Suggested cash management system free up

Assignment Help Financial Management
Reference no: EM131347288

Proposal would establish local collection centers throughout the region to decrease the time it takes to convert credit payments that are mailed in by check to cash. It is estimated that establishing these collection centers would reduce the average collection time by 3 days.

1) If the company currently averages $40,000 in collections per day, how many dollars will this suggested cash management system free up?

2) If all freed up dollars would be used to pay down debt that has an interest rate of 6%, how much money could be saved each year in interest expense?

3) Do the numbers suggest that this new system should be implemented if its total annual cost is $7,800? Explain.

Reference no: EM131347288

Questions Cloud

Determine the new importance scores for present worth : New Tech management reviewed the model developed to assess the best approach for the marketing/R&D problem. (See text problem 19.17 which was assigned as a practice problem.) They have decided that the "high" value for Choice A should be 14. Determin..
Why is operating leverage different at two levels of sales : What is the accounting break-even level of sales if the firm pays no taxes? (Do not round intermediate calculations.  Why is operating leverage different at these two levels of sales?
Why do you demand money : Suppose the Fed has a target range for the yen-dollar exchange rate. How would it keep the exchange rate within the target range if free market forces push the exchange rate out of the range? Use a graph to help explain your answer.
Evaluating the possible acquisition : Wansley Portal Inc., a large Internet service provider, is evaluating the possible acquisition of Alabama Connections Company (ACC), a regional Internet service provider. Wansley's analysts project the following post merger data for ACC (in thousands..
Suggested cash management system free up : Proposal would establish local collection centers throughout the region to decrease the time it takes to convert credit payments that are mailed in by check to cash. It is estimated that establishing these collection centers would reduce the average ..
Why do interest rates change when bond prices change : If the reserve requirement is 20 percent, what is the maximum potential increase in the money supply given the banks' reserve position?
Compute the incremental return on new investment : Proposal 1 would extend trade credit to some customers that previously have been denied credit because they were considered poor risks. Sales are projected to increase by $100,000 per year if credit is extended to these new customers. Compute the inc..
Create a concept map illustrating organizations progression : Choose an organization that has adjusted, adapted, or redefined itself to withstand the test of time. Create a concept map illustrating the organization's innovative progression that led to its success.
Evaluate online tools for business collaboration : Create an online meeting presentation to evaluate online tools for business collaboration. This is an individual assignment.

Reviews

Write a Review

Financial Management Questions & Answers

  Foreign company acquisition

Acquisition by a foreign company and the effects of that decision and the results of foreign exchange in Euro and the exchange rate differences.

  Financial management for profit and non profit organizations

In this essay, we are going to discuss the issues of financial management in a non-profit organisation.

  Method for estimating a venture''s value

Evaluate venture's present value, cash and surplus cash and basic venture capital.

  Replacement analysis

This document show the Replacement Analysis of modling machine. Is replacement give profit to company or not?

  Business finance task - capital budgeting

Your company is considering using the payback period for capital-budgeting. Discuss the advantages and disadvantages of this technique.

  Analysis of the investment

In this project, you will focus on one of these: the additional cost resulting from the purchase of an apple press (a piece of equipment required to manufacture apple juice).

  Conduct a what-if analysis

Review the readings and media for this unit, including the Anthony's Orchard case study media. Familiarise yourself with the Anthony's Orchard company and its current situation.

  Determine operational expenditures

Organisations' behaviour is guided by financial data. In the short term, such data will help determine operational expenditures; in the long term, historical data may help generate forecasts aimed at determining strategic plans. In both instances.

  Personal financial management

How much will you have left over each half year if you adopt the latter course of action?

  Sources of finance for expansion into new foreign markets

A quoted company is considering several long-term sources of finance for expansion into new foreign markets.

  Long term financial planning

This assignment is designed for analyze Long term financial planning begins with the sales forecast and the key input in the long term fincial planning.

  Explain the role of fincial manager

This assignment explain the role of fincial manager, function of manger. And what are the motives of financial manager.

Free Assignment Quote

Assured A++ Grade

Get guaranteed satisfaction & time on delivery in every assignment order you paid with us! We ensure premium quality solution document along with free turntin report!

All rights reserved! Copyrights ©2019-2020 ExpertsMind IT Educational Pvt Ltd