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The algorithm of cash flow forecasting in planning stage for construction project

机译:建筑项目规划阶段现金流预测算法

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The study suggests an algorithm, which forecasts cash flow in a planning stage to manage a liquidity crisis effectively. The algorithm involves calculation of optimal cash level considering time lag, item costs, and weight of items for construction projects. It also suggests a forecast of cash flow after a comparison of cash-in and cash-out with the simulation of billing time lag according to the earned value and time lag of each item. Forecasts on cash flow, moreover, are made using various simulations on the component ratio of each item according to the budget. Therefore, this study aims to provide a solution to liquidity problems from insufficient cash and a good measure to forecast a proper level of cash flow.
机译:该研究表明了一种算法,预测规划阶段的现金流动有效地管理流动性危机。 该算法涉及考虑时间滞后,项目成本和建筑项目物品的重量来计算最佳现金水平。 它还建议在比较现金和剥夺后的现金流量预测,并根据每个项目的赚取的价值和时间滞后模拟结算时间滞后。 此外,根据预算使用各种项目的组件比例进行现金流量的预测。 因此,本研究旨在为流动性问题的解决方案提供从现金不足的流动性问题和预测适当水平的现金流量的措施。

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