Explain in detail four types of probability sampling techniques. For the toolbar, press ALT+F10 (PC) or ALT+FN+F10 (Mac). BIUS Paragraph Arial D V 10pt !!! VE A I G

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In statistics, sampling is the process of selecting a sample of individuals or objects from a larger population. Probability sampling is a technique that involves the selection of samples using a random process.

There are four types of probability sampling techniques which are explained below:

Simple random sampling: This is a common probability sampling technique used in research. In this technique, each member of the population has an equal chance of being selected. This is achieved by numbering each member of the population and using a random number generator to select members of the population.

Stratified sampling: This type of probability sampling technique is used when the population is divided into subgroups or strata. In this technique, a random sample is selected from each stratum. This ensures that the sample represents the population and that there is adequate representation from each stratum.

Cluster sampling: This type of probability sampling technique is used when the population is large and it is difficult to select a simple random sample. In this technique, the population is divided into clusters, and a sample of clusters is selected using a random process. Then, all individuals in the selected clusters are included in the sample.

Systematic sampling: This type of probability sampling technique involves selecting a sample using a systematic approach. In this technique, a random starting point is selected, and every nth member of the population is selected to be included in the sample. This ensures that the sample is representative of the population.

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Other Questions
why do many people consider survivor guilt to be irrational, or unreasonable? Given the same cost schedules (ATC and MC) and the same demand curve, a monopolist will charge a _________ price and produces a ________ output than a perfectly competitive industry.lower; larger.lower; smallerhigher; largerhigher, smaller North Dakota Electronics Stores is planning to sell its Fargo, West Fargo, and Williston stores. The firm expects to sell each of the three stores for the same, positive cash flow of $F. The firm expects to sell its Fargo store in X years, its West Fargo store in X years, and its Williston store in Q years. The cost of capital for the Fargo and West Fargo stores is L percent and the cost of capital for the Williston store is I percent. We know that X> Q> 0 and L>1>0. The cash flows from the sales are the only cash flows associated with the various stores. Based on the information in the preceding paragraph, which one of the following assertions is true? a)The Williston store is the most valuable of the 3 stores b)Two of the three stores have equal value and those two stores are more valuable than the third store or all three stores have the same value c)The Fargo store is the most valuable of the 3 stores d)The West Fargo store is the most valuable of the 3 stores e)Cannot be determined based on the information given Blossom Company purchased equipment on March 31, 2021, at a cost of $272,000. Management is considering the merits of using the diminishing-balance or units-of-production method of depreciation instead of the straight-line method, which it currently uses for other equipment. The new equipment has an estimated residual value of $8,000 and an estimated useful life of either four years or 80,000 units. Demand for the products produced by the equipment is sporadic so the equipment will be used more in some years than in others. Assume the equipment produces the following number of units each year: 14,200 units in 2021; 20,400 units in 2022; 20,400 units in 2023; 20,000 units in 2024; and 5,000 units in 2025. Blossom has a December 31 year end. (a) Prepare separate depreciation schedules for the life of the equipment using: (Round depreciation per unit to 2 decimal places, e.g. 5.28 and final answers to O decimal places, e.g. 5,275.) bolster depreciate indiscriminate inquisitive nebulous relegate replete sedentary tenet terse he'd be __e)d to the 8. Before this semester, my much clearer idea of what work I want to UU. 9. The catcher worried that unless he started playing better, he'd be lous foods for the party. minor leagues. with all kinds of marvelous foods for them 10. The refrigerator was NOTE: Now check your answers to these items by turning to page 129. Going over the answers carefully will help you prepare for the next two practices, for which answers are not given. Sentence Check 2 Using the answer lines provided, complete each item below with two words from the box. Use each word once. 1-2. The guides at the Leaning Tower of Pisa are inundated with questions from _travelers: "Why is it leaning?" "How far is it leaning?" "Is it being_led to keep it from falling any further?" If the US dollar appreciates in value vis--vis the NZ dollar, then:The US students who come to Auckland for an exchange semester are better off.Exporters of goods from NZ to the US are worse off since NZ goods are now relatively more expensive.NZ importers of US goods are better off since US goods are now relatively cheaper.Tourists from NZ in the US are better off since their NZ dollars do not buy as much in the US as they used to. Fill in the blanks:Sam has a hypothesis that he wants to test. Sam works as a researcher with the National Food Administration. He is the one that goes out and tests the food that we eat to make sure that it is safe. Let's see how he follows the four-step method. The second step is____ Evaluate the following expressions without using a calculator. (a) sin^-1 (-1/2) (b) sin^-1 (sin 3/4) (c) cos (sin^-1 2/3)) Read the Article "Stick with a Bad New Job or Cut Your Losses?" Please write at least a 100-word reflection on the article. 