- Select any public listed firm in which you have interest and intend to study.
- Understand the industry characteristics and company background.
- Critically Review the company financial ratios related to working capital.
- In class assessment
- Segregate the analysis into two-parts, part 1 analyze the company Cash and Liquidity Management before COVID-19 and part 2 analyze Cash and Liquidity Management after COVID-19 Pandemic.
- Analyze in depth how various Cash and Liquidity Management strategies support decision-making at the operational level.
- Draw some lessons or recommendations learned during COVID-19 Pandemic.
- The final report structure will be as follows.
- Dell's working capital. Harvard business school.
- Any relevant source of information.
Online Advanced Corporate Finance tutor - Business Bay, United Arab Emirates - TeacherOn
Description
Assignment in corporate finance on working capital management the company Emirates airlines the Required and need to submit on Mondayo Analysis using financial ratios
o Discussion
o Concluding Remarks
References
Level:
Masters/Postgraduate
Gender Preference:
None
Meeting options:
Available online - via skype etc.