cash requirements 中文意思是什麼

cash requirements 解釋
現金需要量
  • cash : n 現款,現金;〈口語〉錢;小額支票。 a hard cash硬幣。 idle cash〈口語〉游資。 be in [out of] cas...
  • requirements : 必需品
  1. Remove limitations on the range of acceptable sources of funds for all al 2 applicants, with the exception of non - cash assets changing requirements for financial support for family members

    1境內申請延簽的學生若已完成75 %課程的話,不用提供三六個月的留學資金證明。
  2. They could meet these requirements by keeping a stock of cash in the form of bank - notes and coin

    他們持有銀行鈔票和硬幣作為現金儲備,以滿足日常需要。
  3. First, the reserves are used to meet the operating requirement of the administration in times of cash shortage. second, they are required to meet contingency requirements. for instance, when the actual revenue in a certain year is substantially lower than originally estimated, we may have to dip into the fiscal reserves

    第一是填補政府日常運作時出現的現金短缺第二是作應急之用,例如某一年的實際收入較預期大幅減少時,便可能需要動用儲備第三是支持聯系匯率,確保港元穩定。
  4. According to cash management requirements, through balancing of cash inflows and outflows, to meet operation demands of cash, and minimize financing cost

    根據資金管理需求,通過平衡資金的收支,滿足公司營運對資金的要求,最小化籌資成本。
  5. Assist local management in preparation of budgets ; assess other departments ' accounting and control needs ; provide guidance / training and reinforce company policies and country requirements ; prepare monthly cash flow forecasts

    協助當地管理層準備預算;評估其它部門會計和控制需求;提供指導/培訓和補充公司政策和國家要求;準備每個月現金流轉預測。
  6. Through analyzing this bang ' s financial ratio index and the factors which affect its liquidity, we think that the bank ' s present cash ratio, liquidity ratio, deposit and credit ratio, the total credit amount to total asset ratio, bad loan ratio can all meet the requirements of the concerning laws and regulations and they all going toward well directions

    通過對影響湘潭建行流動性因素和財務比率指標的分析,我們認為該行目前的現金比率、流動比率、存貸比率、貸款總額與總資產之比,或能滿足有關規定、或在向好的方向發展,且市場信息狀況較好。
  7. I am aware that the hong kong securities and futures commission ( sfc ) chairman recently publicly admitted the inadequacy of the disclosure requirements regarding directors remuneration, for example, non - cash remuneration, particularly in the form of warrants on technology shares, which has proved increasingly popular. a similar concern has been voiced in the suggestions previously made by the accounting profession

    但公會還有其他不少的好建議,到現時亦未能得到積極的回應,例如:公司董事會主席與行政總裁是否應分開兩人擔任,應否限制控股家族佔有董事會的席位,成立以獨立董事為主的董事酬金委員會,加強董事酬金的細節披露,和董事提名委員會等。
  8. Like in a supermarket the user is afterwards astonished that the many cheap goods in the basket ( comparably maintenance requirements ) cumulate to a large sum at the cash point

    結果往往是如同一個在超級市場購物的顧客結賬時驚訝地發現,購物籃(我們可以將其比作軟體維護的需求)中一些本來很便宜的貨物算在一起居然是一個很大的數目。
  9. Transportation chain - transportation chain for money and securities - part 3 : cash boxes for cash dispensers, coordinational dimensions, requirements for interfaces

    運輸鏈.貨幣和證券用運輸鏈.自動提款機用錢箱的協調
  10. The minimum amount of cash and liquid assets as a percentage of demand deposits and time deposits that member banks of the federal reserve are required to maintain. ve requirements

    聯邦儲備)需要他的成員銀行保留的現金和流動資產的最小量,作為需求保證金和時間保證金的一個百分比。
  11. In addition to restating the need for ais to comply with the statutory liquidity ratio requirements, the revised liquidity regime provides more guidance on the development of an effective liquidity risk management framework ; cash flow management and reporting for liquidity management under normal and stressed situations ; and contingency planning for dealing with a liquidity crisis

    除了重申認可機構須遵守法定的流動資產比率規定外,經修訂的流動資金制度更詳細地說明認可機構應如何制定有效的流動資金風險管理架構;進行在正常及受壓情況下的現金流量管理及申報,以及制定面對流動資金危機時的應變計劃。
  12. It is also one of the reasons why we ask the applicants for a cash flow estimate, because the expenditure requirements may be different at different phases of the project

    這也是我們要求申請者提交現金流量預算的原因之一,因為計劃在不同階段所需要的開支均可能有所不同。
  13. 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

    該幻燈片簡介了利潤和現金流量的預測,內容包括預測利潤和現金流量需要什麼及實例分析
  14. The group believes that its future cash - flow requirements can be satisfied by funds generated from operations and facilities provided by banks and financial institutions, and by the strong support of its strategic partners

    集團相信,結合營運所得資金、銀行及財務機構所提供的信貸,以及策略伴給予的強大支持,應足夠應付未來之現金需求。
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