The value of rate in the C statement const double rate = 3.5; is bound at compile time.
How to explain the informationThis is because the keyword const indicates that the variable rate is a constant, which means that its value cannot be changed at runtime. The value of rate is therefore assigned at compile time, when the program is being translated into machine code.
The value of rate in the C statement const double rate = 3.5; is bound at compile time. This is because the keyword const indicates that the variable rate is a constant, which means that its value cannot be changed at runtime. The value of rate is therefore assigned at compile time, when the program is being translated into machine code.
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The items below list several e-mail practices. If the practice describes something workers should do when using e-mail for business purposes, select Do. If the practice describes something workers should not do when using e-mail for business purposes, select Don't.
include a signature.
include lots of exclamation marks to get your point across.
include the thread of previous messages.
make e-mail messages brief.
always mark messages as urgent so your e-mails will be read first.
use a relevant subject line.
use all capital letters when the message is urgent.
Answer:
do
don't
do
do
don't
do
dont
write short notes by Napier bone
Answer:
Napier's bones is a manually-operated calculating device created by John Napier of Merchiston, Scotland for the calculation of products and quotients of numbers. The method was based on lattice multiplication, and also called 'rabdology', a word invented by Napier. Napier published his version in 1617.
How much would it cost the government each day to provide an earned-income tax credit under which workers as a group receive the same economic surplus as they do under the $12 per hour minimum wage? (assume for simplicity that the earned-income tax credit has no effect on labor supply.) the tax credit would cost the government $ per day.
The consumer is only concerned about the cost.A charge against him. So when taxes are transferred to consumer through price increases, then the supply curve will turn left.
Typically, the provider will manage the transition only transfers some of the tax to the customer, and pays the balance on his own. As a result, if the supplier will be paid less. Hence, the vendor curve will move upward as well.Therefore, the total PS will drop by $12.the reduction in consumer excess will be the amount of money received by the government in method of taxation, and notify the deceased weight loss is the quality that has been lost because of reduced demand It is calculable as (IncreaseInPB) * Consumer SurplusLost (QeOld) + (QeOld) + (IncreaseIn PB) +QeNew)W The price that the provider receives will be decreased by the consumer’s tax payment amount,With is 6, and the provider must likewise pay 6 tax.
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A company that has issued new common shares for $50 million and repaid debt of $20 million out ot the proceeds will have
The company's actions indicate a strategic shift towards a stronger capital structure, with a higher proportion of equity financing and reduced reliance on debt. This move may be aimed at improving the company's financial health, reducing interest costs, and positioning itself for future growth opportunities.
When a company issues new common shares for $50 million and uses the proceeds to repay debt amounting to $20 million, it undergoes a capital restructuring that affects its balance sheet and financial position. By issuing new common shares, the company raises additional equity capital, which increases its total shareholder equity. This infusion of funds can be used for various purposes, such as funding expansion initiatives, reducing leverage, or improving liquidity.
The repayment of debt using the proceeds from the share issuance reduces the company's total liabilities, resulting in a lower debt burden. This can lead to a decrease in interest expenses and improve the company's creditworthiness. Additionally, reducing debt can enhance the company's financial stability and flexibility.
Overall, the company's actions indicate a strategic shift towards a stronger capital structure, with a higher proportion of equity financing and reduced reliance on debt. This move may be aimed at improving the company's financial health, reducing interest costs, and positioning itself for future growth opportunities.
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To save money, a potato chip company has decided to just keep airing its most popular ad all year and not create any new ads. What is MOST likely to be the result of this decision?
People will get tired of seeing this same ad over and over.
Consumers will like the familiarity of seeing an ad they recognize.
The potato chip company will become more popular than ever.
Other companies that invest in multiple ads will end up losing money.
Answer:
The correct answer is the first option: People will get tired of seeing this same ad over and over.
Explanation:
To begin with, the fact that the company will try to keep the costs stable in order to avoid increasing them will end up affecting the company at the long run due to the fact that the because of the continuos advertisement being showed the people will eventually get tired of it and that will cause a reject on the brand and with that a bad view of the way the act regarding the boring innovation that they have on showing their products. So with time, the consumers will end up buying less or at least feeling less comfortable with the brand itself due to repetition, the lack of creativity and use of good marketing.
