likviditásmenedzsment
Likviditásmenedzsment refers to the process of managing a company's or individual's cash flow and readily convertible assets to ensure that short-term financial obligations can be met as they come due. It involves monitoring incoming and outgoing cash, forecasting future cash needs, and investing surplus cash in liquid assets. The primary goal of likviditásmenedzsment is to maintain an optimal balance between having enough liquid assets to cover immediate expenses and avoiding the inefficiency of holding excessive, low-yield cash.
Effective likviditásmenedzsment requires careful attention to several key areas. These include cash flow forecasting, which involves
The importance of robust likviditásmenedzsment cannot be overstated. A lack of liquidity can lead to serious