WAYS TO IMPROVE THE COMPANY'S CASH FLOW MANAGEMENT

Авторы

  • Imanbayeva Zauresh Otegenkyzy
  • Kusainov Halel Haimullievich
  • Zhakupova Bakitgul

Ключевые слова:

enterprise, cash, turnover, income, expense, loss, balance sheet, asset, liability, revenue, security, accounts receivable, accounts payable.

Аннотация

In a market economy, the company's cash flow is the most limited resource, so effective cash
management ensures financial stability in the process of enterprise development. The study of cash flow management
is aimed at generating information about the direction and sources of cash flow, time parameters, and volumes. This
information is necessary to justify decisions about managing cash flows, taking into account the influence of
objective and subjective, internal and external factors. Cash flows of an enterprise require the organization of their
turnover, use, distribution, and formation. Therefore, the company's cash flow management system, based on the
principle of integration, complexity, orientation and variability, is very necessary, since this is one of the important
stages of the company's activity, which creates the basis for achieving and developing large final results.
Management of the organization's cash flows is carried out within the framework of operational goals aimed at
increasing the market value of the enterprise, along with strategic goals that allow you to develop a set of tactical and
short-term planning tasks that allow you to determine the optimal level of funds.

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Опубликован

2020-08-06

Как цитировать

Imanbayeva Zauresh Otegenkyzy, Kusainov Halel Haimullievich, & Zhakupova Bakitgul. (2020). WAYS TO IMPROVE THE COMPANY’S CASH FLOW MANAGEMENT . Научный журнал «Доклады НАН РК», (4), 177–185. извлечено от https://journals.nauka-nanrk.kz/reports-science/article/view/1041

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