Please use this identifier to cite or link to this item: https://irek.ase.md:443/xmlui/handle/123456789/4260
Title: Отчет о движении денежных средств: формирование и применение для управления денежными потоками
Other Titles: Cash Flow Statement: Formation and Application for Cash Flow Management
Authors: Узун, Кристина
Keywords: cash flow statement
financial management
direct method
indirect method
cash flow forecasting
liquidity management
Issue Date: 2025
Publisher: SEP ASEM
Abstract: This article examines the cash flow statement, its significance in strategic management, and its role in shaping an organization’s cash flows. Key methods of its preparation, including the direct and indirect methods, are analyzed, along with their practical application in assessing financial stability. Particular attention is given to the statement’s role in optimizing liquidity, enhancing solvency, and minimizing financial risks. The article explores both the conceptual and applied aspects of using the cash flow statement within corporate financial management. CZU: 657.375:658.152(478); JEL: М41
Description: УЗУН, Кристина. Отчет о движении денежных средств: формирование и применение для управления денежными потоками = Cash Flow Statement: Formation and Application for Cash Flow Management. Online. Научный руководитель: Людмила ГРАБАРОВСКИ. In: Challenges of Accounting for Young Researchers: International Student Scientific Conference, ISSC 2025, 9th Edition, March 14-15, 2025: Collection of scientific articles. Chişinău: SEP ASEM, 2025, pp. 269-272. ISBN 978-9975-168-25-0 (PDF). Disponibil: https://doi.org/10.53486/issc2025.84
URI: https://irek.ase.md:443/xmlui/handle/123456789/4260
ISBN: 978-9975-168-25-0 (PDF)
Appears in Collections:2.Articole

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