在日益尊崇“现金至尊”的现代理财环境中,现金流量表分析对信息使用者来说显得尤为重要。
Respected in the increasingly "cash is king" modern financial environment, cash flow analysis of the information is particularly important for the user.
这个话题将会由多个博文组成,包括现金流量表、损益表、资产负债表、一般公认会计准则(GAAP)会计、审计,以及财务报表分析。
This will be a multi-post effort and will include posts on cash flow, profit and loss, balance sheets, GAAP accounting, audits, and financial statement analysis.
本播客由巴黎高等商学院呈现,教授:问题是如何,分析现金流量表?
This podcast is brought to you by HEC Paris PROFESSOR: the question was how do you analyze the cash flow statement?
我们将会在下一周讨论现金流量表,以及探讨资产负债表的平衡对于分析和推算企业现金流量是非常有用的。
We'll talk about cash flow statements next week and the fact that a balance sheet has to balance can be very helpful in analyzing and projecting out the cash flow of a business.
最后是现金流量表趋势分析。
再次是现金流量表与资产负债表比较分析。
Is once again the balance sheet and cash flow comparative analysis.
文章的第二部分从四个方面论述现金流量表的分析。
The second part of the article from the four aspects of the cash flow analysis.
其次是现金流量表与损益表比较分析。
This was followed by a comparative analysis of cash flow and profit and loss account.
本文就从现金流量表的概念、结构入手,结合实例,介绍多种分析方法的运用。
Starting with the conception and the structure of statement of cash flow, this paper introduces the application of manifold analysis methods.
利用现金流量表可以对现金收入、现金支出结构、现金余额、偿债能力、支付能力以及现金回笼等进行分析对比。
It can analyse and compare the cash income, cash expenditure structure, cash remaining sum, debts paying ability, paying ability and cash withdrawal.
现金流量表是企业分析财务状况、做出经营决策的重要依据。
The cash-flow report is an important foundation for enterprise to analyze financial situation and make operation decisions.
探讨了企业会计报表中的现金流量表的作用、应用及依据报表对企业经营状况如何进行分析。
The role and application of cash flow chart in business financial statements and how to analyze the business financial status with the statements are discussed.
其次,在充分理解和把握相关理论的基础上,分析了现金流量表信息对投资决策的影响;
Secondly, in the full understanding and grasp of the theory, this paper analyzed the cash flow information and its influence on investment decisions;
现金流量表是三大会计报表之一,被财务专家、证券分析师誉为企业的“真金白银”。
One of the three financial statements is statement of Cash Flow, which is regarded as the true expression of a corporation.
首先,从理论上分析了现金流量表具有补充说明资产负债表和利润表的作用;
First of all, this paper analyzed the function that the cash flow statement can add the balance sheet and a profit statement theoretically;
介绍了一种现金流量表的编制方法——直接分析法,说明了这种方法的主要优点。
This article suggest a method of preparing cashflows statement which is called direct analysis method.
科学地分析和充分利用现金流量表信息,是报表使用者进行正确决策的前提之一。
Scientifically analyzing and making good use of information about it is one of premises that the report lends itself to users for correct decisions.
对现金流量表的分析结果表明,亚泰集团的净现金流量非常不理想,能够形成正的净现金流完全依赖于筹资。
With analysis of cash flow, the net cash flow is not ideal, and true cash flow depends completely on fund raising.
本文将对财务比率分析的概念和重要性及存在的问题进行讨论,并针对有关现金流量表的财务比率进行探讨。
This text will proceed the discussion with importance and existent problems to the analytic concept in ratio in finance, and aim at the finance ratio concerning cash discharge form proceed the study.
论述了铁路运输企业用现金流量表取代财务状况变动表的必要性,对编制现金流量表所采用的结构及项目设置等问题进行了探讨、分析。
This paper discusses the necessity of the substitution cashflow statement for financial position statement and explores the problems concerning the structure design and items setting up.
在这些方面强调:财政决算分析,现金流量表,成本分析,预算和控制技术,还有个案研究。
Emphasis on financial statement analysis, cash flow statements, cost analysis, budgeting, and control techniques. Case study method is emphasized.
在这些方面强调:财政决算分析,现金流量表,成本分析,预算和控制技术,还有个案研究。
Emphasis on financial statement analysis, cash flow statements, cost analysis, budgeting, and control techniques. Case study method is emphasized.
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