Answer:
the first one
Explanation:
Search online, list the 30 firms in DJIA with the industry each firm is in.What is the trading hours of NYSE?
The NYSE, or New York Stock Exchange, is the world's largest stock exchange by market capitalization.
It is located on Wall Street in New York City and operates as a marketplace for buying and selling publicly traded securities, including stocks, bonds, exchange-traded funds (ETFs), and other financial instruments.
The 30 firms in the Dow Jones Industrial Average (DJIA) are:
1. Walmart (Retail)
2. Apple (Technology)
3. Microsoft (Technology)
4. Amazon (Retail)
5. Berkshire Hathaway (Holding Company)
6. UnitedHealth Group (Healthcare)
7. JPMorgan Chase (Financial Services)
8. Johnson & Johnson (Healthcare)
9. Visa (Financial Services)
10. Procter & Gamble (Consumer Goods)
11. Goldman Sachs (Financial Services)
12. ExxonMobil (Energy)
13. Chevron (Energy)
14. Intel (Technology)
15. Cisco Systems (Technology)
16. Coca-Cola (Beverages)
17. IBM (Technology)
18. Pfizer (Pharmaceuticals)
19. 3M (Manufacturing)
20. United Technologies (Industrial)
21. American Express (Financial Services)
22. Boeing (Aerospace)
23. Walt Disney (Entertainment)
24. McDonald's (Restaurants)
25. Dow (Chemicals)
26. Merck (Pharmaceuticals)
27. Travelers Companies (Insurance)
28. Verizon (Telecommunications)
29. Home Depot (Retail)
30. Salesforce.com (Software)
The trading hours of the New York Stock Exchange (NYSE) are Monday to Friday, 9:30am to 4:00pm Eastern Time.
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If the total soda market is $50 Billion and Dr. Pepper has a $10 Billion market, what is Dr. Pepper's market share?
Answer:
20%
Explanation:
Dr pepper has 10 bil out of 50 bil which is (10/50)×100 which is 20%
you have acquired 40 million dollars by issuing bonds. the ytm of the bond is 8%you have also acquired 40 million dollars by missing preferred stocks. the net price is 98% of the par and the fixed dividend rate is 8%.you have also acquired 20 million dollars via a long-term bank rate loan. the apr is 5%there is no floatation cost of any kind, and your tax rate is 30%. what is your after-tax wacc?
The after-tax WACC is 5.3188, which can be rounded to 0.0532 or 5.32% when expressed as a percentage. Need to consider the different sources of financing.
To calculate the after-tax weighted average cost of capital (WACC), we need to consider the different sources of financing and their respective weights. In this case, we have three sources: bonds, preferred stocks, and a bank loan. First, let's calculate the after-tax cost of debt (bonds). The Yield to Maturity (YTM) of the bonds is given as 8%, and the tax rate is 30%. So the after-tax cost of debt is 8% * (1 - 0.30) = 5.60%. Next, let's calculate the after-tax cost of preferred stocks. The net price of the preferred stocks is 98% of the par value, and the fixed dividend rate is 6%. The after-tax cost of preferred stocks is the fixed dividend rate divided by the net price, which gives us 6% / 98% = 6.12%.
Now, let's calculate the after-tax cost of the bank loan. The APR of the loan is 4%, compounded annually. Since the interest expense is tax-deductible, the after-tax cost of the bank loan is the APR multiplied by (1 - tax rate), which gives us 4% * (1 - 0.30) = 2.80%. Finally, let's calculate the weights of each component. The total financing is $30 million + $40 million + $10 million = $80 million. So the weight of bonds is $30 million / $80 million = 0.375, the weight of preferred stocks is $40 million / $80 million = 0.500, and the weight of the bank loan is $10 million / $80 million = 0.125.
To calculate the after-tax WACC, we multiply the weight of each component by its respective after-tax cost and sum them up: After-tax WACC = (0.375 * 5.60%) + (0.500 * 6.12%) + (0.125 * 2.80%) By performing the calculations, we find that the after-tax WACC is 5.3188, which can be rounded to 0.0532 or 5.32% when expressed as a percentage.
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Incomplete Question :
You have acquired 30 million dollar by issuing bond. The Yield of Maturity of the bond is 8%.
