cash budget 基本解释
现金预算;现金预算表;兑现预算;现金需求
重点词汇
cash budget 双语例句
- 1、
Think of it as a company-issued cash budget – at least for the outflows.
大家可以把它视为公司的现金预算,至少是现金流出额。 - 2、
Making report to CEO directly with responsibilities of cash flow, budget, financial report inspection and approval and cost analysis.
直接对CEO汇报,负责现金流、预算、财务报表的审阅和审批及成本分析。 - 3、
A useful tool for estimating financial needs is the cash budget.
一种估算财物需求的有效工具是现金(收支)预算。 - 4、
The capital expenditures budget and the budgeted income statement provide data for the cash budget, or statement of budgeted cash receipts and disbursements.
资本支出预算和预计损益表都为现金预算即预计的现金收支汇总表提供了资料。 - 5、
Explains the functions of a budget, how to do a cash flow analysis, and how to create a workable budget.
解说一项预算的各种功能、如何做现金流向分析,以及如何制作有用的预算。 - 6、
It must also find the cash in a tight budget.
它还必须在紧缩的财政预算中找到可支配的资金。 - 7、
Starting from the benefit budget, asset-liability budget and cash flow budget, this paper probes into the application of financial budget management in enterprise.
从利润预算、资产负债预算和现金流量预算入手,探讨了财务预算管理在企业的应用。 - 8、
Adjusted income method of preparing cash budget
编制现金预算收益调整法 - 9、
Prepare for each department within the organization a cash budget of planned cash receipts, cash payments, and cash balance, scheduled month-by-month for the coming year.
企业内部各部门要准备一个有关现金收支及余额的现金预算计划。 - 10、
Comparing Three Kinds of Power Spectral Estimation Algorithms Using MATLAB Toolbox A useful tool for estimating financial needs is the cash budget.
利用MATLAB工具箱比较三种谱估计算法一种估算财物需求的有效工具是现金(收支)预算。 - 11、
Noncash account method of cash budget
现金预算的非现金帐目法 - 12、
The concrete content of enterprise credit asset management is that after cash budget management, strengthen management of commercial credit, loan, and capital credit.
企业信用资产管理的具体内容就是在加强现金预算管理的前提下,加强企业对商业信用的管理,加强企业对银行贷款的管理,加强企业对资本性借款的管理。 - 13、
In this article, it dissects the questions of cash budget control in the present enterprise, and analyses the reasons, making a valuable exploration towards how to strengthen the cash budget control.
本文解剖了当前企业现金预算管理中存在的问题,并分析了产生的原因,对如何加强现金预算管理作了有益的探索。 - 14、
This article focuses on the forms of financial risks in M& A and then sets up the financial programming included design of the capital structure and cash budget to deal with the risks.
本文对企业购并风险出现形式进行了探讨,并为控制企业并购财务风险建立财务规划,通过资本结构设计、现金预算控制企业并购财务风险。 - 15、
Identification on Relevant Cash Flows in Capital Budget
资本预算中相关现金流量的识别 - 16、
We should set up the diversified finance supervise and control system, cash control system with completely budget management system so as to perfect state-owned large business enterprise financial supervision and control system.
应构建多元化的财务监控体制与体系、现金集中控制制度和全面预算管理制度,以完善国有大型企业的财务监控体制与体系。 - 17、
Analysis of the questions in cash budget of enterprise at present
企业现金预算存在的问题分析 - 18、
Capital enterprise is the "blood", the cash budget is the core of enterprise budget management, cash flow is good or bad to a large extent determine the survival and development.
资金是企业的血液,现金预算是企业预算管理的核心,现金流量的好坏在很大程度上决定着企业的生存和发展。 - 19、
Based on the dynamic cash flow budget system and cash flow management theory, this paper builds a systematic cash flow management system. This paper is very meaningful for Real Estate Company.
本文的创新之处针对房地产公司的特点,建立现金流的动态预算管理体系,以动态预算管理体系为基础运用现金流管理理论构建了一个系统的现金流管理体系。
最新更新词汇: runaway prisonermuseum-goingcoronal zonedatelesstreating plantgas-holder floating bellloader-unloaderunwelcome guest
更新时间:2026-03-24 21:05
更新时间:2026-03-24 21:05

