64 products were found matching your search for Cash Management in 1 shops:
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International Cash Management (2nd ed) (Treasury Management & Finance)
Vendor: Abebooks.com Price: 247.99 $Modern cash management is no longer restricted to the management of business cash flows and account balances. Nowadays, a cash manager is the treasurer s right-hand man, who, in addition to these core tasks, also bears responsibility for the management of interest and foreign exchange risks and for some of the company s corporate finance operations. In addition, he plays an important supporting role towards the working capital management of the company. This book provides an overview of the position and duties of the modern cash manager in an international company. In addition, it deals with the most important instruments used in contemporary cash management. It covers a cash manager s regular duties, such as the daily management of account balances and the conclusion of transactions in the financial markets. Examples are presented of several types of cash flow forecasts and an overview is provided of all relevant financial products. Furthermore, extensive attention is devoted to the establishment of a proper cash management infrastructure for the company. This includes setting up an (international) account structure, cash pools (international or otherwise), payment and collection factories and a netting system. Finally, a description is provided of the cash manager s role as a company adviser in relation to the management of its working capital. This book is primarily intended for (future) professionals in the corporate treasury and banking sectors, who wish to gain practical knowledge about the subject. It is also suitable for students who need to obtain a broad general overview of cash management as part of their business economics and administration studies. CONSIDER ALSO BUYING THE THIRD EDITION OF THIS BOOK EDITED BY WILLEM VAN ALPHEN
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International Cash Management (2nd ed) (Treasury Management & Finance)
Vendor: Abebooks.com Price: 56.19 $Modern cash management is no longer restricted to the management of business cash flows and account balances. Nowadays, a cash manager is the treasurer s right-hand man, who, in addition to these core tasks, also bears responsibility for the management of interest and foreign exchange risks and for some of the company s corporate finance operations. In addition, he plays an important supporting role towards the working capital management of the company. This book provides an overview of the position and duties of the modern cash manager in an international company. In addition, it deals with the most important instruments used in contemporary cash management. It covers a cash manager s regular duties, such as the daily management of account balances and the conclusion of transactions in the financial markets. Examples are presented of several types of cash flow forecasts and an overview is provided of all relevant financial products. Furthermore, extensive attention is devoted to the establishment of a proper cash management infrastructure for the company. This includes setting up an (international) account structure, cash pools (international or otherwise), payment and collection factories and a netting system. Finally, a description is provided of the cash manager s role as a company adviser in relation to the management of its working capital. This book is primarily intended for (future) professionals in the corporate treasury and banking sectors, who wish to gain practical knowledge about the subject. It is also suitable for students who need to obtain a broad general overview of cash management as part of their business economics and administration studies. CONSIDER ALSO BUYING THE THIRD EDITION OF THIS BOOK EDITED BY WILLEM VAN ALPHEN
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Corporate Cash Management: Fourth Edition: A Treasurer's Guide
Vendor: Abebooks.com Price: 28.01 $The cover has visible markings and wear. The pages are in Good condition but show signs of gentle use! Codes or product keys that accompany this product may not be valid. Fast Shipping in a Standard Poly Mailer!
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Corporate Cash Management: Third Edition: A Treasurer's Guide
Vendor: Abebooks.com Price: 21.04 $The proper management of cash is an essential part of business operations. Corporate Cash Management provides an essential framework for the development and operation of a cash management system. It does so by showing how to forecast cash flows, which can then be used as the basis for a campaign to enhance the inflow of cash to the organization. The book also notes the systems used to collect, concentrate, invest, and disburse cash, as well as the supporting controls and measurements needed to monitor these systems. It also covers the related topics of fundraising and risk management. In short, Corporate Cash Management is a useful tool for developing a comprehensive system of cash management.
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Corporate Cash Management: Fifth Edition
Vendor: Abebooks.com Price: 50.79 $Buy with confidence! Book is in new, never-used condition 1.34
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Sap Cash Management with Sap S/4hana.
