Fund Flow Statements Meaning of Fund Fund Flow Statement is widely used tool in the hands of financial executives for analyzing the financial performance of a concern. Funds keep on moving in a business which itself is based on a going concern concept. In broader sense‚ the term “fund” refers to money values in whatever form it may exits. Meaning of Flow of Fund The term ‘Flow’ means change. Thus flow of fund means change in fund or change in working capital. Flow of fund is said to have taken
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Free Flow Layout Free flow layout is an irregular arrangement of retail setting that encourages a formless traffic flow. It is mainly used in stores which have wide range of products. Easy to navigate and display to another were one of the major characteristics of free flow layout. Compare to the other retail layout‚ free flow layout had no particular display pattern. All the fixtures and products were grouped and located in flowing patterns on the sales floor. This layout usually used in stores
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discounted cash flow (DCF In finance‚ discounted cash flow (DCF) analysis is a method of valuing a project‚ company‚ or asset using the concepts of the time value of money. All future cash flows are estimated and discounted to give their present values (PVs) — the sum of all future cash flows‚ both incoming and outgoing‚ is the net present value (NPV)‚ which is taken as the value or price of the cash flows in question. Using DCF analysis to compute the NPV takes as input cash flows and a discount
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Circular Flow Diagrams Introduction Money flows into and out of the economy. The circular flow diagram explains how money moves through the economic system involving households‚ businesses‚ the government‚ and foreign agents (Editorial Board‚ 2011). Circular flow diagrams are visual models that show firms who employ workers‚ the workers then spend on goods produced by firms‚ and the money is then used to compensate the worker and buy raw materials to make the goods and the circle continues.
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DATA FLOW DIAGRAM Group#7 Nugao Oserin Obongen The Data Flow Diagram (DFD) • a graphical representation of the flow of data through an information system. It enables you to represent the processes in your information system from the viewpoint of data. The DFD lets you visualize how the system operates‚ what the system accomplishes and how it will be implemented‚ when it is refined with further specification. • Data flow diagrams are used by systems analysts to design information-processing systems
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Financial StatementsAnalysis of Statement of Cash Flow Master of Business Administration University of Kelaniya 1 CASH FLOW RATIOS • Cash flow ratios can be categorized as‚ Performance ratios Coverage ratios 2 Performance Ratios 1. 2. 3. 4. Operating Cash Flow to Sales Cash Return to Assets Cash Return on Equity Ratio Cash flow per share 1. Operating Cash Flow to Sales • Expressed as a percentage‚ compares a company’s operating cash flow to its net sales or revenues. • Gives investors
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Cash Flows and Their Relevance Cash flows refer to both the inflows and outflows of cash during a defined period by a company or corporation and are linked to the business as a whole or a specific capital project. Cash flows measure real economic wealth‚ take place at particular points in time and are generally free of accounting classification constraints. (Cash Flow‚ n.d.) Relevant cash flows have several descriptive factors. A relevant cash flow is one that will change in relation to
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CSC 105 Midterm 1 Wed‚ Oct 13‚ 2010 NAME: ___________________________________________ DO NOT put your student number on THIS page. Marks will be deducted if a student number is found here. Lab Section you normally attend (it is okay to just put the day and time): ___________________________________CSC 105 Midterm 1 Wed‚ Oct 13‚ 2010 You are allowed 50 minutes Name:_____________________________ Student Number:_______________________ S Write your name
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additional investment in building and land for the project. The firm ’s marginal tax rate is 35%‚ and its cost of capital is 10%. Based on this information you are to complete the following tasks. Prepare a statement showing the incremental cash flows for this project over an 8-year period. Calculate the Payback Period (P/B) and the NPV for the project. Based on your answer for question 2‚ do you think the project should be accepted? Why? Assume Superior has a P/B (payback) policy of not
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2012 Technical Summary IAS 7 Statement of Cash Flows as issued at 1 January 2012. Includes IFRSs with an effective date after 1 January 2012 but not the IFRSs they will replace. This extract has been prepared by IASC Foundation staff and has not been approved by the IASB. For the requirements reference must be made to International Financial Reporting Standards. The objective of this Standard is to require the provision of information about the historical changes in cash and cash equivalents
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