Cash flow forecast: Difference between revisions

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imported>Administrator
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imported>Doug Williamson
(Linked to The Treasurers Handbook - Cash in the new post-crisis world and categories added)
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A regular report sent by the company’s operations and subsidiaries to the treasury management headquarters informing about any cash excesses and deficits that they may have in the future.
A regular report sent by the company’s operations and subsidiaries to the treasury management headquarters informing about any cash excesses and deficits that they may have in the future.


== See also ==
== See also ==
* [[Cash forecasting]]
* [[Cash forecasting]]
* [[Cash in the new post-crisis world]]


[[Category:Accounting,_tax_and_regulation]]
[[Category:Compliance_and_audit]]

Revision as of 10:41, 1 December 2014

A regular report sent by the company’s operations and subsidiaries to the treasury management headquarters informing about any cash excesses and deficits that they may have in the future.


See also