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Cash Flow
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What is Cash Flow?

Cash flow refers to the movement of money into and out of a business over a given period, and it sits at the center of financial analysis across accounting, corporate finance, and business management courses. Unlike profit figures, cash flow reveals whether a company can meet its obligations, fund operations, and pursue investment opportunities in practical terms. Its academic interest lies in the tension between cash-based and accruals accounting methods, the challenge of forecasting future cash positions, and the role liquidity plays in firm survival and growth. Business students encounter the topic in courses covering financial statement analysis, investment appraisal, and strategic management.

Papers on this topic take a variety of analytical approaches. Some focus on corporate investment decisions, evaluating how firms allocate capital and assess project viability through tools such as Net Present Value and Internal Rate of Return, including scrutiny of the weaknesses the IRR method carries. Others apply ratio and shareholder analysis to specific companies, such as Easyjet Plc, or work through case-based scenarios involving automotive and healthcare businesses. Several papers contrast cash flow accounting directly with accruals accounting, while others examine cash flow management at the small business level or within project management frameworks.

A strong essay on cash flow grounds its thesis in a clearly defined context — a specific firm, decision, or accounting question — rather than treating the subject in the abstract. Evidence drawn from financial statements, forecasted figures, or case data carries the most weight. The most common pitfall is conflating cash flow with profit; a precise essay keeps these concepts distinct and explains why the difference matters for the analysis at hand.

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Paper Undergraduate
Accounting standards differences between Ireland and the United States
While the ICAEW website sheds absolutely no light about what sort of standards the Irish use in their accounting, thankfully the Chartered Accountants of Ireland do talk about this.
Essay Doctorate
Comparative financial analysis of Starbucks and McDonald's
The financial results for Starbucks and McDonalds over the past couple of years are as follows:
Paper Doctorate
Personal cash management policies and practices: a literature review
¶ … personal cash management policies and practices. The paper starts with by stating the methodology through which the content was collected for the relevant literature in the paper.
Essay Doctorate
Cash flow estimation, NPV sensitivity, and risk tolerance in capital investment decisions
Accounting income takes in consideration total profits; which is usually some form of total revenues minus total expenses. Cash flow is a totally different concept because it doesn't necessarily account for total income, rather it just accounts for cash out flows and in flows. For example, it may not account for various administrative costs or wages that are paid to employees and it may not account for the total income of the organization but just for one specific project.
Research Paper Doctorate
The role of risk management in modern business decision-making
What is Risk Management and why is it important in Business Today? One must first define for oneself the meaning of risk, not only relative to his own life but to his business and financial future.
Essay Doctorate
Financial analysis of Apple Inc.'s performance metrics
I am choosing to analyze Apple Inc., a publicly held company since 1980. The homepage is at http://www.apple.com. I am interested in Apple for many reasons, firstly because it is one of the most successful and largest…
Research Paper Doctorate
U.S. economic recovery forecasts after September 11, 2001
¶ … remedy for the U.S. economy as the country has started to recover from the shock of September 11. Though the tragedy of September has drastically effected the economic growth of the country but the forces of…
Paper Doctorate
Post-2008 regulatory environment effects on Cathay Bank valuation
¶ … Regulatory environment post 2008 on Cathay bank
Paper Undergraduate
Supply chain management strategy at Riordan Manufacturing's Chinese plant
The paper is a case study examining specific issues of the Riordan manufacturing supply chain case study. The beginning of the paper examines the current inventory management system. A process flow chart is presented and the potential benefits of lean manufacturing are discussed. Using figures in the case study, sales forecasts for the following year are created and used to generate a master production schedule and material requirement plan.
Research Paper Undergraduate
The importance of cash forecasting for business liquidity management
Cash forecasting refers to future projections of a company's cash flow. This activity is crucial to insure a healthy business. The cash flow is the engine that keeps the company working.