Fundamentals Of Financial Management
14th Edition
ISBN: 9781305629080
Author: Eugene F. Brigham, Joel F. Houston
Publisher: South-western College Pub (edition 14)
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Question
Chapter 16, Problem 4Q
Summary Introduction
To explain: The cash budget and its use in reduction of cash and in negotiating a loan and advantage and disadvantage of daily cash budgets over monthly cash budget.
Introduction:
Cash:
Cash is always reported under the head of current assets in the balance sheet of a company. It is treated as current asset because any asset which can be report in the form of cash within a period of 1 financial year is classified as current asset and cash is already presented in the form of cash.
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Define the cash conversion cycle (CCC) and explain why, holding other things constant, a firm’s profitability would increase if it lowered its CCC.
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Chapter 16 Solutions
Fundamentals Of Financial Management
Ch. 16 - What are some pros and cons of holding high levels...Ch. 16 - Prob. 2QCh. 16 - What are the two definitions of cash, and why do...Ch. 16 - Prob. 4QCh. 16 - What are the four key factors in a firm's credit...Ch. 16 - Prob. 6QCh. 16 - Why is some trade credit called free while other...Ch. 16 - Define each of the following loan terms, and...Ch. 16 - Why are accruals called spontaneous sources of...Ch. 16 - Indicate using a (+), (), or (0) whether each of...
Ch. 16 - CASH CONVERSION CYCLE Primrose Corp has 15million...Ch. 16 - RECEIVABLES INVESTMENT Lamar Lumber Company has...Ch. 16 - COST OF TRADE CREDIT AND BANK LOAN Lamar Lumber...Ch. 16 - CASH CONVERSION CYCLE Zocco Corporation has an...Ch. 16 - RECEIVABLES INVESTMENT McDowell Industries sells...Ch. 16 - WORKING CAPITAL INVESTMENT Prestopino Corporation...Ch. 16 - CASH CONVERSION CYCLE Christie Corporation is...Ch. 16 - CURRENT ASSETS INVESTMENT POLICY Rentz Corporation...Ch. 16 - Prob. 9PCh. 16 - CASH BUDGETING Helen Bowers, owner of Helens...Ch. 16 - Prob. 11SPCh. 16 - MANAGING CURRENT ASSETS Dan Barnes, financial...
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- If management is being evaluated on their ability to manage a budget, what can they do to decrease cash outflow?arrow_forwardHow cash budget statement can be used to invest the amount of cash that a firm carries and to negotiate bank loan .arrow_forwardexplain to me how would a cash budget relate to the breakeven analysis. What would a banker or investor look for in these documents.arrow_forward
- What is a cash budget, and how is this statementused by a business? How is the cash budget affected by the CCC? By credit policy?arrow_forwardWhich of the following statements is NOT CORRECT? a. The cash budget is useful for estimating potential funding needs, especially for short-term working capital loans. b. Working capital management is critical because it affects financing decisions and the firm's profitability. c. Credit policy affects working capital because it impacts both sales and the time it takes for receivables to be obtained. d. If a company needs to increase its cash flow from operations in the next month or two, it can change its credit policy from 2/10 net 30 to net 60. e. f a company is unsure about the volume of sales, profits, and cash flows for the coming year, it will retain a relatively large amount of cash and marketable securities.arrow_forwardWhich statement about the cash budget is correct? It is also called the statement of cash flows. It can show managers when the company will experience a net loss. It can indicate when sales are insufficient. It can show managers when additional financing will be necessary.arrow_forward
- A very important role of the cash budget is to a. Determine how to finance dividend payments b. Plan for appropriate financing needs c. Determine the optimal source of financing for the organization’s operations d. Help identify credit customers who might not payarrow_forwardA very important role of the cash budget is to Determine how to finance dividend payments Plan for appropriate financing needs Determine the optimal source of financing for the organization’s operations Help identify credit customers who might not payarrow_forwardWhat role does the pro forma cash budget play in financial forecasting.arrow_forward
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