You have also acquired 40 million dollar by issuing preferred stocks. The net price is 98% of par and the fixed dividend rate is 6%.
You have also acquired 10 million dollars by a long term loan from Bank ABC. The APR is 4% and is compounded annually.
There is no floatation cost of any kind, and your tax rate is 30%.
What is your after tax WACC? (Write your answer with four decimals. For example, if your answer is 7.52%, write your answer as 0.0752)
This question is worth 2 points. answer asap
Which career pathway describes the two main aspects of the Business, Management, and Administration career
cluster?
O Management and Budgeting
Secretarial and Administration
Management and Administration
O Marketing and Business
PLEASE HELP ME
Answer:
Secretarial and Administration
Explanation:
Business, Management, and Administration can be defined as a strategic process which typically involves controlling, directing and organizing the personnel and resources of a business in order to achieve the goals and objectives of the business firm. Thus, it provides students with the requisite knowledge and skills for the effective and efficient management of the operations of a business based on factors such as finance, administrative functions, records, and secretarial.
Hence, the career pathway which describes the two main aspects of the Business, Management, and Administration career cluster are Secretarial and Administration. These two aspects deals with office management, records and book keeping, typing of documents, etc.
Answer:
C
Explanation:
Alfalfa Mining Company went through a capital restructuring recently where they issued new stock and used the proceeds to pay off some notes payable and long-term debt. Assets and operating income were unaffected.
Check all that apply:
The profit margin increased.
The current ratio increased.
The times interest earned ratio increased.
The equity multiplier increased.
The statements that apply for the Mining Company went through a capital restructuring recently where they issued new stock and used the proceeds to pay off some notes payable and long-term debt:
Option C. The times interest earned ratio increased
Option D. The equity multiplier increased.
Based on the information provided, we can determine the following:
1. The profit margin: The profit margin is the ratio of net income to sales revenue. Since the information states that assets and operating income were unaffected, it doesn't necessarily imply that the profit margin increased. It would depend on other factors like changes in expenses or sales.
2. The current ratio: The current ratio is calculated by dividing current assets by current liabilities. The capital restructuring, which involved issuing new stock and paying off some notes payable and long-term debt, may have affected the current assets and liabilities. Without specific information about the changes in current assets and liabilities, we cannot determine whether the current ratio increased or not.
3. The times interest earned ratio: The times interest earned ratio is a measure of a company's ability to cover interest payments on its debt. Since the restructuring involved paying off some notes payable and long-term debt, it is likely that the interest expense would decrease, potentially leading to an increase in the times interest earned ratio.
4. The equity multiplier: The equity multiplier is a measure of a company's financial leverage and is calculated by dividing total assets by total equity. Since the capital restructuring involved issuing new stock and paying off debt, it is likely that the total assets increased while the total equity remained relatively stable or decreased. This would result in an increase in the equity multiplier.
Therefore, the statements that apply are:
The times interest earned ratio increased.
The equity multiplier increased.
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Preparing as much as possible for your first day of work can help workers to ________. a. remember important tasks they have forgotten b. let employers see how hard working they are c. use up stores of nervous energy they have d. feel unprepared for their new challenges Please select the best answer from the choices provided A B C D
Answer:
Use up stores of nervous energy they have.Explanation:
hopes this helps:)
Answer:
C
Explanation:
Use up stores of nervous energy they have. hope its right got you guys
A discount sale is also called a(n) _________________________. This is a reward for buying something now rather then later
An incentive is a discount that rewards the buyer for an immediate purchase rather than a future transaction.
What are other types of incentives?Other examples of sales Incentives are:
BonusesCommissionCouponsDiscountsBuy One Get One FreeIncentives are used to encourage customers to buy more, stay loyal, and help the business win more customers through word of mouth marketing.
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Identify the type of unemployment in each ease.
- The recession caused many restaurants to close dwon, David is out of a job ___
- It is the month of July Charles works as a elf at the mall every holiday season. ___
- Billy has worked as a telleat at the bank for 15 years, The bank releases a new umartphene app. ___
- Adam seeks a now earess path nhd laaves his Job at the englneering firm in pureult of his pasalon in music. ___
The types of unemployment are a) Cyclic Unemployment, b) Seasonal Unemployment, c) Structural Unemployment, d) Frictional Unemployment.
