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Encompasses the strategies and practices involved in managing an organization's financial assets, cash flow, and risks to optimize liquidity and minimize costs.
Optimizing bank charges and float can save considerable amounts of money.
Software development facilitates treasury function.
In the company’s treasury department funds move in real time.
The use of fixed interest bearing securities along with owner’s equity as sources of finance is known as __.
__ of the government will also affect the capital structure decisions.
Treasury reports should be in accordance with IFRS.
Banks are seldom evaluated on their liquidity.
Most companies have had a treasury department.
Treasurers are financial asset managers in their company.
Business strategy and financial strategy together form a __ strategy.
Identify the factor on which an organization’s financial strategy assesses the optimal financing solution as how to measure and monitor leverage.
Working capital is the difference between the current assets and current liabilities.
__is the money that was originally invested in the business in exchange for shares of stock or ownership.
Equity financing involves raising money from venture capitalists.
An organization with little cash can remain liquid as long as it has the ability to borrow.
Funding strategies include asset-based financing, leasing and working-capital financing.
Liquidity enables an organization to pay its obligations where and when they fall due.
Capital structure includes short-term liabilities
Banks are not required to hold capital commensurate with the level of interest rate risk.
The element of receivables management comes under the umbrella of cash forecasting.
Consolidating bank accounts balances from a number of accounts into one account to offset interest income against expense
Inter-company payments can often be another source of lost liquidity.
Capital expenditure is an operational item.
Use Income statement to check liquidity.
Cash flow means cash receipts.
At the strategic level, treasury is about advising on the appropriate choices, trade-offs and compromises involved when financial decisions are taken.
Managing receivables to optimize the investment in working capital.
Assets and Liabilities sit on a Balance Sheet.
Interest rate risk arises when the absolute level of interest rates fluctuate.
Every organization deals with treasury issues, but many organizations have the same treasury functions.
For short-term cash flow shortages, many business owners make use of credit cards or lines of credit.
Borrowing facilities are included in cash-flow forecasts.
A company can sell goods before they have to pay the bill to the vendor is __.
Working capital management is less significant to operation cycle of the business.
Inventories are not part of working capital.
__risk focuses on short-term needs arising from day- to- day operations.
Identify the factor on which an organization’s financial strategy assesses the optimal financing solution as the diversity of sources and the maturity of financing.
Successful management depends on having an insight into the business’s future cash generation.
Cross-currency transactions can be unpredictable.
__is the safest type of debt capital because the company has years to come up with the principal.
One type of liquidity refers to the ability to trade an asset.
Long-term assets are different from non-current assets.
Banks should measure their vulnerability to loss under stressful market conditions.
Responsibilities of hedging company-wide interest rate and FX risk sits with the __.
__model provides insight into how company will earn on the money its owners have invested.
Equity consists of a company’s Common and __ stock plus Retained earnings.
Effective treasury requires a thorough understanding of the organization’s business model and its industry.
It is good to manage cash flow using the bank balance.
Risk is the primary source of the firm’s growth.
__ratio provides insight into how risky a company’s borrowing practices.
__risk focuses on longer-term and ensure that the business can continue business plans in the future.
More companies today are now requiring cash surplus than in the past.
If the economy is slow, the central bank may reduce the interest rate to stimulate activity.
__is the particular combination of debt and equity used by a company to finance its overall operations and growth.
__ arises when an organization has to commit to a price before actually entering into transactions.
In debt ratio, more liabilities mean less equity and therefore indicate a more __position.
Working capital management requires monitoring of the company’s assets and liabilities.
__are essential tool for identifying trends and overall cash generation over time.
Good cash forecast accurately predicts the cash inflows but never the outflows.
Companies in developing markets focus too closely on accounting-type measures.
Moody’s Standard & Poor’s is a __agency.
Total debt to total assets is known as __ratio.
Interest rates affect equity investors and less directly than bond investors.
Investing covers which of the following?
Forwards and future contracts help investor hedge interest rate risks.
The key role of the treasury function is to advise the board and management on business decisions and technical operations considerations that are fundamental to corporate strategy.
Land and buildings or expensive equipment are good security for a provider of acquisition funds.
__ crystallize the asset positions into GBP to retain parity.
Shareholders are determined to maximize long-term free cash flow.
Assets structure=Fixed Assets +Current Assets
Those who trade assets on the stock market cannot just buy or sell any asset at any time.
__also called Zero balancing.
Cash flow problems can be one of the leading causes of failure for business.
__is the amount and type of risk an organization is willing to accept in pursuit of its business objectives.
A business should generate enough __to finance its future growth.
Firms with a variety of operations across the globe may encounter data consolidation issues when attempting to analyze liquidity risk at the group level.
Inventory is a current asset
Profit from past years that have been kept by the company is known as __.
Risk can present opportunities or threat to business objectives.
__ system covers the providers of funds against risks.
Interest rates and bond prices are inversely related.
IFRS stands for __.
Capital financing is balancing act between debt and equity.
Organizations with more stable cash flows and longer-term assets will be more comfortable servicing debt and so are unlikely to borrow for proportionately longer periods.
The government gives financial support for businesses struggling from the impact of corona virus.
Externally raised capital may be debt or __.
Shortened the cash flow conversion period is not a good idea.
Invoicing a customer for products or services you sold creates revenue.
Manufacturers take advantage of long-term debt by issuing __.
It refers to any use of resources for future benefit.
__is the process of costing a balance sheet and then setting requisite prices for asset creators.
Medium term forecasts often extend to a rolling year.
Diversification is not an answers to interest rate risk.
Business will not lose money when they don’t hedge exposures for currencies.
Corporate finance is concerned with maximizing shareholder value through short-term financial planning.
Presenting and explaining your own organization’s credit standing to external parties will influence their willingness to do business with you and the terms they will demand.
Strong balance sheets should reflect lower levels of debt and higher levels of __.
__refers to money put up and owned by the owners.
__are loans from the capital market to meet day-to-day working capital requirements.
Working capital management also boost company’s earnings.
There are more than ten ratios involved in tracking down efficient working management.
FX spot trades cannot be used to long-term interest rate swaps.
Identify the primary sources of capital funding.
Risk of __ arises due to failure to pay fixed interest liabilities.
Identify the factor on which an organization’s financial strategy assesses the optimal financing solution as the ease and cost of financing.
The economic value perfective identifies risk arising from short-term interest rate gaps.
Cash is King, because NO cash, NO business.
A sudden change in currency would distort the risk.
Business can use accounting programs to make cash flow analysis easy.
Earning perspective involves the impact of changes in interest rates on accrual.
Digital payments have risen sharply because of corona virus.
If your business is expanding, business loan is not recommended.
A __ of a company helps to increase the market price of shares and securities.
Acid test ratio is a strong indicator whether a firm has sufficient short-term assets to cover its immediate liabilities.
Profit is equal to cash flow.
Current assets include anything that can be easily converted into cash within 24 months.
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