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ACCT301 Cost Accounting

Question

Answered

Questions:

Q1.  DCT Corporation are in the manufacturing of soft drinks and produces three products X, Y and Z. During the year 2014, the joint costs of processing the three products were SAR 450,000. The following are the information related with production and sales value:
Product    Units    Sales Value at Split-Off    Separable Costs        Selling Price
X    675,000         SAR 25 per unit         SAR 11.00 per unit          SAR 75 per unit
Y    525,000         SAR 21 per unit         SAR 7.00 per unit          SAR 68 per unit
Z    300,000         SAR 17 per unit         SAR 7.00 per unit           SAR 52 per unit
Allocate the joint costs to each product using the physical output method. 
Q2. What are “Non-routine Operating Decisions?” Examine any one non-routine operating decision with suitable example and discuss what quantitative and qualitative factors should be considered in making such decision?
Q3. ABC Ltd. is preparing a budget for 2015. Following are the information related with budget preparation:  
Budgeted selling price per unit     =     $150 per unit
Total fixed costs             =     $80,000
Variable costs             =     $50 per unit
Required:
Prepare flexible budget for 1,200, 1,400, 1,600 and 1,800 units. 
Q4. Explain with suitable examples why the support department costs are allocated to operating department? Briefly explain any one method of such allocation with numerical examples. 

ACCT301 Cost Accounting

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PMC150 finance and accounting

On January 1, 2020 company ABC purchases a truck for $67,000, economic life is 6 years and useful life is 10 years, it has a residual value of $7,000 after it us used as a trade in. The truck has a 400,000 km life. The CFO wants you to the following analysis for depreciation determine the yearly amo ...

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Financial or Accounting

Using the data in the Option 1 Spreadsheet (linked at the bottom of the page), perform the accounting required for the acquisition of Little, Inc. by Big, Inc. This is an 80% acquisition, where the book value of the assets acquired equals the acquisition price. Within the worksheet, you are to:1.&nb ...

View Answer
Q

Business Management

 Use the language of financial accounting and financial reporting. 2. Explain the purpose, content, format and practical applications of the following financial statements, the Profit and Loss Statement, the Balance Sheet, the Statement of Cash Flows and the relationship between these financial ...

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Q

Management

 Journalise adjusting journal entries.  Explanations are not required. (2.5 marks)   Enter the trial balance on a worksheet and complete the worksheet of Bright Learning for June 2015.    Prepare the income statement.         ...

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