The most important part in budget management are sales revenue, cost expenses, and cash circulation.
预算管理主要以销售收入、成本费用、现金流量为重点。
The goal of cash flow management is to make enterprises keep normal cash circulation, create more cash flow, thus make enterprise value promoted.
现金流量管理的目标就是要使企业保持正常的现金流转,创造出更多的现金流量,从而使企业价值得到提升。
When inflation is anticipated, the amount of money in circulation increases; people hold smaller cash balances because inflation erodes the value of cash.
当通胀被合理预期,流通中的货币总量增加;由于通胀腐蚀了现金的价值,人们将更少的持有现金。
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