There are four main types of unemployment: cyclical, seasonal, structural, and frictional.
Cyclical unemployment is caused by economic downturns when businesses have to lay off workers due to a lack of demand for their products or services.
Seasonal unemployment occurs when businesses need fewer workers in certain months or seasons, such as in retail stores during the summer months.
Structural unemployment is caused by a mismatch between the skills and experience of available workers and the skills and experience needed for available jobs.
Frictional unemployment is caused by the process of job search and transition, such as when workers quit one job to pursue another.
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Emily just got a car. She needed insurance, so she has purchased the insurance and pays the premium. Who is Emily in this scenario? A. the person with power of attorney B. the insurer C. the policyholder D. the rider
Answer:
Policy holder
Explanation:
There is no power of attorney needed nor mentioned in the problem. The insurer is the one who sells the policy. The rider doesn’t have to have insurance so that is irrelevant.
Answer:
Policy Holder
For what purpose are goods and service produced in a socialist economy
Answer: The options are missing from the question,the options are;
A) Profits
B) Their usefulness
C) To create demands
D) To meet all consumer needs.
The correct answer to the question is option D
In a capitalist economy,goods and services are being produced for the sole aim of making profits and to accumulate capital, but when we talk about the SOCIALIST ECONOMY,it differs from the capitalist economy and the sole aim is different.
Socialist economy employs a technique known as usage value in the meeting of the needs and wants of the people, this prevents the over production or under production of goods and services based on their rewards and usage.
In socialist economy,goods are services are produced and those goods and services are made directly accessible to the people that is the masses. A scarce economic resources in a socialist economy are being utilized judiciously inorder to meet the needs of the consumers and make them satisfied in every way possible.
The ____ describe the hierarchy of command from the top down through all the different ranks of employees.
The chain of command describe the hierarchy of command from the top down through all the different ranks of employees.
The term you are looking for is "chain of command." The chain of command refers to the formal structure or hierarchy within an organization that outlines the authority, responsibility, and reporting relationships from top-level management down to lower-level employees.
It establishes a clear line of authority and communication flow, ensuring that each employee knows who they report to and who they are responsible for.
The chain of command typically starts with top-level executives or senior management, followed by middle managers, supervisors, and then front-line employees. It helps in maintaining organizational order, facilitating decision-making processes, and ensuring effective coordination and control.
By following the chain of command, organizations can establish a clear structure for decision-making, clarify roles and responsibilities, promote accountability, and facilitate effective communication and coordination across different levels of the organization.
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What is a business opportunity?
Answer:
a packaged business investment that allows the buyer to begin a business.
Explanation:
On January 1, firm issued $500,000 of 15 year, 6 percent bonds payable for $552,325, yielding an effective rate of 5 percent. Interest is payable on June 30 and December 31 each year. The firm records amortization on each interest date. Bond interest expense for the first six months, using effective interest amortization, is: Select one: A. $14,059 B. $13,808 C. $16,587 D. $15,000
Interest is paid semi-annually, and the bond interest expense for the first six months is $13,808. The correct option is B. 13808.
To calculate the bond interest expense for the first six months using the effective interest amortization method, follow these steps:
1. Determine the carrying amount of the bonds: In this case, the bonds were issued for $552,325.
2. Calculate the effective interest rate: The effective rate given is 5%, which should be divided by 2 to account for semi-annual payments (5% / 2 = 2.5%).
3. Calculate the interest expense: Multiply the carrying amount by the semi-annual effective interest rate ($552,325 * 2.5% = $13,808).
So, the bond interest expense for the first six months using the effective interest amortization method is $13,808, which corresponds to option B.
In summary, the effective interest amortization method is used to account for bond interest expenses in a way that allocates the cost of the bond over its life. In this case, the firm issued 15-year, 6% bonds payable for $552,325, with a 5% effective rate. The correct option is B. 13808.
