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Index
Essentials of Managing Corporate Cash Preface Chapter 1: Introduction to Managing Corporate Cash
Overview What Is Cash Management? The Cash Management Profession Historical Perspective Why Cash Managers Are Needed
The Operating Cycle and the Cash Flow Timeline The Nature of Cash Flows
Positioning the Cash Manager
The Role of the Cash Manager
Important Concepts Summary
Chapter 2: Payment Systems
Overview Important Concepts
Clearing and Settlement Systems Immediate Settlement Systems Delayed Settlement Systems Hybrid Systems Transaction Types
Electronic Payment Methods
The Fedwire System Fedwire Advantages and Disadvantages Fedwire Security Clearing House Interbank Payments System (CHIPS) CHIPS Advantages and Disadvantages Automated Clearing House (ACH) ACH Advantages and Disadvantages
Checks
Characteristics of Checks The Check Clearing Process Check Advantages and Disadvantages
Other Payment Mechanisms
Trade Drafts Bank Drafts (Cashier's Checks) Cash Credit and Charge Cards Procurement Cards
Payment System Standardization
Electronic Data Interchange (EDI) NACHA Formats SWIFT Payment System Risk
Summary
Chapter 3: Managing Cash Inflows
Overview Inefficiencies in Collection Activities
The Role of Paper
Mail Float
Causes of Mail Float Solutions to Mail Float
Processing Float Availability Float
Internal Bank Deadlines Bank Processing Solutions for Availability Float
Lockboxing
Lockbox Networks Wholesale Lockbox
Ancillary Collection Services
Retail Lockbox Imaging Integrated Receivables Other Services
Pricing Other Considerations
Operational Control of Collections Lockbox Holdover Remitter Cooperation
Summary
Chapter 4: Managing Cash Outflows
Overview Concentration Systems
Mobilizing Funds Concentration System Considerations
Disbursement Systems
Regular Checking Zero Balance Accounts Controlled Disbursement Funding
Positive Pay
Positive Pay and Fraud Prevention
Other Disbursement Services
Reconciliation Stop Payments Check Safekeeping
Check Fraud Prevention
Electronic Check Presentment
Payroll
Direct Deposit Mechanics Paycards
Purchasing-Accounts Payable Cycle
Procurement Cards Other Potential Improvements
Comprehensive Payables
Payments by Check Benefits
Summary
Chapter 5: Liquidity Management
Overview Liquidity Management
Sources and Uses of Liquidity Managing Liquidity
Cash Forecasting
Cash Budgeting The Distribution Method Cash Modeling Regression Analysis Choosing a Forecasting Method
Instruments for Short-Term Investing
Government Instruments Bank Instruments Corporate Instruments Interest Rates Issues in Short-term Investing Investment Policies Passive and Active Strategies
Borrowing
Lines of Credit Other Credit Facilities Cost of Borrowing
Summary
Chapter 6: Treasury Information Systems
Overview Treasury Information Modules
The Basic Modules Other Modules
Treasury Workstations
Advanced Functionality
Internet Banking
Benefits Disadvantages
Internet-banking and the Service Providers Choosing a Treasury Information System
Step 1: Determine Information Requirements Step 2: Conduct Vendor Search Step 3: Review Vendor Offerings Step 4: Provide Economic Justification Step 5: Choose the System
Summary
Chapter 7: International Cash Management
Overview The Growth of International Business The International Treasury Environment
Complexities of International Cash Management Bank Compensation Practices
International Risk
Foreign Exchange Risk Country Risk Cross-Border Commercial Risk
Risk Management Tools
Forward Contracts Futures Contracts Options Swaps Balance Sheet Matching Leading and Lagging Letter of Credit Documentary Collections Country Risk Insurance
Cross-Border Clearing and Settlement Basic International Cash Management Tools
Electronic Banking Services Foreign Currency Accounts International Lockboxes
Liquidity Management Tools
Notional Pooling Cross-border Concentration Netting
Treasury Structures
Tax-advantaged Centers Reinvoicing Centers In-house Banks (IHB) Commissionaire Structure
European Developments
The Impact of the Euro New Euro Payment Systems
Tips for Emerging Global Treasurers
Basic Tips Intermediate Tips Advanced Tips
Summary
Chapter 8: United States Banking Environment
Overview The Role and Services of Financial Institutions Regulation of the Banking Industry
Functions of the Federal Reserve System Organization of the Fed Other Regulatory Agencies Dual Banking System
Significant Legislation
Regulation of the Industry Leveling the Playing Field Deregulation Customer Rights
Federal Reserve Regulations Impacting Cash Managers The Account Analysis
Account Balances Cash Management Service Charges
Using the Account Analysis to Review Cash Management
Collections Concentration Disbursement
The Uniform Commercial Code (UCC) Summary
Chapter 9: Bank Relationship Management
Overview Twenty-First-Century Relationship Management Transaction Banking Considerations in Bank Selection
The RFI The RFP
Issues Covered in Bank RFPs
General Issues Specific Cash Management Issues
Review of Pricing
Review of Pro Forma Account Analyses
Evaluation of the RFPs
Measures of Performance Weighted Scoring of Proposals Guidelines for Managing the RFP Process
Managing Your Banking Relationships
Service-Level Agreements (SLAs) Relationship Reviews
Summary
Chapter 10: Future Trends
Overview Trends in Collections
Electronic Bill Presentment and Payment (EBPP) Electronic Check Presentment (ECP) Direct Debits
Trends in Disbursements Banking Relationship Concerns
The New Seller's Market in Banking Capital Rationing Where Will Banks Use Their Capital? Will the Future Bring Systemic Changes?
Risk Management Control and Management of Disasters
Employees Electronic Devices and Barriers Disaster Recovery Computer Security
Organization of the Treasury Function
Centralization through Shared Service Centers (SSCs) Enterprise Resource Planning (ERP) Outsourcing Open Architecture Electronic Banking (EB)
Future Role of the Treasurer Summary
Appendix A: Useful Sources Appendix B: NACHA Formats Appendix C: SWIFT Message Types
Suggested Readings
Index
A
Index
B
Index
C
Index
D
Index
E
Index
F
Index
G
Index
H
Index
I
Index
J
Index
L
Index
M
Index
N
Index
O
Index
P
Index
R
Index
S
Index
T
Index
U
Index
V
Index
W
Index
Z
List of Exhibits
Chapter 1: Introduction to Managing Corporate Cash Chapter 2: Payment Systems Chapter 3: Managing Cash Inflows Chapter 4: Managing Cash Outflows Chapter 5: Liquidity Management Chapter 6: Treasury Information Systems Chapter 7: International Cash Management Chapter 8: United States Banking Environment Chapter 9: Bank Relationship Management Chapter 10: Future Trends
List of In the Real Worlds
Chapter 1: Introduction to Managing Corporate Cash Chapter 2: Payment Systems Chapter 3: Managing Cash Inflows Chapter 4: Managing Cash Outflows Chapter 5: Liquidity Management Chapter 6: Treasury Information Systems Chapter 7: International Cash Management Chapter 8: United States Banking Environment Chapter 9: Bank Relationship Management Chapter 10: Future Trends
List of Sidebars
Chapter 1: Introduction to Managing Corporate Cash Chapter 2: Payment Systems Chapter 3: Managing Cash Inflows Chapter 4: Managing Cash Outflows Chapter 5: Liquidity Management Chapter 6: Treasury Information Systems Chapter 7: International Cash Management Chapter 8: United States Banking Environment Chapter 9: Bank Relationship Management Chapter 10: Future Trends
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