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#3-4 (211-212) / -Հունվար 2018
 
Lilit GHUKASYAN
BASIS OF MANAGEMENT OF CASH FLOWS IN THE ORGANIZATION, IDENTIFICATION AND SYNTHESIS OF RESERVES FOR GROWTH OF THE FINANCIAL POTENTIAL OF THE ORGANIZATION BY MEANING OF OPPOSITION OF CASH FLOWS

Key words: cash, financial analysis, cash, settlement account, foreign exchange account, differentiation, liquidity, monetary aggregates, cash equivalents, securities.
The article is devoted to the concept and classification of cash flows in the organization, as well as the main methods of calculating cash flows. The urgency of the chosen theme is conditioned by the fact that in modern conditions prevailing in the world and in the Republic of Armenia in particular, to ensure the conditions for the survival and development of organizations, it is necessary to rationalize the availability of cash flows. Here, as a key problem in the implementation of financial analysis is the elucidation and maintenance of an acceptable volume and structure of invested capital in cash, to maximize cash flows, as well as the implementation of rational calculations.

BASIS OF MANAGEMENT OF CASH FLOWS IN THE ORGANIZATION, IDENTIFICATION AND SYNTHESIS OF RESERVES FOR GROWTH OF THE FINANCIAL POTENTIAL OF THE ORGANIZATION BY MEANING OF OPPOSITION OF CASH FLOWS  Վճարել 369 ՀՀ դրամ եւ ներբեռնել հոդվածը “PDF” ֆորմատով
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