ISBN-13: 9783659905926 / Angielski / Miękka / 2016 / 60 str.
The study aim to analyze a company Financial Management in order to gain an insight into the efficiency with which the Management maintains cash balances, manages its risks and operates its assets. Several Financial Management instruments are analyzed starting from a simple Ratio analysis which measures the performance of the business, the capital structure policy is then evaluated to know the financial makeup of the company. Business risks calculations are done to know the risk and return relationship. An analysis of the trends in EPS, cash flow and stock price can helps assess the extent to which the Company mangers are achieving the objective of maximizing shareholder's wealth, which is the ultimate aim of Financial Management. Finally, the analysis will be geared towards assessing how the management is reconciling its investment and financing activities of long term assets and obligations with a subsequent projection of Company's future financial position viability through projected cash flow statement and income statements. The study can be used as a standard version for assessing the overall Financial Management and informed business decision regarding any company