000 01631cam a2200385 a 4500
001 2009035912
003 OCoLC
005 20240430144540.0
008 090903s2010 njua 001 0 eng
010 _a 2009035912
020 _a9780470497081 :
_c75.00
020 _a0470497084 :
_c75.00
050 0 0 _aHG4027.5
_b.B73 2010
069 _a09953461
090 _aHG 4027.5 .B73 2010
090 _aHG 4027.5 .B73 2010
100 1 _aBragg, Steven M.
_982266
245 1 0 _aTreasury management :
_bthe practitioner's guide /
_cSteven M. Bragg.
260 _aHoboken, NJ :
_bWiley,
_cc2010.
300 _axii, 292 p. :
_bill. ;
_c24 cm.
500 _aIncludes index.
505 0 _aTreasury department -- Cash transfer methods -- Cash forecasting -- Cash concentration -- Working capital management -- Debt management -- Equity management -- Investment management -- Foreign exchange risk management -- Interest risk management -- Clearing and settlement systems -- Treasury systems.
650 0 _aInternational business enterprises
_xFinance
_xManagement.
_9112837
650 0 _aBanks and banking, International
_xManagement.
_9112840
690 _aTreasury management.
_9112841
690 _aBank management.
_9112843
852 _9p75.00
_y04-12-2010
907 _a24553
_b08-06-10
_c08-06-10
942 _cBOOK
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998 _aaudmc
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