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Which choice below shows all accounts that appear on the balance sheet? Multiple Choice Owner's Capital, Prepaid Insurance, Unearned Revenue, and Accumulated Depreciation Owner's Withdrawals, Service Revenue, Supplies, and Unearned Revenue Cost of Goods Sold, Land, Accounts Payable, and Sales Discounts
Answer:
The answer is:
. Owner's Capital
2. Prepaid Insurance
3. Unearned Revenue
4. Accumulated Depreciation
5. Land
6. Accounts Payable
Explanation:
Balance sheet also known financial position of a business contains asset, liability and equity.
The following accounts(from the question) will be found in the balance sheet.
1. Owner's Capital( Found under Equity)
2. Prepaid Insurance( under asset)
3. Unearned Revenue(under liability)
4. Accumulated Depreciation(under asset)
5. Land(under asset)
6. Accounts Payable(under liability)
as a would-be entrepreneur, how would you go about ascertaining whether or not a new technology is likely to fine a receptive market?
In order to determine whether the new technology is bringing about a gain, try to develop a method of tracking the cost-benefit tradeoffs. With effective controls, you can quickly ascertain whether it is successful or not.
What is a tradeoff?A trade-off is a situational choice when one feature of a set or design is diminished or lost in exchange for benefits in other areas. Limitations come from a variety of sources, including basic physics. For instance, only a certain volume of objects can fit into a given space, so a container that is already full must remove some items before it can hold any more. Additionally, vessels can carry a small number of large objects or a large number of small objects. A tradeoff implies a tactical or strategic decision that has been reached after careful consideration of the benefits and drawbacks of each configuration. Choosing between investing in bonds—which are generally safer but have lower potential returns—instead of more riskier stocks—which have a higher potential return—is an illustration of how the economy works.
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Consider the businesses that began in the founders garages? What were the benefits of starting in there garage for these companies ? Would you ever consider starting your business in your garage why or why not
Some of the benefits of starting their companies in their garage to the businesses were:
Low costs of operations Allows for work at odd hours Comfortable and familiar environmentFor the benefits above given, I would consider starting my business in my garage.
What are the benefits of starting a business in a garage?When you have your business in your own garage, you won't have to pay for things like rent and utilities for the business alone which would save you from costs of operating.
You can also work at the garage in odd hours like the early mornings and late nights without worrying about safety or being too far from home.
Also, you can dress as comfortably as you like because you'll still be home. This will help with creativity.
These are good reasons why I would start my business from my garage.
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what is the primary difference between a static budget and a flexible budget? question 7 options: the static budget contains only fixed costs, while the flexible budget contains only variable costs. the static budget is prepared only for units produced, while a flexible budget reflects the number of units sold the static budget is constructed using input from only upper level management, while a flexible budget obtains input from all levels of management. the static budget is prepared for a single level of activity, while a flexible budget is adjusted for different activity levels.
The volume or sales units utilized in the predictions are the primary distinction between the static budget and the flexible budget. While the flexible budget is modified for the actual volume, the static budget uses the initial volume forecast.
A flexible budget, in contrast to a static one, adapts to changes in sales, production levels, or business activities. For instance, if more raw materials are required as manufacturing quantities rise as a result of sales seasonality, a flexible budget might be implemented. Additionally, a flexible budget is preferable to a static one when planning for temporary employees or additional workers needed for overtime during busy times.
For firms with highly predictable sales and costs over shorter time periods, static budgets may be more useful. A static budget might be appropriate for a business if, for instance, the expenses of materials, utilities, labor, advertising, and manufacturing are consistent month after month in order to maintain operations and no change is anticipated.
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will a mistake in value of the subject of the contract allow a contract to be rescinded?
A mistake in value of the subject of the contract will not allow a contract to be rescinded When parties form a contract, their agreement establishes the value of the object of their transaction-for that moment.
What is the Fault for Mutual Mistake of Fact?A mistake of fact is a mistake that is not caused by the negligence of the party making the mistake that consists of his unawareness of a fact material to the contract.
If only one of the parties is mistaken, that party cannot rescind unless:
(1) the non-mistaken party had reason to know of the mistake and it was his fault that caused the mistake(2) the effect of the mistake is such that contract enforcement would be "unconscionable."Read more about contract mistake
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Which of the following would be a business selling the same thing in another country?
if I'm wrong please give more details? and ice cream parlour?
Answer:
I think cafe or Hotel will be the best business in another county.
yall anyone give me a mission statement to use please !!!!!
