制作月度现金流量表及下一月度的现金预测。
Make "month cash flow report" and cash forecast of next month.
现金流量表帮助报表使用者合理估计和预测企业未来的支付能力和偿债能力,评价企业未来的财务弹性。
The cash flow statements will aid the rational prediction and evaluation of the potential capability of payment and compensate for debt of a company.
利用系统动力学方法预测资产负债表、损益表、现金流量表,计算出的比率指标与实际值基本相符。
It makes use of system dynamics method to forecast: the balance sheet, the profit and loss statement, Cash flow statement, and calculates out the part proportion index consonant with reality.
利用系统动力学方法预测资产负债表、损益表、现金流量表,计算出的比率指标与实际值基本相符。
It makes use of system dynamics method to forecast: the balance sheet, the profit and loss statement, Cash flow statement, and calculates out the part proportion index consonant with reality.
应用推荐