Vendor: Abebooks.com Price: 69.95 $Get greater insight into your cash operations with this comprehensive guide to cash management in SAP S/4HANA! Start by configuring bank account management (BAM), cash positioning, and liquidity management. Then perform your key processes: maintaining banks, processing cash transactions, forecasting liquidity, and more. Choose your deployment model, dive into the new One Exposure from Operations data model, and see what it takes to migrate your cash data. Cash in on SAP S/4HANA! * Configure your cash management processes for on-premise and cloud SAP S/4HANA deployments * Perform your cash management operations in SAP S/4HANA, from bank account management to liquidity analysis * Clean and migrate your cash data into SAP S/4HANA Bank Account Management Learn how the new BAM impacts bank account business processes, from maintaining house banks to managing bank approval workflows, and get step-by-step instructions for setting up this module. Cash Positioning Configure cash positioning and explore SAP Fiori apps like Cash Position and Check Cash Flow Items. Walk through processing cash transactions, analyzing your cash position, and exploring new reporting options. Liquidity Management Develop liquidity plans, master your liquidity forecasts, and compare actual vs. planned cash flow; then configure liquidity management for your business requirements. * Bank account management (BAM) * Cash positioning * Cash operations * Liquidity management * Cash flow * SAP Fiori apps * One Exposure from Operations hub * Deployment options * Migration * Cash management extensions
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Corporate Treasury and Cash Management (Finance and Capital Markets Series)
Vendor: Abebooks.com Price: 27.72 $The book is an analysis of corporate treasury and cash management with the principal financial instruments used by the corporate treasurer. The objectives of the book are to describe how corporate treasury departments should establish a framework for the identity, measurement and management of risk and to describe how corporates should manage and control the operation of their treasury function. Robert Cooper brings his extensive experience as Corporate Treasurer of a large multinational to bear in this comprehensive work.
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Corporate Treasury and Cash Management (Finance and Capital Markets Series)
Vendor: Abebooks.com Price: 69.32 $The book is an analysis of corporate treasury and cash management with the principal financial instruments used by the corporate treasurer. The objectives of the book are to describe how corporate treasury departments should establish a framework for the identity, measurement and management of risk and to describe how corporates should manage and control the operation of their treasury function. Robert Cooper brings his extensive experience as Corporate Treasurer of a large multinational to bear in this comprehensive work.
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The Cash Flow Management Book for Nonprofits: A Step-by-Step Guide for Managers and Boards [first edition]
Vendor: Abebooks.com Price: 28.00 $The first and only guide of its kind to offer nonprofit executiveshelp with the vital task of cash flow management! Murray Dropkin--an expert in the field of nonprofit accounting andauthor of The Budget-Building Book for Nonprofits--reveals how tocreate an effective plan for cash flow management. Thisunprecedented guide offers you nuts-and-bolts suggestions for usingthis plan to develop successful strategies for the day-to-day andlong-term financial planning of any nonprofit organization. Filledwith to-do lists, sample forms, worksheets, schedules, policies andprocedures, and checklists, The Cash Flow Management Book forNonprofits is a fundamental financial management toolkit fornonprofit managers and board members.
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Cash Machine Using Theory of Constraints for Sales Management
Vendor: Abebooks.com Price: 25.81 $A TOC Business Novel. The Cash Machine gives a real life method to simultaneously evaluate thousands of prospects, creat customers and complete sales. This process called the Theory of Constraints develops a critical chain for sales that can be applied to any organization.
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The Business Guide to Credit Management: Advice and Solutions for Cash-flow Control, Financial Risk and Debt Management Reuvid, Jonathan
Vendor: Abebooks.com Price: 34.00 $The Business Guide to Credit Management offers new insights into cash management, payment flows, debt collection and asset-based finance, providing practical advice and commentary for those charged with managing, coordinating and protecting their company's finances. It provides valuable practical information and commentary on: good business practice; improving cash flow; the debt recovery and collections industry; innovation and success in managing credit; customer management; and credit management for export markets.The book examines the credit management cycle from the perspectives of the suppliers, the customers and the banks, explaining the interrelationships between all three groups and offering best-practice models that can help to smooth the financial path, particularly when credit flows may appear to be drying up. Whether providing an explanation of government support through various guarantee schemes, or assessing the growing role of credit ratings and debt collection, this new title is the essential handbook for anyone looking to control costs, manage cash flow and protect capital.
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Cash-Flow Appraisal for Property Investment
Vendor: Abebooks.com Price: 42.75 $This book is a practical guide to the application of discounted cash flow for second and third year undergraduates on property management courses and would also be useful for practising chartered surveyors and those involved in the property business. Good practice requires an understanding of the underlying concepts and rationale as well as the principles, criteria and practical issues which inform the estimation of cash flows and choice of discount rate. This book draws on relevant financial theory to provide the reader with the extent and quality of understanding required to support good practice.
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Managing Cash Flow : An Operational Focus
Vendor: Abebooks.com Price: 114.09 $Provides the tool necessary to determine and evaluate the effectiveness of a corporation's management of cash. Examines how operational activities can affect cash flow management. Shows how effective cash flow management can improve corporate performance and increase shareholder value. Provides an overview of cash management techniques.
