StudentShare
Contact Us
Sign In / Sign Up for FREE
Search
Go to advanced search...

Financial Statement, Cash Flows, and Taxes - Research Paper Example

Cite this document
Summary
This paper highlights that the financial environment has an immense effect on business activities and it influences many of the managerial decisions both in the long term as well as on a short-term basis. The government of different nations reduced the interest rate to induce liquidity in the economy…
Download full paper File format: .doc, available for editing
GRAB THE BEST PAPER93.7% of users find it useful
Financial Statement, Cash Flows, and Taxes
Read Text Preview

Extract of sample "Financial Statement, Cash Flows, and Taxes"

Download file to see previous pages

Gradually pressure went on increasing on the banks so the reserve banks allowed local banks to lower both the lending as well as borrowing rates.According to economic theories when demand goes down, the governments introduce more liberal monitory policy so that more liquidity can be introduced. As soon as the reserve banks reduce their interest rates, following the trend other banks have to reciprocate the same and they also lower the interest rates. So it becomes more convenient for business persons to opt for debt capital which is available at a much lower rate.

In the downturn economical phase, it becomes too difficult to raise equity capital from primary markets hence lower interest attracts the companies who have expansion plans.The financial environment and the interest rates are related to each other and while setting the interest rates government takes into account the financial environment more seriously. The financial environment comprises of many factors such as money market, capital market, secondary market, primary market, debt markets, liquidity state of the economy, the performance of banks and their level of profitability, business performance in the nation, demand and supply state and so on.

Rather than the home country, the financial condition of neighboring nations and the state of the international market also influences interest rate.When the financial environment in the US was poor due to the subprime crisis, Fed reduced interest rates to sub-zero levels with an aim to boost demand and introduce liquidity in markets. Loans were quite cheap for the business entities so that they can start new projects. All this will result in more jobs and a reduction in the rate of unemployment and a higher demand for raw material and other facilities.

There was a plan to accelerate the production cycle but stimulating the demand in the US economy through the lower interest rate.

...Download file to see next pages Read More
Cite this document
  • APA
  • MLA
  • CHICAGO
(Financial Statement, Cash Flows, and Taxes Research Paper, n.d.)
Financial Statement, Cash Flows, and Taxes Research Paper. Retrieved from https://studentshare.org/finance-accounting/1731805-finance-essay-journal
(Financial Statement, Cash Flows, and Taxes Research Paper)
Financial Statement, Cash Flows, and Taxes Research Paper. https://studentshare.org/finance-accounting/1731805-finance-essay-journal.
“Financial Statement, Cash Flows, and Taxes Research Paper”, n.d. https://studentshare.org/finance-accounting/1731805-finance-essay-journal.
  • Cited: 0 times

CHECK THESE SAMPLES OF Financial Statement, Cash Flows, and Taxes

Rview of Financial Statements

Then the operating expenses and taxes are subtracted to obtain the net income of the firm.... The statement of cash flows shows the movement of cash during an accounting period.... The balance sheet is a financial statement that reflects the financial position of a company at a specific point in time.... The eight steps of the accounting cycle are: record transactions in journal, post transactions to ledger, prepare adjusting entries, prepare summary of account balances, prepare income statement and revenue and expense accounts, close revenue and expense accounts to retained earnings, prepare post closing summary of account balances, prepare balance sheet and statement of cash flow....
1 Pages (250 words) Essay

Financial Statements

Current liabilities include notes payable, interest payable, accounts payable, wages payable and taxes payable.... Statement of cash flows is a record of a company's cash flow activities such as the investing, operating and financing undertakings.... Financial Statements 8th, January, 2013 Introduction A financial statement can be defined as a record that shows the financial activities of a business, individual, or other entity.... The financial statement act as an indicator of how a company is performing....
4 Pages (1000 words) Essay

The Difference between Cash Equivalent and Cash

Therefore, cash flows experienced from these transactions are classified to being from... Also, it include activities like refunding of taxes or any other cash payments made by the company unless they are stated to specifically associate with the other cash flow activities.... Name: Instructor: Subject: My Position It is important to note cash equivalent as quite different from cash.... Moreover, cash equivalent are not only short-term securities but they are liquid....
8 Pages (2000 words) Research Paper

Smokers Avoidance to Pay Cigarette Taxes

The paper “Smoker's Avoidance to Pay Cigarette taxes” suggests that the huge losses in revenue are because a large portion of smokers avoid paying tax.... While this might be true, the author does not think we can really blame the people from avoiding taxes....  Smoker's Avoidance to Pay Cigarette taxes The paper suggests that the huge losses in revenue are because a large portion of smokers avoid paying tax.... While this might be true, I don't think we can really blame the people from avoiding taxes....
2 Pages (500 words) Personal Statement

The Differences in Accounting Processes between Partnerships and Corporations

How does an outside review use a statement of cash flows and other financial statements to assess the viability of the firm?... Cash flow statements provide a summary of actual or anticipated cash flows under three categories of business activities including operating, investment and financing activities over a period of time.... nbsp;What does a statement of cash flows tell us about the short and long term prospects of the firm?... nbsp;… Companies need to assess their cash flow which is the net of receipts and payments....
8 Pages (2000 words) Case Study

Assess the Components of Cash Flow Statements

he next section of the Statement of cash flows is cash flows from Investing Activities.... The last section of the cash flow statement is cash flows from Financing Activities (Dechow, 1994).... A cash flow statement is a summary of the actual or likely incomings and outgoings of cash in a firm over an accounting year or time.... Investing is the drop of… penditure and applicable returns on short- term and long investments and it is a section of the cash flow analysis that represents a complete evaluation as to the fluctuation of non-current assets....
3 Pages (750 words) Research Paper

Financial Statements of Home Depot

After the deduction of various statutory deductions like taxes and interest expenses, the consolidated statement of earnings of a business represents the net earnings of the company over a specific period of time.... The basic financial statements including the income statement, the balance sheet and the cash flow statements of the company are studied and mapped against the managerial decision making processes of the company in the specific year under study.... he consolidated statement of earnings of Home Depot indicates that the company has been extremely proficient in generating revenues in 2008....
6 Pages (1500 words) Essay

Toyota Statement of Cash Flow

This paper "Toyota Statement of cash Flow" focuses on the fact that Toyota Motors is noted as the leading car manufacturer in the world today.... nbsp; It is in this regard that this paper tries to assess the financial performance of Toyota not only purely on its balance sheet, statement of cash flow and statement of income, but by using advanced tools for analysis in managerial accounting.... Despite this amazing market performance of Toyota for years, it is still important to look closely at its financial status and the prevailing market condition to actually see its real standing....
10 Pages (2500 words) Case Study
sponsored ads
We use cookies to create the best experience for you. Keep on browsing if you are OK with that, or find out how to manage cookies.
Contact Us