1. What are your thoughts? 2. What would you do if your were in this situation? Think of a group or team in which you have held or currently hold membership. Explain how the stages of group/team development can be applied to this example group or team. You may use point form but provide a specific example for each stage. A research analyst for WHO (World Health Organization) feels that infant deaths are much higher for those nations that have a lower gross national product per capita. Using the data from The World Bank, the analyst regresses infant deaths per 1000 () on each country's gross national product per capita (x). The data renders the following equation: Y = 75.04-.003x, with a standard error of the slope for x of .0005. The R = 36.2% Where Y is life expectancy and x = GNP per capita What are the predicted death rates for a nation where the GNP is $758/capita?" Use all decimal places for your calculations, and round up to 2 decimal places for your final answer. the total cost (in dollars) of producing x food processors is C(x)=1900+90x-0.4x^2. (a) find the exact cost of producing the 71st food processor. (b) use the marginal cost to approximate the cost of producing the 71st food processor Once you have a Pivot Table complete: You are not allowed to add new fields You can add new fields by dragging and dropping into one of the quadrants You have to create a new Pivot Table to add new fields You have to save the file before you can add new fields [This question introduces you to an important kind of problem in sequential strategic settings.] Suppose that the High Speed Rail consortium (HSR) is deciding whether or not to build a high-speed railway between Melbourne and Sydney. Building the railway will involve an initial up-front sunk cost k. To keep the accounting simple assume that the railway, if built, will run for exactly one year, and that it will generate revenues of $130, 000, 000. Operating the railroad for that year would cost $10,000,000 in fuel, plus some labor costs. The labor costs depend on the wage. The railroad would need to employ 1000 workers all of whom would be unionized. The current going wage for union rail labor is $50,000. That is, without the new railway, these workers would earn $50,000. (a) (5 points) Very briefly define what is meant by a sunk cost, and what is meant by the 'sunk-cost fallacy'. [Go look it up if you do not know.] (b) (10 points) Assuming that the labor can be hired at this going wage, for what values of k should HSR build the new railroad? (Assume that HSR aims to maximize profits without discounting). (c) (10 points) Suppose that, if the railway is built, after it is built the rail union can make a take-it-or-leave-it' wage demand w to HSR to apply just for labor on the new line. The railway's only choice is to accept to pay the wage demand, w, or close the new line down. What demand will the union make? Given this, if you were HSR, for what values of k would you build the new line? Why is your answer different from that in part (b)? Now suppose that the wage demand made after the railway is built is not a 'take-it-or-leave-it' demand but rather part of negotiation. Suppose that, fearing strikes in the transport sector, the government has instituted compul- sory arbitration in wage disputes. The arbitrator always follows a two-step approach. First, she disqualifies any wage offers lower than the current go- ing wage (that is, such that employees would rather walk away than accept the offer), and also any wage demand that would cause the employer to shut down (that is, such that the employee would rather walk away than accept the demand). Provided the offers and demands survive this test, she then "splits the difference". What problem, issue, or opportunity for improvement that youplan toaddress in a Final Paper Assignment?What ideas do you have for a strategy to resolve the problem orimprove uponthe situation? Construct a Gantt Chart for construction of an online HotelManagement system. Novak Company is considering investing in a new facility to extract and produce salt. The facility will increase revenues by $232,100, but it will also increase annual expenses by $172,313. The facility will cost $991,000 to build, and it will have a $31.000 salvage value at the end of its useful life. Calculate the annual rate of return on this facility. (Round answer to 2 decimal places, eg. 52,75) Annual rate of return ________ % why did sioux and cheyenne indians sign on with buffalo bill's entertainment group? What is the relationship between literacy and freedom as presentedin Frederick Douglass' narrative. Please provide examples todevelop your point. Why does romeo believe that the apothecary will sell him poison?