首页> 外文期刊>Journal of Economic Development, Environment and People >Financial Management of the Company Treasury Department During the Current Economic Crisis
【24h】

Financial Management of the Company Treasury Department During the Current Economic Crisis

机译:当前经济危机期间公司财务部的财务管理

获取原文
       

摘要

Any management decision has a direct monetary impact on the structure uses and sources of cash. Cash Management aims to permanently maintain a balance between inflows and outflows of cash and cash to predict the impact of any operational decisions that could affect these flows. The success of any business requires good management of all these flows. The principle of this approach is relatively simple: using a minimum of ores to obtain maximum performance in a given period. Cash management is an extremely complex issue, and balancing receipts and payments flow is a constant struggle for survival of firms. In It work we will focus on how they are oriented in a going concern basis, cash inflows and financing needs of current operations. Managers should understand and know the specific movements of cash within the business system, driven daily decisions on operating, investing or financing, and a variety of external circumstances which affect the company. Such decisions and events can affect the company's ability to pay its obligations to obtain credit from suppliers, banks or credit institutions and to maintain an operational level in line with the company's products and services through investments.
机译:任何管理决策都会对结构用途和现金来源产生直接的金钱影响。现金管理旨在永久保持现金流入与流出之间的平衡,以预测可能影响现金流量的任何运营决策的影响。任何企业的成功都需要对所有这些流程进行良好的管理。这种方法的原理相对简单:在给定的时间内使用最少的矿石即可获得最佳性能。现金管理是一个极其复杂的问题,收支平衡是企业生存的不竭努力。在工作中,我们将重点关注持续经营中它们的方向,现金流入和当前业务的融资需求。经理们应该了解并了解业务系统中现金的具体流动,有关运营,投资或融资的日常决策以及影响公司的各种外部情况。此类决策和事件可能会影响公司支付其义务以从供应商,银行或信贷机构获得信贷的能力,以及通过投资维持与公司产品和服务一致的运营水平的能力。

著录项

相似文献

  • 外文文献
  • 中文文献
  • 专利
获取原文

客服邮箱:kefu@zhangqiaokeyan.com

京公网安备:11010802029741号 ICP备案号:京ICP备15016152号-6 六维联合信息科技 (北京) 有限公司©版权所有
  • 客服微信

  • 服务号