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Cash flow forecasting /

Budgets are like road maps -- they provide a direction for a corporates financial management. Balance sheets and statements of revenues also provide insights into how well a company is following that direction. But cash flow and cash flow forecasts are what guide the day-to-day itinerary for an orga...

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Detalles Bibliográficos
Clasificación:Libro Electrónico
Otros Autores: Fight, Andrew
Formato: Electrónico eBook
Idioma:Inglés
Publicado: Oxford : Elsevier Butterworth-Heinemann, 2006.
Colección:Essential capital markets.
Temas:
Acceso en línea:Texto completo
Texto completo

MARC

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245 0 0 |a Cash flow forecasting /  |c edited by Andrew Fight. 
260 |a Oxford :  |b Elsevier Butterworth-Heinemann,  |c 2006. 
300 |a 1 online resource (x, 252 pages) :  |b illustrations. 
336 |a text  |b txt  |2 rdacontent 
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338 |a online resource  |b cr  |2 rdacarrier 
490 1 |a Essential capital markets 
520 |a Budgets are like road maps -- they provide a direction for a corporates financial management. Balance sheets and statements of revenues also provide insights into how well a company is following that direction. But cash flow and cash flow forecasts are what guide the day-to-day itinerary for an organization. Budgets and cash flow are dynamic -- adjustments and changes can and should occur. If you understand what you are looking at, you can use cash flow to create better budgets and thus more accurate cash flow forecasting. Cash Flow Forecasting outlines the techniques required to undertake a de. 
505 0 |a Cover -- Contents -- Preface -- 1 Overview of cash flow forecasting -- Introduction -- What is a healthy cash flow? -- What are the uses of cash flow forecasting? -- 2 Summary of financial statements -- Introduction -- The annual report and accounts -- Statements of standard accounting practice, and financial reporting standards -- The auditors' report -- The balance sheet -- Assets and liabilities -- Debtors -- Creditors -- Stock and work in progress -- Borrowing as shown in a company's accounts -- Fixed assets -- Authorized and issued share capital -- Reserves -- The profit and loss account -- Turnover -- Problems with financial statements and auditors -- Conclusion -- 3 Factors impacting financial performance -- Introduction -- Strategic analysis -- the external environment -- Environmental analysis -- PEST analysis -- Competitive analysis -- Strategic analysis -- the value chain -- Value chain competition example -- Management -- Profitability and performance -- Return on equity -- Net profit margin -- Reliability of financial information -- Asset management -- Asset turnover and liquidity -- Stock turnover -- Collection period -- Payment period -- Net working assets to sales and overtrading -- Capital structure -- Financial leverage -- Financial flexibility -- Interest cover -- Cash flow -- Cash and profit -- Operational cash flow -- Cash flow forecasting -- Percent-of-sales forecasting -- Forecasting methodology -- Sustainable growth -- Corporate failure -- Reasons for failure -- Recent research -- Failure prediction models -- 4 Cash flow forecasting of financial statements -- Why cash flow analysis? -- Purpose of projections -- Historical performance and variable input analysis -- Defining the initial assumptions -- Procedure for constructing projections -- Profit and loss statement projections -- Net sales projections -- Completing the profit and loss projections -- Cost of goods sold/gross margin projections -- Selling, general and administrative expense (SGA) -- Operating profit -- Profit before tax -- Balance sheet projections -- Assets -- Fixed assets, capital expenditure and depreciation -- Inventory turnover -- Accounts receivable turnover -- Cash and marketable securities -- Liabilities -- Current liabilities -- Accounts payable -- Accrued expenses payable -- Debt runoff schedule + future facility -- Net worth -- New money need -- Amortization schedule for new debt -- Completed AmaOS forecasted balance sheet -- Cash flow projections -- Construction and evaluation of future cash flow model -- Cash flow ratio analysis -- Interest cover ratio -- Financing payments cover ratio -- Total debt payout -- Long term debt payout -- Debt service ratio -- Sensitivity analysis -- Protection and control in term lending -- Covenants, events of default, and their relationship to projections -- Conclusion -- Chapter self-test -- Chapter self-test answers -- 5 Cash flow forecasting of project finance -- Introduction -- Details of project and borrower -- Cash flow forecasting. 
504 |a Includes bibliographical references (page 209) and index. 
588 0 |a Print version record. 
590 |a ProQuest Ebook Central  |b Ebook Central Academic Complete 
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650 0 |a Cash flow. 
650 0 |a Cash management. 
650 6 |a Gestion de trésorerie. 
650 7 |a Cash flow  |2 fast 
650 7 |a Cash management  |2 fast 
700 1 |a Fight, Andrew. 
758 |i has work:  |a Cash Flow Forecasting (Text)  |1 https://id.oclc.org/worldcat/entity/E39PCXf3MGvWdvXDMgBHcTykrC  |4 https://id.oclc.org/worldcat/ontology/hasWork 
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830 0 |a Essential capital markets. 
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