Difference between revisions of "Cash budget"

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[[Cash budget]] is a schedule showing cash flows (receipts, disbursements, and cash balances) for a firm over a specified period.
  
  
 
==Definitions==
 
==Definitions==
 
According to [[Financial Management Theory and Practice by Eugene F. Brigham and Michael C. Ehrhardt (13th edition)]],
 
According to [[Financial Management Theory and Practice by Eugene F. Brigham and Michael C. Ehrhardt (13th edition)]],
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:[[Cash budget]]. A schedule showing cash flows (receipts, disbursements, and cash balances) for a firm over a specified period.
  
 
==Related concepts==
 
==Related concepts==

Revision as of 07:17, 30 October 2019

Cash budget is a schedule showing cash flows (receipts, disbursements, and cash balances) for a firm over a specified period.


Definitions

According to Financial Management Theory and Practice by Eugene F. Brigham and Michael C. Ehrhardt (13th edition),

Cash budget. A schedule showing cash flows (receipts, disbursements, and cash balances) for a firm over a specified period.

Related concepts

Related lectures