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Managing Corporate Liquidity

Product Image: Managing Corporate Liquidity

Managing Corporate Liquidity

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Description
Cash, as every manager knows, is the life-blood of a business. Managing cash flow, interest rates, and banking relations are some of the most important functions of treasury management. "Managing Corporate Liquidity" is a practical and concise guide designed specifically to offer advice and insight into the fundamental decisions of liquidity management. This book also takes into account the increased use of liquidity instruments, looking in detail at interest-rate hedging and the various control mechanisms that have been developed in recent years. An essential guide for treasury managers, financial managers at all levels, and entrepreneurs, business owners, and their advisers.
Product details
Edition:
1
Number of Pages:
208
Release Date:
1999-04-01
Publication Date:
1999-01-01
Publisher:
Routledge
Languages:
Original: English
ISBN10:
1579581854
ISBN13:
9781579581855
GPSR Manufacturer Reference:
Weight:
459 g
Height:
157 cm
Width:
235 cm
Thickness:
16 cm
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