Оптимізація Cash–Flow у забезпеченні платоспроможності компанії

dc.contributor.authorОстровська, Ольга Анатоліївна
dc.contributor.authorOstrovska, Olha
dc.contributor.authorОстровская, Ольга Анатольевна
dc.contributor.authorКирсенко, Ю. А.
dc.contributor.authorKirsenko, Yu.
dc.date.accessioned2020-05-08T07:20:20Z
dc.date.available2020-05-08T07:20:20Z
dc.date.issued2018
dc.description.abstractThe article dwells on an important issue of nowadays – the problems of optimization of the Cash Flow management. The subject of the article is the study of methodological approaches to the Cash Flows estimation. The article deals with the fundamentals of organization, goals and objectives of Cash Flow management of a company. Cash Flow management model of entities is claimed to be individual for each enterprise. One of the effective methods to improve the quality of Cash Flow management is optimization, the instrument that helps to identify reserves to minimize dependence on borrowed funds, to achieve balance between incoming and outgoing cash flows, to ensure close relationship between all types of Cash Flows of an enterprise, to increase the volume and quality of revenues net Cash Flow. The informative basis for Cash Flow optimizing is found out to be detailed analysis, which includes grouping of all receipts and payments of an enterprise for previous periods. The concept of Cash Flow management of the company has been formed. The task of Cash Flow optimizing and principles of their planning have been highlighted. The system of directions of Cash Flow optimization has been developed. The analysis of Cash Flow of DPTM PJSC «Ukrposhta» has been conducted. The methods of Cash Flow synchronization have been offered and the basic principles of effective Cash Flow management have beenb elicited.uk_UA
dc.identifier.citationОстровська О. А. Оптимізація Cash–Flow у забезпеченні платоспроможності компанії / О. А. Островська, Ю. А. Кирсенко // Формування ринкових відносин в Україні : зб. наук. пр. / Держ. Н.-д. ін-т інформатизації та моделювання економіки ; [редкол.: І. Г. Манцуров (наук. ред.) та ін.]. – Київ, 2018. – № 3. – С. 81–89.uk_UA
dc.identifier.issn2522-1620
dc.identifier.urihttps://ir.kneu.edu.ua:443/handle/2010/33017
dc.language.isoukuk_UA
dc.publisherДержавний Науково-дослідний інститут інформатизації та моделювання економікиuk_UA
dc.subjectCash Flow of the companyuk_UA
dc.subjectNet Cash Flow of the companyuk_UA
dc.subjectCash Flow managementuk_UA
dc.subjectCash Flow optimizationuk_UA
dc.subjectmethods of Cash Flow synchronizinguk_UA
dc.subjectprinciples of Cash Flow planninguk_UA
dc.subject.udc658.15:336.201.2]:005.93uk_UA
dc.titleОптимізація Cash–Flow у забезпеченні платоспроможності компаніїuk_UA
dc.title.alternativeCash–Flow optimization in ensuring the company’s solvencyuk_UA
dc.typeArticleuk_UA
Files
Original bundle
Now showing 1 - 1 of 1
Loading...
Thumbnail Image
Name:
frvu_2018_3_12.pdf
Size:
158.95 KB
Format:
Adobe Portable Document Format
Description:
License bundle
Now showing 1 - 1 of 1
No Thumbnail Available
Name:
license.txt
Size:
1.71 KB
Format:
Item-specific license agreed upon to submission
Description: