1answer.
Ask question
Login Signup
Ask question
All categories
  • English
  • Mathematics
  • Social Studies
  • Business
  • History
  • Health
  • Geography
  • Biology
  • Physics
  • Chemistry
  • Computers and Technology
  • Arts
  • World Languages
  • Spanish
  • French
  • German
  • Advanced Placement (AP)
  • SAT
  • Medicine
  • Law
  • Engineering
densk [106]
4 years ago
11

The organization structure at Kinetic Machines is horizontally divided into Marketing, Finance, Production, and R&D departme

nts. Identify the departmentalization mode being used here. a) product.
b) geographic.
c) functional.
d) customer.
e) matrix.
Business
1 answer:
wlad13 [49]4 years ago
4 0

Answer:

e. Matrix mode of Departmentalization

Explanation:

The matrix mode of departmentalization seeks to bring a combination the best features of both the task force (product or project) as well as the functional departmentalization modes with the aim of improving the cooperation among several components that are required for a particular activity in the organisation.

The aim is to organize the departments in the organisation based on a particular project or product line as well as around functional lines. This ensures that the advantages of the two modes can be combined.

The matrix departmentalization mode puts each department on the same line as described in the question and since no department has an hierarchy over the other but are horizontally lined, it is expected that they can work better with one another. However, due to the lack of a clear hierarchical system of chain of order there could be uncertainty when defining the reporting chain.

You might be interested in
Merger and acquisition strategies:
Orlov [11]

Answer:

The correct answer is letter "E": are often driven by such strategic objectives as to expand a company's geographic coverage or extend its business into a new product categories.

Explanation:

A merger is a combination of two companies, usually by mutual agreement. Mergers are not exactly the same as acquisitions. In the <em>acquisition</em>, one company buys and subsumes another company, leaving only the purchaser in place. In most mergers, the two companies merge to form a completely new company.

Frequently, <em>mergers and acquisitions are conducted so that the operations of firms can be broaden and new opportunities can be taken advantage of in the new markets.</em>

4 0
3 years ago
The net income reported on the income statement for the current year was $121,900. Depreciation recorded on store equipment for
Lynna [10]

Answer:

See answers below.

Explanation:

In order to get net cash flow through indirect method, we will have to make adjustment to the net income; hence we get the increase or decrease of different accounts with the data balance.

a) End beginning cash $48,030 $44,190

Increase in cash $3,840

Accounts receivable(net) $34,440 $32,660

Increase in accounts receivable $1,780

Merchandise Inventory $47,020 $49,710

Decreased inventory -$2,690

Prepaid expenses $5,280 $4,200

Increase prepaid expenses $1,080

Accounts payable(Merchandise creditors) $45,000 $41,800

Accounts payable increase $3,200

Wages payable $24,590 $27,310

Decreased wages payable -$2,720

Per below, we have some accounts that are added (+) to the net income while some are also deducted (-).

Net income $121,900

Adjustment to reconcile the net income to cash

+ Depreciation $20,100

+ Increase in cash $3,840

- Increase in accounts receivable ($1,780)

+ Inventory decrease $2,690

- Increase prepaid expenses ($1,080)

+ Accounts payable increase $3,200

- Decreased wages payable ($2,720)

Net cash $146,150

b) Briefly explain why net cash flow from operating activities is different other than net income.

The reason is that while net income refers to the earned profit by a company for a period ; cash flow from operating activities are measurement of daily cash (in and out) expended on business operation. Cash flow give explanation on the use of cash in an organization on a daily basis which includes net income from the income statement, changes in working capital, adjustments to net profits etc. t is to be noted that the starting point of calculating cash flow from operating activities is the net income.

7 0
4 years ago
Kloss Inc. issued 4% bonds on October 1, 2021. The bonds have a maturity date of September 30, 2031 and a face value of $300 mil
tia_tia [17]

Answer:

$256,196,490      

Explanation:

The computation of the interest expense recognized in 2021 income statement is shown below:

For cash interest for 3 months, it would be

= $300,000,000 × 4% × 3 months ÷ 12 months

=  $3,000,000

For 3 months, it would be

= $255,369,000 × 6% × 3 months ÷ 12 months

=  $3,830,490    

The change in carrying value is

=  $3,830,490  - $3,000,000

= $830,490

So, the interest expense is

= $255,369,000 + $830,490

=  $256,196,490      

The 3 months is calculated from October 1 to December 31

3 0
3 years ago
Suppose you believe that energy companies will be making huge profits in the future, and you'd like to share in those profits. y
tatuchka [14]

Answer:

an energy mutual fund

Explanation:

Suppose you believe that energy companies will be making huge profits in the future, and you'd like to share in those profits. you're not sure which companies will be the most successful, or successful at all for that matter, so you decide you want to invest a little in a lot of companies to spread the risk. the best way for you to do that is by investing in an energy mutual fund

5 0
4 years ago
Ashley wants to increase the profits of her e-business. what two ways can be used to accomplish her goal of increasing profits?
olga55 [171]
<span>i think that increase the inventory is the best option because is more posible a opportunity to sell when there are a lot to sell</span>
5 0
3 years ago
Other questions:
  • Driver Products recently paid its annual dividend of $2, and reported an ROE of 15%. The firm pays out 50% of its earnings as di
    9·1 answer
  • The challenge of indirect benefits occurs when the social, economic, or environmental benefits of a company's sustainability com
    5·1 answer
  • On a​ break-even chart, the​ break-even volume is located​ __________. A. at the intersection of total revenue and target profit
    10·1 answer
  • In accounting for a long-term construction-type contract using the percentage-of-completion method, the gross profit recognized
    12·1 answer
  • The common stock of Auto Deliveries currently sells for $28.99 a share. The stock is expected to pay an annual dividend of $1.34
    12·1 answer
  • A good rule of thumb is to limit consumer credit payments to ____________ percent of your net monthly income.
    9·1 answer
  • 5. For the following observations, calculate the class width for a histogram.
    13·1 answer
  • Determine (a) the accounts receivable turnover and (b) the number of days' sales in receivables. Round interim calculations to t
    15·1 answer
  • After years of selling in the consumer market, Dave accepted a job as a salesperson for a firm that markets its products in the
    13·1 answer
  • Prof. business will have $1,600,000 saved up by retirement at age 65. the retired professor expects to live 20 more years after
    14·1 answer
Add answer
Login
Not registered? Fast signup
Signup
Login Signup
Ask question!