Disbursement float: Difference between revisions

From ACT Wiki
Jump to navigationJump to search
imported>Doug Williamson
m (Amended term in line with CertICM content, Chapter 2, Section 2.6, slightly changing wording and adding who profits and adding category)
imported>Doug Williamson
m (Added Collection float to see also)
Line 7: Line 7:
* [[Cheque clearing]]
* [[Cheque clearing]]
*[[Disbursement]]
*[[Disbursement]]
*[[Collection float]]


[[Category:Cash_Management]]
[[Category:Cash_management]]

Revision as of 15:19, 4 April 2014

The time interval or cash amount outstanding between the time a payor makes a payment and the time the bank debits the payor’s account.

Disbursement float results in an opportunity gain to the person disbursing.


See also