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- II. Twelve Month Cash Flow Statement. 十二月現金流表。
- Prepare purchasing cash and fund flow including planning for cash management. 準備采購現金資金流量報告包括現金管理計劃。
- funds flow statement 資金流量表
- It is conventional to indent the body of a control flow statement so the reader might easily determine where it begins and ends. 最好將流程控制語(yǔ)句縮進(jìn)排列,使讀者能方便地看出起點(diǎn)與終點(diǎn)。
- The basic flow of the E-commerce consists of the information flow, the trade flow, the fund flow and the material flow. 電子商務(wù)的基本流程包括信息流、商流、資金流和物流。
- What began in small amounts of fund flow to these Asian emerging markets grew very rapidly. 于是,投入這些亞洲新興市場(chǎng)的資金愈來(lái)愈多,增長(cháng)非常迅速。
- Classify operating, investing, and financing activities in a cash flow statement. 分類(lèi)現金流量表的經(jīng)營(yíng)性,投資性,融資性經(jīng)濟業(yè)務(wù)。
- An enterprise may also prepare a cash flow statement to reflect the changes in its financial position. 企業(yè)也可以編制現金流量表,反映財務(wù)狀況的變動(dòng)情況。
- It is an important component of the supply chain of the enterprises and directly impacts the fund flow of the enterprises. 它是企業(yè)供應鏈的重要組成部分,直接影響企業(yè)的資金流。
- To calculate FCF, make a beeline for the company's cash flow statement and balance sheet. 計算FCF, 做一條最短之路為公司的現金流動(dòng)聲明和資產(chǎn)負債表。
- The cash flow statement contains information about the inflows and outflows from financing, investing and operating activities. 現金流程表包含關(guān)于融資、投資和運作活動(dòng)流入和流出的資訊。
- The effect of a change in exchange rate on cash shall, as an adjustment item, separately presented in the cash flow statement. 匯率變動(dòng)對現金的影響額應當作為調節項目,在現金流量表中單獨列報。
- However, it remains, to be tested empirically whether there are decision usefulness differences among cash flow statement, balance sheet and income statement. 但是現金流量表、資產(chǎn)負債表和利潤表的決策有用性是否毒在差異,還缺乏經(jīng)驗證據。
- Abstract] cash flow statement in our country is still in its infancy, many issues are still being explored, it is important to study the significance. 現金流量表在我國尚處于起步階段,許多問(wèn)題仍在探索之中,因此有重要的研究意義。
- Cross-boundary fund flows among financial institutions have grown in the last two decades. 過(guò)去20年,內地與香港金融機構之間的資金流動(dòng)一直有所增加。
- By employing criterial research, this paper tentatively studies the theory and the empiric example of cash flow statement. 本文綜合運用規范研究和實(shí)證研究方法,對現金流量表進(jìn)行了嘗試性的理論研究和案例分析。
- The foreign exchange and local money markets remained stable in the second quarter,with active two-way fund flows. 外匯和本地貨幣市場(chǎng)在第二季保持穩定,資金流動(dòng)活躍。
- The second part is evolvment of the cash flow statement . mainly introduce fremdness and homeland evolvement of the cash flow statement. 第二部分,現金流量表的演變。主要從兩方面來(lái)加以論述:國外現金流量表的演變;
- Cross-border fund flows among financial institutions have also grown in the last two decades. 內地與香港金融機構之間的資金流動(dòng)在過(guò)去20年不斷增加。
- A cash flow statement is an accounting statement that reflects the condition of cash receipts and cash disbursements of an enterprise during a cerlain accounting period. 現金流量表是反映企業(yè)一定會(huì )計期間現金收支情況的會(huì )計報表。