网站首页  情感咨询  情感美文  情感百科  情感生活  学习充电  旧版美文

请输入您要查询的词汇:

 

词汇 Cash flow forecast
分类 英语词汇 英语翻译词典
释义

Cash flow forecast

英语百科

Cash flow forecasting

(重定向自Cash flow forecast)

Cash flow forecasting or cash flow management is a key aspect of financial management of a business, planning its future cash requirements to avoid a crisis of liquidity.

Cash flow forecasting is important because if a business runs out of cash and is not able to obtain new finance, it will become insolvent. Cash flow is the life-blood of all businesses—particularly start-ups and small enterprises. As a result, it is essential that management forecast (predict) what is going to happen to cash flow to make sure the business has enough to survive. How often management should forecast cash flow is dependent on the financial security of the business. If the business is struggling, or is keeping a watchful eye on its finances, the business owner should be forecasting and revising his or her cash flow on a daily basis. However, if the finances of the business are more stable and 'safe', then forecasting and revising cash flow weekly or monthly is enough. Here are the key reasons why a cash flow forecast is so important:

随便看

 

依恋情感网英汉例句词典收录3870147条英语例句词条,基本涵盖了全部常用英语单词的释义及例句,是英语学习的有利工具。

 

Copyright © 2004-2024 Yiyi18.com All Rights Reserved
京ICP备2021023879号 更新时间:2025/8/31 6:36:02