2011Unpublished venueRequires access

ANOTHER PERSPECTIVE TO CORPORATE CASH MANAGEMENT: A NEW MODEL AND DEFINATION

Hüseyin Yılmaz

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Abstract

Cash management could be thought in a broader perspective. My cash mangement model covers cash flow ratio analysis, cash improving activities, management of excessive cash by classifying as free cash flow and dependent cash flow, and financing cash gap. The financial statements are Balance Sheet, Income Statement, and Statement of Cash Flows. Cash flow ratio analysis covers some cash flows ratios such as cash flow adequacy, long term debt payout, divident payout, reinvestment of cash, debt coverage, depreciation effect. Cash improvement activities are decreasing cash cycle, improving cash divident payout., new payment systems, managing cash in inflational environment, efficient currency management, barter trade, leasing, using subsidiaries,cash break event point etc. The model has given me an opinion about new cash management defination. It will be given on the text.

About this research paper

What this paper is about

Cash management could be thought in a broader perspective. My cash mangement model covers cash flow ratio analysis, cash improving activities, management of excessive cash by classifying as free cash flow and dependent cash flow, and financing cash gap. The financial statements are Balance Sheet, Income Statement, and Statement of Cash Flows. Cash flow ratio analysis covers some cash flows ratios such as cash flow adequacy, long term debt payout, divident payout, reinvestment of cash, debt coverage, depreciation effect. Cash improvement activities are decreasing cash cycle, improving cash divident payout., new payment systems, managing cash in inflational environment, efficient currency management, barter trade, leasing, using subsidiaries,cash break event point etc. The model has given me an opinion about new cash management defination. It will be given on the text.

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Available abstract

Cash management could be thought in a broader perspective. My cash mangement model covers cash flow ratio analysis, cash improving activities, management of excessive cash by classifying as free cash flow and dependent cash flow, and financing cash gap. The financial statements are Balance Sheet, Income Statement, and Statement of Cash Flows. Cash flow ratio analysis covers some cash flows ratios such as cash flow adequacy, long term debt payout, divident payout, reinvestment of cash, debt coverage, depreciation effect. Cash improvement activities are decreasing cash cycle, improving cash divident payout., new payment systems, managing cash in inflational environment, efficient currency management, barter trade, leasing, using subsidiaries,cash break event point etc. The model has given me an opinion about new cash management defination. It will be given on the text.

Key concepts: Cash flow statement, Cash flow forecasting, Cash management, Operating cash flow, Cash conversion cycle, Cash on cash return, Cash and cash equivalents, Cash flow

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