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Supply Chain Strategy and Financial Metrics: The Supply Chain Triangle Of Service, Cost And Cash
Vendor: Abebooks.com Price: 36.55 $Supply Chain Strategy and Financial Metrics is a step-by-step guide to balancing the triangle of service, cost and cash which is the essence of supply chain management. Supply chains have become increasingly strategy-driven, and this Supply Chain Triangle approach puts the supply chain at the heart of the strategy discussion instead of seeing it as a result. Supply Chain Strategy and Financial Metrics fully reflects the 'inventory' or 'working capital' angle and examines the optimisation of the supply chain and Return on Capital Employed. Including case studies of Barco, Casio and a selection of food retail companies, this book covers building a strategy-driven KPI dashboard, target setting and financial benchmarking. Regular examples and diagrams illustrate how different types of strategies lead to different trade-offs in the Supply Chain Triangle. This ground-breaking text links supply chain, strategy and finance through financial metrics, therefore creating value for the shareholder. Online supporting resources include worksheets covering basic financial concepts such as cash flow and working capital, with example data sets and guidelines/exercises to make it interactive.
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Optimizing Company Cash: A Guide For Financial Professionals
Vendor: Abebooks.com Price: 12.51 $Optimizing Company Cash provides a comprehensive guide to all elements of cash management in a business including: Inflows Outflows Cash conversion cycles Short-term borrowing and investing International business How to structure a corporate treasury function In over 200 pages, the Guide explains how CPAs and financial managers can manage their company's short-term resources to sustain ongoing activities, mobilize funds and optimize liquidity. It also provides diagrams of work flows, step-by-step checklists, templates, and treasury tips for CPAs and finance managers who are responsible for making the most of working capital and short-term resources.
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How to Manage Residential Property for Maximum Cash Flow and Resale Value
Vendor: Abebooks.com Price: 25.56 $Providing solid, basic information on managing rental units and making money at it, a guide to property management offers tips on recruiting and supervising assistant managers, maximizing income, setting up a bookkeeping system, and saving on payroll taxes. Original. IP.
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Managing Cash Flow: An Operational Focus
Vendor: Abebooks.com Price: 113.58 $Provides the tool necessary to determine and evaluate the effectiveness of a corporation's management of cash. Examines how operational activities can affect cash flow management. Shows how effective cash flow management can improve corporate performance and increase shareholder value. Provides an overview of cash management techniques.
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Optimizing Company Cash
Vendor: Abebooks.com Price: 85.58 $Optimizing Company Cash provides a comprehensive guide to all elements of cash management in a business including: Inflows Outflows Cash conversion cycles Short-term borrowing and investing International business How to structure a corporate treasury function In over 200 pages, the Guide explains how CPAs and financial managers can manage their company's short-term resources to sustain ongoing activities, mobilize funds and optimize liquidity. It also provides diagrams of work flows, step-by-step checklists, templates, and treasury tips for CPAs and finance managers who are responsible for making the most of working capital and short-term resources.
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Keys to Managing Your Cash Flow (Barron's Business Keys)
Vendor: Abebooks.com Price: 22.16 $Provides an overview of cash management techniques, discusses liquidity, credit, collection management, and surplus cash investment, shows how to prepare a cash budget, and more
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Supply Chain Strategy and Financial Metrics: The Supply Chain Triangle Of Service, Cost And Cash
Vendor: Abebooks.com Price: 60.67 $Supply Chain Strategy and Financial Metrics is a step-by-step guide to balancing the triangle of service, cost and cash which is the essence of supply chain management. Supply chains have become increasingly strategy-driven, and this Supply Chain Triangle approach puts the supply chain at the heart of the strategy discussion instead of seeing it as a result. Supply Chain Strategy and Financial Metrics fully reflects the 'inventory' or 'working capital' angle and examines the optimisation of the supply chain and Return on Capital Employed. Including case studies of Barco, Casio and a selection of food retail companies, this book covers building a strategy-driven KPI dashboard, target setting and financial benchmarking. Regular examples and diagrams illustrate how different types of strategies lead to different trade-offs in the Supply Chain Triangle. This ground-breaking text links supply chain, strategy and finance through financial metrics, therefore creating value for the shareholder. Online supporting resources include worksheets covering basic financial concepts such as cash flow and working capital, with example data sets and guidelines/exercises to make it interactive.
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