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WHAT IS FINANCIAL ENVIRONMENT | FINANCIAL MARKETS

FINANCIAL ENVIRONMENT

What is Financial Environment? Financial Environment in changing degrees, all organizations work inside the financial framework, which comprises of various foundations and markets serving business firms, people, and governments. At the point when a firm puts briefly sit without moving assets in attractive securities, it has coordinate contact with financial

BUSINESS ENVIRONMENT | TYPES OF BUSINESS ENVIRONMENT

BUSINESS ENVIRONMENT

What is Business Environment? In the United States there are four basic of business organization in business environment; Sole proprietorships (one owner), partnership, corporations, And limited liability companies (LLCs), Sole proprietorships out number other combined by over 2 to 1, but corporations rank must by far when measured by sales,

CORPORATE GOVERNANCE | ROLE OF BOARD OF DIRECTORS

CORPORATE GOVERNANCE

What is Corporate Governance? Corporate governance refers to the system by that firm’s area unit managed and controlled. It encompasses the relationships among a company's shareholders, a board of directors, and senior management. These relationships offer the framework inside that company objectives area unit set and performance is monitored. Three

GOAL OF BUSINESS | HOW TO SET GOAL AND OBJECTIVE FOR BUSINESS

GOAL OF BUSINESS

What is the Goal of Business? Efficient financial management needs the existence of some objective or goal of business, as a result of judgment on whether or not or not a money call is economical should be created in light-weight of some customary though numerous objectives are attainable, we have

CASH FLOW FORECASTING | HOW TO PREPARE FORECAST CASH FLOW

CASH FLOW FORECASTING

What is Cash Flow Forecasting? Cash flow forecasting can take on critical importance for a firm. Many dot.com start-ups found out to their dismay that their business venture was over when their cash was unexpectedly used up. Even for firms with lots of cash coming in, a missed cash-flow forecast

CASH FLOW STATEMENT | CONTENT AND ALTERNATIVE FORMS OF STATEMENT

CASH FLOW STATEMENT

What is Cash Flow Statement? Cash Flow Statement is a summary of a firm's cash receipts and cash payments during a period ? of time. The purpose of the cash flow statement is to report a firm's cash inflows and outflows, during a period of time, segregated into three categories:

FLOW OF FUNDS | DEFINITION | SOURCES AND USES OF FUNDS STATEMENT          

FLOW OF FUNDS

What is Flow of Funds? The financial manager making decisions to ensure that the firm has sufficient funds to meet financial obligations when they due And to take advantage of investment opportunities, To help the analyst appraise these decisions (mode over period of time), we need to Study the funds,

FINANCIAL MANAGEMENT | DEFINITION AND ITS IMPORTANT ROLE

FINANCIAL MANAGEMENT

What is Financial Management? Financial management is bothered with the attainment, financing, and management of assets with some on the whole goal in mind. So the option carries out of economic management may be lessened into three major areas: the investment, financing, and asset management. ROLE OF FINANCIAL MANAGEMENT The important role

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