Treasury management : a practitioners guide / Steven M. Bragg
Material type:
- 9780470497081
- HG 4027.5 .B73 2010

Item type | Current library | Home library | Collection | Call number | Copy number | Status | Date due | Barcode | |
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National University - Manila | LRC - Annex II General Circulation | Gen. Ed. - CBA | GC HG 4027.5 .B73 2010 c.1 (Browse shelf(Opens below)) | c.1 | Available | NULIB000011555 | ||
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National University - Manila | LRC - Annex II General Circulation | Gen. Ed. - CBA | GC HG 4027.5 .B73 2010 c.2 (Browse shelf(Opens below)) | c.2 | Available | NULIB000011556 |
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Includes index.
Chapter1. Treasury department -- Chapter2. Cash transfer methods -- Chapter3. Cash forecasting -- Chapter4. Cash concentration -- Chapter5. Working capital management -- Chapter6. Debt management -- Chapter7. Equity management -- Chapter8. Investment management -- Chapter9. Foreign exchange risk management -- Chapter10. Interest risk management -- Chapter11. Clearing and settlement systems -- Chapter12. Treasury systems
This book provides forms, controls, policies and procedures that show exactly how to manage the treasury function. The tentative contents is: (1) Risk Management (Foreign exchange; Interest rate; Debt; Derivatives); (2) Financing (Bank financing; Bond financing, valuation, and credit ratings; Asset securitization); (3). Cash Management (Cash forecasting; Domestic payments; International payments; Cash management concepts: pooling, cash concentration, and intercompany netting.
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