National Repository of Grey Literature 135 records found  beginprevious124 - 133next  jump to record: Search took 0.00 seconds. 
Utilization of Cash-flow Analysis for Financial Management of the Construction Company
Mlčková, Jitka ; Hejduková, Amálie (referee) ; Hroníková, Marta (advisor)
The aim of this bachelor´s thesis is to evaluate financial management with emphasis on management of cash-flow with the aid of ratio indicators of the company PaPP, spol. s r.o. in the years 2007 – 2010. The thesis is divided into 2 main parts – theoretical and practical part. The theoretical part deals with development and function of financial management and also financial analysis of selected ratio indicators constructed on base of cash-flow and Kralick Quick-test. On theoretical knowledge continued the practical part, where is introduced the company and aplicated financial analysis with the aid of ratio indicatros. Financial situation and company´s health is evaluated by creditworthy model – Kralick Quick-test.
Assessment of the financial situation of a particular enterprise
KUBÍKOVÁ, Žaneta
This bachelor thesis deals with the evaluation of financial health of companies, Sokolovská uhelná, právní nástupce, a.s., based on results of different methods of financial analysis. Company was compared with three competing companies in years 2005 and 2012. Data was taken from financial statements such as balance sheet, income statements and cash-flow. The first part focuses on the definition of financial analysis and the definition of the methods of financial analysis. The second part of this work is made to calculate the horizontal and vertical analysis of balance sheets and income statements. Followed by a calculation of indicators of activity, liquidity, profitability and indebtedness. Finally, the company was assessed by calculating bankruptcy and credibility models. Based on the results, the financial health of the company was assessed.
The selected investment project effectiveness evaluation
MINARČÍKOVÁ, Jana
The central topic of this bachelor work is The selected investment project effectiveness evaluation. Its main objective is to create a system of economic investment evaluation which will enable to valorize the chosen project efficiency. In the practical part a company Ingersoll-Rand Equipment Manufacturing Czech Republic ltd placed in Kolín investment is inquired. The chosen investment project was introduced and later explored. The cash flow definition was formed and consequently particular coefficients were counted. These taken namely into account were its return on investment period, its net present value and its inner yield percentage. After calculation realization the investment was proved as irrecoverable. The investment realization itself brings discounts therefore an attempt to use tax shield was carried out. After considering the tax influence on the investment the project was characterized as efficient. It has to be taken into account that the mentioned tax shield can be used only in case that the business is profittable. The 2012 profit and loss account shows that the company met the profit condition, therefore the variation including the tax effect may be applied.
Statement of profit and financial loss - content and predicative ability
PIXOVÁ, Kateřina
The aim of this bachalor paper is to analyse financial balancing in reference to the company´s auditing, costs and returns analyses, selling of the outstandings and bills of the factoring company, supplies rating, creating corrective entries and reserves, calculations. This paper is focused on claims procedures and financial leasing. The company dealt with is a join stock company concentrated on the area of forestry {--} purchase and sale of wood mass. They also provide services in forestry, mostly logging and planting activities and wood mass transport.
Management of cash-flow in multinational corporation
Oravčík, Vladimír ; Mikovcová, Hana (advisor) ; Donát, Jiří (referee)
Aim of this bachelor work is Management of cash-flow in multinational corporation. Goal of this work is measuring and analyzing management of liquidity and cash-flow in L'Oreal ČR. Paper is aimed on indicators of liquidity and report of cash-flow. From this indicators and report is made conclusion on a financial state of company. The end of paper is dealing with management of financial finds. It collates management of financial funds by theoretical model and by cash-pooling
Řízení likvidity v nadnárodních společnostech
Kostihová, Kristýna ; Vávrová, Hana (advisor) ; Kopalová, Helena (referee)
My bachelor thesis includes information about three international corporations, Danone a.s., UNILEVER ČR, s.r.o., and Nestlé Česko s.r.o. All these corporations have specific liquidity and Net Working Capital control which does not respond with the basic management standards. All theese companies are daughter companies of big international corporations and they represent the parent companies in the Czech Republic. In my thesis I am giving analysis of the liquidity, NWC, insolvency, profitability, etc. I am trying to explain the unique way of the liquidity control by comparing the companies with each other and with stated standards.
Finanční analýza společnosti Subterra a. s.
Svoboda, Jan ; Boukal, Petr (advisor) ; Klečka, Jiří (referee)
Obsahem bakalářské práce je zpracování finanční analýzy firmy. V první řadě se zabývá historií a účelem finanční analýzy. Dále uvádí zdroje potřebné pro správné provedení finanční analýzy a vyjmenovává uživatele včetně jejich informačních potřeb. Bakalářská práce shrnuje v obecné rovině především metody finanční analýzy. Tyto metody jsou pak aplikovány při finanční analýze společnosti Subterra a. s. Pozornost je zaměřena na provedení horizontální a vetikální analýzy účetních výkazů a na využití rozdílových a poměrových ukazatelů pro zjištění finanční situace firmy.

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