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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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Essay Doctorate
Restructuring an inherited portfolio for Susan's long-term retirement goals
This paper answers two questions related to basic portfolio management concepts. The first such question is in reference to a portfolio that a lady has inherited, and whether or not that portfolio fits with her investment needs. Recommendations are made for aligning the portfolio with the client's needs. The second question is basic CAPM stuff.
Essay Doctorate
Application of income statements in personal finance
The balance sheet is an indicator of net worth while the income statement or statement of profit and loss is an indicator of profitability. This information enables one to make solid business decisions in order to ensure the immediate and future well being of the organization. This paper discusses the application of the income statement in business and everyday life.
Paper Doctorate
Toy World's decision between seasonal and level production
McClintock, president and part owner of the manufacturing firm Toy World, is faced with a decision: he can continue to run the company such that manufacturing fluctuates with seasonal demand, meaning that machinery is…
Research Paper Undergraduate
Agency theory and capital structure in competitive environments
Capital Structure refers to the way a corporation finances its assets through some combination of equity, debt, or hybrid securities. While the Modigliani-Miller theorem recognized that capital structure doesn't matter…
Paper Undergraduate
Capital budgeting analysis for machinery investment project
The initial investment in machinery and equipment is $22,000 (all figures in $000s). If this is depreciated straight line over four years, the depreciation expense for each year will be $5,500.
Paper Doctorate
Cash flow statements and company financial health assessment
The cash flow statement is a critical tool for financial planners and analysts interested in assessing the health and wellness of a company from a financial and operational perspective.
Essay Doctorate
Comparative financial analysis of Eagle Materials and Apogee Enterprises
This paper is a financial analysis of two firms in the building industry, Eagle Materials and Apogee Enterprises. The industry is given an analysis, and then each firm is analyzed according to financial ratios, capital structure, international presence and recent news. Then a recommendation is made as to which is the better company to own shares of.
Paper Undergraduate
Candela's cash flow analysis across fiscal years 2002–2004
¶ … FY 2002, Candela has a poor year, with a loss of $7 million in cash from operations. The company shed a lot of cash as a result of this. While the company reduced its payables over the period, it also reduced its…
Research Paper Doctorate
Interrelationships between the four basic financial statements
Most theoretical sources acknowledge the fact that the four basic financial statements are the balance sheet, the income statement, the cash flow statement and the statement of stockholders' equity.
Research Paper Doctorate
Capital budgeting decisions and cash flow analysis for Caledonia Products
This paper outlines a capital budgeting scenario. In addition to an NPV calculation, the paper contains explanations of key capital budgeting terms and concepts.