National Repository of Grey Literature 27 records found  previous11 - 20next  jump to record: Search took 0.00 seconds. 
Návrh efektívného cash managementu podniku prostrednictvom cash poolingu
Vatolík, Adam
The diploma thesis review issues of cash pooling and its application to the company with global presence. It deals with both the advantages and disadvantages of real and notional cash pooling and further focuses on the legal framework of cash pooling in Czech Republic, Germany and the Slovak Republic. The main aim is to bring forward the suitable pooling structures for the needs of the chosen company, evaluate them according to the goals set up by the management and withdraw the optimal solution.
Posúdenie efektov implementácie fyzického cash poolingu v nadnárodnej spoločnosti
Madliaková, Stanislava
The thesis describes the effects of physical cash pooling implementation in a multinational company. The aim is to establish a general methodological framework for evaluating the costs and benefits of physical cash concentration. The basis is a theoretical overview of the cash concentration, which includes the definition of the main concepts and the methodical procedure for the implementation of this liquidity management tool in the company. In the empirical part there is a concrete application of the methodical procedure, internal and external environment analysis, as well as discussion of the effects of cash pooling implementation. The final chapter sets out a general assessment framework for the costs and benefits of physical cash pooling.
Consolidated Financial Statements
Vaníčková, Michaela ; Rajchlová, Jaroslava (referee) ; Fedorová, Anna (advisor)
This master thesis deals with issues that are focused on the consolidated financial statemenst and the financial situation of the group of companies. The primary goal of the thesis is evaluate the financial situacion of selected group of companies on the basic of financial analysis. From analysis are suggests proposals improvements to the financial situation of the group including individual companies, that have some weaknesses which follow from analysis. The financial analysis is realize over the period 2013 – 2016.
Cash Flow Forecasting for Financial Management
Potůček, Aleš ; Marek, Petr (advisor) ; Petriashvili, Aleksandre (referee)
The aim of the thesis is firstly to provide a definition of cash management in global corporations, secondly to analyse and assess various methods of cash forecasting. The first part of the thesis is dedicated to describing the nature of cash management and currently available tools for more effective and efficient financial management. In the following part, theoretical methods of cash forecasting are introduced, the best of which are subsequently applied on a model company through creation of a simplified cash budget. The main objective of the thesis is to describe cash management, analyse different cash forecasting methods, and demonstrate their qualities on a model exercise.
Consolidated Financial Statements
Bursík, Adam ; Miřácký, Vladimír (referee) ; Fedorová, Anna (advisor)
Master’s thesis deals with the consolidation of financial statements and analysis of financial condition of group subjected to consolidated financial statements. Fundamental thesis goal is an assesment of financial position selected group of companies by methods of financial analysis and specialized models. It leads to finding potential weaknesses and creation of proposals leading to eliminate discovered weaknesses and improving the financial situation of group.
Assessing the Synergistic Effects of the Selected Consolidated Entity
Skopalová, Lucie ; Kubovic, Pavel (referee) ; Rajchlová, Jaroslava (advisor)
The aim of this thesis is evaluation of synergy effects existence in a chosen consolidations subject. Joining of enterprises focuses on attaining certain advantage – synergy effect. This effect should be achieved in various fields. Financial indicators were chosen from theoretical presumptions and it will be finding, if there is a synergy effect in chosen consolidated groups.
Assessing the Synergistic Effects of the Selected Consolidated Entity
Nováčková, Veronika ; Ing, Kubovic Pavel, (referee) ; Rajchlová, Jaroslava (advisor)
The thesis focuses on the methods of assessment of synergy effects in a consolidated entity. The text includes a assessment of economic situation of the consolidated unit and analyzes a draft set of economic indicators suitable for assessing of synergy effect. Synergy effect is monitored in several selected areas through a comparison between the consolidated unit and the mother company. Results of the analysis of the draft indicators are assessed to determine whether synergies were achieved after the acquisition.
The Existence of a Synergistic Effect in Consolidating Entity
Lýsková, Jana ; Kubovic, Pavel (referee) ; Rajchlová, Jaroslava (advisor)
This thesis is focused on the issue of achieving synergistic effect in a consolidating entity. Consolidation unit and proposed financial indicators for monitoring the synergistic effect of the parent company and the consolidated group are defined based on the theoretical findings. Based on the analysis of these indicators is evaluated whether the synergistic effect is achieved.
Appreciation of Cash Pooling in a Choosen Enterprise
Mayerová, Hana ; Koukalová, Lucie (referee) ; Režňáková, Mária (advisor)
This diploma thesis deals with evaluation of the advantages and disadvantages of cash pooling. The aim of the thesis is to assess profitability of the cash management methods and eventual benefits of involvement of branches of surveyed company in the Group cash pooling. The theoretical part analyzes basic concepts of cash pooling, analytical part contains presentation of the company. Draft part assesses suitability of pooling cash and the feasibility of introducing cash pooling in other branches.
Cash Management in an International Company
Krejbichová, Jana ; Hanáková, Gabriela (referee) ; Zinecker, Marek (advisor)
The master´s thesis assesses the way of cash management in an international company focused on cash pooling and netting. On the basis of an analysis of current situation and with respect to impact of cash management there is offered proposal for netting implementation in the selected company.

National Repository of Grey Literature : 27 records found   previous11 - 20next  jump to record:
Interested in being notified about new results for this query?
Subscribe to the RSS feed.