Answer:
need to know what its about?
Explanation:
suppose you are in business earning an accounting profit of $25,000. what is your economic profit if the implicit cost of your capital is $2,000 and the opportunity cost of your time is $23,000? what are you earning
If your time has a $23,000 opportunity cost and your capital has an implicit cost of $2,000, your economic profit will be $23,000.
What is the economic profits?The difference between the proceeds from the sale of a product and the prices of all inputs used, as well as any opportunity costs, is known as an economic profit or loss. Opportunity expenses and explicit costs are subtracted from earned revenues to determine economic profit.
How are economic profits determined?Revenue less explicit costs minus opportunity cost equals economic profit (or loss). All costs that are normally accounted for, such as labor costs, material costs, marketing expenses, depreciation, and taxes, are considered explicit costs.
In the following query, we apply the formula:
Economic Profit = Accounting Profit - Implicit Costs
Economic Profit= $25,000 - $2,000
Economic Profit= $23,000
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Examples of products for make to stock do not include the following: a) Packaged goods b) Aircraft c) Television d) Clothing
The examples of products for make-to-stock that do not include packaged goods, aircraft, television, or clothing.
Make-to-stock is a production strategy where products are manufactured based on anticipated customer demand. In this context, packaged goods, aircraft, television, and clothing are not typically considered examples of make-to-stock products.
Packaged goods often require customization or specific labeling, which makes them more suited for make-to-order production. Aircraft are typically made-to-order due to their complex design and customization requirements.
Television sets can have variations in features and configurations, making them better suited for make-to-order or assemble-to-order strategies.
Clothing, especially high-end or custom garments, are often produced based on specific customer measurements and preferences, making them more suitable for make-to-order production as well.
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Leslie’s firm collected a huge amount of data. Over time, the employees felt that the applications slowed down. What should Leslie do with the data?
A.
archive rarely used data
B.
delete old data
C.
make duplicate copies of the data
D.
outsource the data
E.
look for patterns in the data
Answer:
A.
Explanation:
Data archiving is a method used to move data that is no longer in use. In this method, a business archive its old data to a separate storage device for long-term retention of the data.
Data that is no longer actively used but is important for regulatory or operational purposes such as emails, files, records, etc. can not be deleted. So, the business opts for the data archiving method.
In the given case, Leslie should also go for data archiving. There are two ways of archiving the data. One, tape archiving and cloud archiving.
Therefore, option A is correct.
Essay: Are Songs Poems?
Write an introduction.
What are your agurments? Which side are you on? Do you agree or
disagree? Explain
Songs can be considered poems. The use of figurative language, rhyme, and meter, and the intention to express thoughts and emotions are all characteristics shared by both forms of literature. While songs may have additional elements such as music, these elements do not diminish the poetic qualities of the text.
Songs and poems share similar traits. Both forms of literature have meter, rhyme, and rhythm. Therefore, it is essential to determine whether songs can be considered poems. In this essay, I will argue that songs can be considered poems.
Arguments The similarity between songs and poems can be seen in various ways. For instance, both forms of literature use figurative language, such as metaphors, similes, and personification. Moreover, both forms are written to express emotions, thoughts, and ideas, to tell a story, and to make social and political commentary.
Additionally, both forms of literature use rhyme and meter to emphasize specific words and to establish a sense of harmony. Songs, however, are unique in the way they use music to enhance their poetic qualities. The use of music adds another layer of complexity to the text and allows for a deeper emotional connection between the listener and the artist.
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Select the correct location on the image.
Which box on a W-4 notes an employee's filling status?
Box number 3 on a W-4 notes an employee's filling status?
What is a W-4?
An IRS form known as a W-4, also known as a "Employee's Withholding Certificate," instructs employers how much tax should be deducted from each employee's paycheck. Employers utilize the W-4 to calculate some payroll taxes and remit the taxes on behalf of employees to the IRS and the state (if applicable).
If your employer already has a copy of your W-4 form on file, you do not need to fill one out again. Additionally, you are not required to complete a new W-4 annually. But you'll probably need to complete a new W-4 if you start a new employment or wish to change the withholdings at your current position. In either case, it's a good justification for reviewing your withholdings.
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