Responsible for cash flow projections and Company taxation matters.
负责公司现金流动支付及税务方面的问题。
Strategic financial planning, preparing consolidated account, cash flow projections and other company 'secretarial duties.
制订财政计划,预备综合账户,现金流动预测和其它公司的文书责任。
When you are doing projections for future years, I encourage management teams to project the income statement first, then the cash flow statement, and then end up with the balance sheet.
当你为未来数年作规划时,我建议管理团队首先要为损益表作规划,然后是现金流量表,最后是资产负债表。
When you are doing projections for future years, I encourage management teams to project the income statement first, then the cash flow statement, and then end up with the balance sheet.
当你为未来数年作规划时,我建议管理团队首先要为损益表作规划,然后是现金流量表,最后是资产负债表。
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