Analysis of enterprise s cash flow statements;
企业现金流量表分析探讨
Analysis on Accurately compiled Cash flow statement;
现金流量表的精确编制研究
Analysis on cash flow and the cash flow of investment project in cash flow statement;
浅析现金流量表现金流量与投资项目现金流量
In cash flow statements, there is a very important item——"cash received from sales of goods or rendering of services".
现金流量表中有一个十分重要的项目——“销售商品、提供劳务收到的现金”,其计算公式在一些教材或专著中可以见到,但都没有给出其比较完整的推导过程。
This paper elaborates on the financial adaptability and the r eal yield ability of the enterprise reflected in cash flow statements.
现金流量表是现代企业财务制度中的一个重要报表,通过这张报表可以反映出该企业财务体系中的许多情况。
This paper studies the preparation of cash flow statements, which is important not onlyin the teaching of Accounting Standard for Business Enterprises-Cash Flow Statements but also in practice.
本文研究了现金流量表的编制方法,对刚刚颁布的《企业会计准则──现金流量表》 的教学和实践具有一定的现实意义。
Comparison between China s and foreign statement of cash flows and improvement of China s statement of cash flow;
我国现金流量表的国际比较及改进
Analysis on the Comparative Advantage of Statement of Cash Flow and Statement of Changes in Financial Position;
现金流量表与财务状况变动表的比较优势分析
The compiling of statement of cash flow is one of thed ifficultiesi nt eachingc ollegef inancialm ajors.
现金流量表的编制一直是高校财经专业教学和学习的难点之一。
The On the Difference of Cash Flow Table between Study of the International Accountant Criterion and the Chinese Accountant Criterion;
国际会计准则与中国会计准则《现金流量表》比较
On the analysis and utilization of cash flow table information;
关于现金流量表信息的分析与利用
Through editing the cash flow table,the company can master the cash flow information on time,and lay a solid foundation for using the capital scientifically and reasonably,and promoting the capital usage to its maximum.
编制现金流量表,企业可以及时掌握现金流动的信息,为科学、合理地利用资金,搞好资金调度,最大限度地提高资金的使用效率奠定基础。
Cash flow sheet can be used to effectively analyzing financial status of an enterprise, and understand current operation capability of the enterprise from macro and micro point of view.
利用现金流量表可以有效地分析企业的财务状况,从宏观和微观不同角度分析把握企业当前的经营 能力。
Based on the recognition on cash flow sheet.
现金流量表是我国会计制度与国际接轨改革过程中,要求企业编制和提供的一张报表。
It is changing the way of forming the cash flow sheet,shortening the time of making and reporting the journal sheet,adding the accumulation column to enhance the report prescription and comparability,furthering to subdivide the cash flow report to raise its usefulness and asking the listed company to provide the forecasting report of cash flow to raise its perspective.
分析了现金流量会计应用现状,提出了完善现金流量会计应用技术的设想,即改变现金流量表的生成方式,缩短编报时限和增加累计栏以增强报表的时效性、可比性,细化现金流量表以提高报表的有用性,并要求上市公司提供现金流量预测报告以提高报表的前瞻性。
Analysis on cash flow and the cash flow of investment project in cash flow statement;
浅析现金流量表现金流量与投资项目现金流量
ECONOMIC SIGNIFICANCE OF CASH NET FLOW AND METHODS ON READING CASH FLOW BALANCE TABLE;
现金净流量的经济意义和现金流量表阅读法
Cash flow table--preparing method of cash flow from operating activities;
现金流量表——经营活动现金流量编制方法
A Brief Analysis of the Function of Cash Flow Statement and the Classification of the Cash Flow.;
试析现金流量表的作用及现金流量分类
Humble Opinion of the Comparision of Forms for Rate of Flow on Cash in the Financial Enterprises and the Industrial and Commerial Enterprises;
刍议金融企业现金流量表与工商企业现金流量表的比较
The general format of the statement of cash flows is shown as Exhibit 11-1.
现金流量表的基本格式如表11.1所示。
The Cash Flow Statement--The Barometer of Enterprise s Financial Situation;
现金流量表——企业财务状况的晴雨表
Analysis on Cash Flow Comparing with Statement of Financial Change;
现金流量表与财务状况变动表之比较
Identification of Accounting Earnings Quality--The Analysis of Cash Flow Statements
会计收益质量的识别——现金流量表分析
Computer Compilation of Cash Flow Sheet;
现金流量表的计算机编制思想与实现
The statement of cash flows is prepared on a cash basis.
现金流量表是以现金基础(收付实现制)来编报的。
The translation of foreign currency in the cash flow statement shall be subject to the Accounting Standards for Business Enterprises No. 31- Cash Flow Statement.
(三)现金流量表中的外币折算,适用《企业会计准则第31号--现金流量表》。
Designing Accounting Factors in the Statement of Cash Flow and Preparing the Statement of Cash Flow;
现金流量表会计要素的构建与现金流量表的编制
Purposes and Uses of the Statement of Cash Flows
现金流量表的目的与作用
The preparation of the statement of cash flows should be worked step by step.
现金流量表的编制应该分步进行。
The preparation of the statement of cash flows is over.
现金流量表的编制工作也就完成了。
Discussion on the necessity of the geological prospecting unit filling the cash flow form;
谈地勘单位列报现金流量表的必要性
On the Direct Method and Indirect Method in Working out Cash Flow Meters;
论编制现金流量表的直接法与间接法
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