Results 31 to 40 of about 8,216,963 (198)
Cash management strategies and firm financial performance
Cash(liquidity) management is at the heart of a firm’s financial management. It is a silver lining between the bankruptcy and the success story of a company. Therefore, this study intends to contribute some insights into cash management practices and how
Mustapher Faque
semanticscholar +1 more source
Financial determinants of cash holding levels: An analysis of Indian agricultural enterprises
A significant number of studies have been conducted on the determinants of cash holding levels for different corporates. However, no such study has been witnessed so far on the agricultural enterprises.
Kuldeep Singh, Madhvendra Misra
doaj +1 more source
Money Leaks in Banking ATM’s Cash-Management Systems
Some widely-accepted practices on banking ATM networks may negatively affect efficient liquidity management. This paper analyses ATM cash management in light of empirical evidence which suggests that banking ATMs tend to be overloaded beyond the customer’
Julia García Cabello
semanticscholar +1 more source
REVIEW OF FINANCIAL MANAGEMENT IN PRIVATE FIRMS: UNLOCKING THE CASH MANAGEMENT MODEL
Financial management is a complex body of knowledge that is still evolving without any successful template for its practice, especially in private firms.
Salem Udoh
doaj +1 more source
CASH MANAGEMENT: HOW DO COUNTRIES PERFORM SOUND PRACTICES?
Cash management is simply defined as making the right amount of money available at the right time and the right place to meet the government's obligations in the most cost-effective way.
Coskun Cangoz, Leandro Secunho
doaj +1 more source
Impact of Cash Management on Profitability in Small Manufacturing Organization
Small businesses are vital for economic development and employment generation. The implementation of sound cash management practices is essential to ensure the profitability.
D. Pandey
semanticscholar +1 more source
Under the cash pooling: does the cooperation matter?
This paper presents comprehensive data on cash pooling between companies of the biggest cooperative corporation in Spain Mondragon Cooperative Corporation.
Leire San-Jose, Jose Luis Retolaza
doaj +1 more source
Fitting random cash management models to data [PDF]
Organizations use cash management models to control balances to both avoid overdrafts and obtain a profit from short-term investments. Most management models are based on control bounds which are derived from the assumption of a particular cash flow ...
Francisco Salas-Molina
semanticscholar +1 more source
The main purpose of this research is to investigate the impact of changes in cash flow measures and metrics on firm financial performance. The study uses generalized estimating equations (GEEs) methodology to analyze longitudinal data for sample of 20288
Fahmida Laghari +2 more
semanticscholar +1 more source
Efficient cash management as a source of profit
The 2008 crisis outlined the great importance of treasury departments in companies and the change of mentality towards proactive and non-reactive management. In this work, a detailed explanation of the centralization system of the treasury, also known as
Cervelló Royo, Roberto +1 more
doaj +1 more source

