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- On Profits and Cash Flow 浅谈企业利润与现金流量
- Our mid to long term goal is to establish a stable and robust system so as to deliver 10 projects a year with annual good profit and cash flow growth by 2010. 我们的中期和长期目标是:到2010年;建立一个稳定而充满活力的系统;每年可完成10个项目;争取有较高的利润率和强劲的资金流.
- This slide presentation provides an introduction to business profits and cashflow forecasting, including such topics as requirements for forecasting profit and cash flow, and some hands-on examples. 该幻灯片简介了利润和现金流量的预测,内容包括预测利润和现金流量需要什么及实例分析。
- What are your projected profits and cash flows for the next five years for this profit center? 对这个利润中心来说下一个五年的利润预测和现金流量是什么?
- Good accounting knowledge in terms of Profit and Loss Balance Sheet and Cash Flows composition. 在利润表和损益表以及现金流量表上有良好的会计知识。
- Relations of Net Profit and Cash Flow 净利润与现金流量关系的研究
- An increase in corporate indebtedness is the first step towards a turn in the credit cycle, according to analysts, especially in the context of corporate profitability and cash flow having already hit a peak in the current cycle. 分析人士表示,企业负债增加是信贷周期走向拐点的第一步,在企业盈利能力和现金流在当前周期中均已达到峰值的背景下更是如此。
- SOME UNDERSTANDING ON THE RELATIONSHIP BETWEEN CORPORATE ACCOUNT PROFIT AND CASH FLOW 对企业账面利润与现金流量关系的认识
- Report to the president daily on profitability and the companies cash position. 为总裁提供关于公司利润和现金状况的日常报告。
- Expenses plan and also funds plan; Existing or anticipated enterprise statement of profit and loss and property debt table; Cash flow indicator. 用款计划及还款计划;现有或预期的企业损益表及资产负债表;现金流量表。
- Since shares represent ownership of a company's dividend,profit,revenue,as-set and cash flow,the ways to value shares will be based on these five catego-ries of figures. 既然股票代表了公司的股息、盈利、营业额、资产及现金流量的拥有权,评定股票价值的方法就从上 述五方面着手。
- This module covers fundamentals of balancesheet, profit and loss accounts, cash flow, basics of financial budget/forecast, financial analysis etc. 这一板块主要讲解财务报表编制的基本操作;包括资产负债表;损益表;现金流量;基本的财务预算和财务分析等.
- The ironstone source-supply chain management has direct effect on profit and competition to Company. 铁矿石的采购供应链管理工作将直接影响公司的利润水平和竞争能力。
- Net increase in cash and cash equivalents increased, mainly due to the great increase in profits and increase in borrowings. 现金及现金等价物净额增加的主要原因系公司利润大幅增长以及借款增加。
- Because this is clean,the net gain of profit and management activity generation exists proper balance, the reason of generation is receivable, the happening of the change of due, cost charge that does not involve cash flow. 因此净利润与经营活动产生的净利润就存在一定的差额,产生的原因就是应收、应付款的变化、不涉及现金流量的成本费用的发生等。
- Participate in annual business planning process through forecasting cost, anticipated margins, and cash flow. 参与年度业务发展计划的制订,预测成本,计算毛利及现金流预测。
- The profits and losses of that factory are on par. 那个工厂的盈亏相抵。
- Both fuel usage is reduced and cash flow is improved with the use of heat recovery equipment. 由于采用了热回收装置,既降低了燃料用量,又使现金周转得更快。
- Teck said the combined company would have the advantage of a diversified base, reducing earnings and cash flow volatility. 特克-科明科公司表示,合并后的公司将拥有多样化业务的优势,并能够减少收益和现金流方面的波动性。
- Real estate markets characterized by long-term lease contracts receipts and cash flow stability. 不动产市场的特色是长期租赁合约收益及现金流量稳定。