Total cash management a company wide system for forecasting, managing, and improving cash flow

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1. Verfasser: King, Alfred M. (VerfasserIn)
Format: Buch
Sprache:English
Veröffentlicht: New York u.a. McGraw-Hill 1994
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Datensatz im Suchindex

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adam_text Contents Preface xi 1. Total Cash Management Will Increase Profits! 1 What Is Total Cash Management? 1 Benefits of TCM 6 The Conflict Between Cash and Profits 7 Marketing Looks at TCM 9 Production Looks at TCM 10 Engineering, Research, and Development Look at TCM 12 Human Resources Looks at TCM 13 Finance and Accounting Look at TCM 14 Who Is Responsible for TCM? 16 2. How Operating and Budget Decisions Impact Cash Flow 19 Controlling Cash with Budgets 21 Accrual Accounting and Cash Hows 22 Expenses and Cash Disbursements in GAAP Statements 24 How Budgets Affect Cash 28 Budget Myopia: Why Expenses Always Are Close to Budget 32 Budget Decisions, Expense Commitments, and Cash Flow 34 The Board of Directors Looks at the Budget 37 Understanding the Real Cash Flow Impact 38 Recommendations 46 v Vi Contents 3. TCM for Marketing: Increase Sales Through Total Cash Management 47 Volume vs. Margins 48 Competitive Response 51 Longer Terms Equal a Lower Price 54 Granting Credit to Poorer Credit Risks 57 Using Dating to Even Out Production 59 Cash Requirements for New Product Introductions 62 Volume Discounts 68 Cash Discounts for Prompt Payment 70 Using Inventory Levels as a Competitive Marketing Tool 73 Meeting the Cash Requirements of Total Quality Management 75 4. Squeeze Inventories for Cash Savings 76 What Do Inventories Accomplish? 77 Reducing Inventories: How Do We Maintain Customer Service? 79 Inactive Inventories Are Inevitable 80 What Is the Real Cost of Holding Inventory? 84 Soft Costs 85 Accounting and Tax Issues Affecting Cash Flows 88 UFO and FIFO Inventory Accounitng 91 JIT, MRP, and Other Management Control Techniques 94 The Benefits of JIT 99 Spare Parts Inventories 101 Who Is Responsible for Controlling Inventory? 102 Broad vs. Narrow Product Unes 105 5. Day to Day Cash Management 108 Disbursing Accounts Payable 109 Using Lock Boxes 113 Payroll Processing 115 Expense Reimbursement 118 Credit Cards 121 Electronic Funds Transfers 123 Playing the Float 126 Daily Cash Report 127 6. Choosing and Using a Bank 128 What Do Bankers Want? 129 Concentrate Your Activity 133 Contents vM Minimize Bank Service Charges 136 Obtaining Your Line of Credit 141 Double Counting Balances 143 Choosing a Bank 146 Forecasting Cash Balances 149 Reconciling the Bank Accounts 153 7. Collecting Accounts Receivable 155 Why Companies Don t Pay Their Bills 156 Customer Dissatisfaction 156 Your Customers Set Their Own Payment Terms 160 Your Customer Is Short of Cash 165 When to Turn to Collection Agencies 169 So Your Customer Declared Bankruptcy 172 Do Cash Discounts Speed Up Payment? 175 Should Sales or Accounting Have Responsibility for Collections? 180 8. Dealing with a Cash Shortfall 183 Using the IRS as a Source of Funds 183 Short Term Solutions 186 Bank Loan 186 Supplier Credit 188 Add Personal Funds 189 Call Customers and Ask for Payment 190 Talk Openly with Employees, Vendors, and Creditors 191 Preparing for a Cash Squeeze 195 Allocating Limited Cash Among Competing Demands 1% 9. Put Your Excess Cash to Work Fast! 201 Objectives of an Investment Policy 202 Written Policy Guidelines 206 Risk and Return 210 Liquidity and Convenience 212 U.S. Treasury Securities 213 Commercial Paper 214 Certificates of Deposit 217 Money Market Funds 219 Municipal Securities 221 Other Exotic Investments 222 Summary and Conclusions 222 vjjj Contents 10. The Road to Positive Cash Flow: Better Expense Control 224 The Tyranny of the Budget 225 The Budget Review Process 228 Activity Based Management 229 Manage Activities, Not Costs 232 Business Process Improvement 233 Who Will Solve the Problem and Save Cash? 237 Cost Effective Expense Control 239 Solving the Expense Control Problem in Advance 241 11. Proper Budgeting for Maximum Cash Flow 244 How Growth Decisions Affect Cash Flows 246 The Curse of Growth 248 Responding to Pressure 249 Adding Staff Is the Cardinal Sin 250 A Better Approach—Managed Growth 254 Flexible Budgets: Determining Appropriate Expense Levels 255 Can You Control Cash If You Don t Have a Budget? 257 12. Capital Budgeting and Cash Flows 260 Why Do We Need a Capital Budget? 261 Quantifying Intangibles 270 The Purpose for Which Capital Expenditures Are Made 273 We Have to Rely on Someone s Judgment 275 Forecasting the Future—What Are the Real Cash Hows? 276 Postcompletion Audits 278 13. How to Avoid the Traps in Leasing 279 Accounting for Leases 280 Off Balance Sheet Financing Something for Nothing 282 The Current Accounting Rules on Leasing 284 Tax Consequences What Is a True Lease? 286 Leasing Automobiles and Computers—The Cash Consequences 287 The Operating Consequences of Leasing 290 Leasing (Renting) Office Space vs. Purchase of a Building 292 Lease Terms and Business Flexibility 298 Leasing as a Source of Funds 300 The Bottom Line—To lease or Not to Lease 301 Contents ix 14. How to Cope with Inflation When It Returns 303 Pricing 305 Price Controls 308 Cash Receipts and Disbursements 311 Investing Surplus Cash 312 Inventories 315 Fixed Assets 318 Borrowing 322 Accounting for Inflation 324 Current Value Statements 326 15. Installing a Total Cash Management System 328 Review Receivable Collection Efforts 329 Dig into Your Inventories 332 Meet with Your Bank 334 Focus Everyone on Cash, Not Profits 335 Don t Just Reduce Cash Outflows—Spend to Grow 337 Budgeting and Forecasting Cash Flows 339 Report Cash Flows 341 Pay Bonuses Based on Cash Flows 345 Index 347
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spellingShingle King, Alfred M.
Total cash management a company wide system for forecasting, managing, and improving cash flow
Cash-flow gtt
Cash management
Cash Management (DE-588)4122992-7 gnd
subject_GND (DE-588)4122992-7
title Total cash management a company wide system for forecasting, managing, and improving cash flow
title_auth Total cash management a company wide system for forecasting, managing, and improving cash flow
title_exact_search Total cash management a company wide system for forecasting, managing, and improving cash flow
title_full Total cash management a company wide system for forecasting, managing, and improving cash flow Alfred M. King
title_fullStr Total cash management a company wide system for forecasting, managing, and improving cash flow Alfred M. King
title_full_unstemmed Total cash management a company wide system for forecasting, managing, and improving cash flow Alfred M. King
title_short Total cash management
title_sort total cash management a company wide system for forecasting managing and improving cash flow
title_sub a company wide system for forecasting, managing, and improving cash flow
topic Cash-flow gtt
Cash management
Cash Management (DE-588)4122992-7 gnd
topic_facet Cash-flow
Cash management
Cash Management
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