• Produktbild: The New CFO Financial Leadership Manual
  • Produktbild: The New CFO Financial Leadership Manual

The New CFO Financial Leadership Manual

Aus der Reihe Wiley Corporate F&A

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Beschreibung

Produktdetails

Einband

Gebundene Ausgabe

Erscheinungsdatum

14.12.2010

Verlag

John Wiley & Sons

Seitenzahl

512

Maße (L/B/H)

26/18,3/3,1 cm

Gewicht

1021 g

Auflage

3rd edition

Sprache

Englisch

ISBN

978-0-470-88256-6

Beschreibung

Produktdetails

Einband

Gebundene Ausgabe

Erscheinungsdatum

14.12.2010

Verlag

John Wiley & Sons

Seitenzahl

512

Maße (L/B/H)

26/18,3/3,1 cm

Gewicht

1021 g

Auflage

3rd edition

Sprache

Englisch

ISBN

978-0-470-88256-6

Herstelleradresse

Libri GmbH
Europaallee 1
36244 Bad Hersfeld
DE

Email: gpsr@libri.de

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  • Produktbild: The New CFO Financial Leadership Manual
  • Produktbild: The New CFO Financial Leadership Manual
  • Preface xiii

    Part One: Overview

    Chapter 1: CFO's Place in the Corporation 3

    First Days in the Position 3

    Specific CFO Responsibilities 4

    Overview of the Change Management Process 8

    Differences between the Controller and CFO Positions 9

    Relationship of the Controller to the CFO 12

    Other Direct Reports: The Treasurer 13

    Other Direct Reports: The Investor Relations Officer 13

    Summary 14

    Chapter 2: Financial Strategy 15

    Cash 15

    Investments 17

    Working Capital 19

    Inventory: Inventory Reduction Decision 21

    Fixed Assets: Lease versus Buy Decisions 23

    Payables 23

    Debt 26

    Equity 28

    Products: Product Elimination Decisions 32

    Fixed Expenses: Step Costing Decisions 35

    Payroll Expenses: Temporary Labor versus Permanent Staffing Decisions 36

    Entities: Divestiture Decisions 38

    Systems: When to Use Throughput Costing 39

    High-Volume, Low-Price Sale Decisions Using Throughput Costing 43

    Capital Budgeting Decisions Using Throughput Costing 44

    Make versus Buy Decisions Using Throughput Costing 46

    Summary 47

    Chapter 3: Tax Strategy 48

    Accumulated Earnings Tax 49

    Cash Method of Accounting 50

    Inventory Valuation 51

    Mergers and Acquisitions 51

    Net Operating Loss Carryforwards 52

    Nexus 53

    Project Costing 54

    S Corporation 55

    Sales and Use Taxes 56

    Transfer Pricing 57

    Unemployment Taxes 59

    Summary 60

    Chapter 4: Information Technology Strategy 61

    Reasons for Devising an Information Technology Strategy 61

    Developing the Information Technology Strategy 62

    Technical Strategies 65

    Specific Applications 67

    Summary 70

    Part Two: Accounting

    Chapter 5: Performance Measurement Systems 73

    Creating a Performance Measurement System 73

    Asset Utilization Measurements 74

    Operating Performance Measurements 79

    Cash Flow Measurements 82

    Liquidity Measurements 85

    Solvency Measurements 90

    Return on Investment Measurements 91

    Market Performance Measurements 97

    Summary 99

    Chapter 6: Control Systems 100

    Need for Control Systems 100

    Types of Fraud 101

    Key Controls 103

    When to Eliminate Controls 118

    Summary 119

    Chapter 7: Audit Function 121

    Composition of the Audit Committee 121

    Role of the Audit Committee 122

    Purpose of the External Auditors 124

    Dealing with External Auditors 125

    Impact of the Sarbanes-Oxley Act on the Audit Function 126

    Role of the Internal Audit Function 128

    Managing the Internal Audit Function 131

    Summary 133

    Part Three: Financial Analysis

    Chapter 8: Cost of Capital 137

    Components 137

    Calculating the Cost of Debt 138

    Calculating the Cost of Equity 140

    Calculating the Weighted Cost of Capital 142

    Incremental Cost of Capital 144

    Using the Cost of Capital in Special Situations 146

    Modifying the Cost of Capital to Enhance Shareholder Value 148

    Strategizing Cost of Capital Reductions 151

    Summary 152

    Chapter 9: Capital Budgeting 153

    Hurdle Rate 153

    Payback Period 154

    Net Present Value 156

    Internal Rate of Return 158

    Throughput-Based Capital Budgeting 161

    Problems with the Capital Budget Approval Process 162

    Cash Flow Modeling Issues 164

    Funding Decisions for Research and Development Projects 165

    Capital Investment Proposal Form 167

    Post-Completion Project Analysis 170

    Summary 172

    Chapter 10: Other Financial Analysis Topics 173

    Risk Analysis 173

    Capacity Utilization 177

    Breakeven Analysis 183

    Business Cycle Forecasting 188

    Summary 194

    Part Four: Funding

    Chapter 11: Cash Management and Consolidation 197

    Cash Forecasting Model 197

    Information Sources for the Cash Forecast 201

    Measuring Cash Forecast Accuracy 201

    Cash Forecasting Automation 202

    Cash Concentration Overview 204

    Physical Sweeping 204

    Notional Pooling 206

    Comparison of Account Sweeping and Notional Pooling 207

    Cash Management Controls 208

    Summary 212

    Chapter 12: Investing Excess Funds 213

    Investment Criteria 213

    Investment Restrictions 214

    Investment Options 214

    Investment Strategies 216

    Summary 219

    Chapter 13: Obtaining Debt Financing 220

    Management of Financing Issues 220

    Bank Relations 221

    Accounts Payable Payment Delay 222

    Accounts Receivable Collection Acceleration 223

    Credit Cards 224

    Employee Trade-Offs 224

    Factoring 224

    Field Warehouse Financing 225

    Floor Planning 226

    Inventory Reduction 226

    Lease 227

    Line of Credit 228

    Loans 228

    Merchant Card Advances 234

    Preferred Stock 234

    Sale and Leaseback 235

    Summary 235

    Chapter 14: Obtaining Equity Financing 238

    Types of Stock 238

    Private Placement of Stock 239

    Layout of the Offering Memorandum 240

    Establishing a Valuation for the Offering Memorandum 252

    Swapping Stock for Expenses 253

    Swapping Stock for Cash 254

    Stock Warrants 254

    Stock Subscriptions 255

    Private Investment in Public Equity 255

    Buying Back Shares 256

    Rule 144 257

    Rule 10b5-1 258

    Summary 261

    Part Five: Publicly Held Company

    Chapter 15: Initial Public Offering 265

    Reasons to Go Public 265

    Reasons Not to Go Public 266

    Cost of an IPO 268

    Preparing for the IPO 269

    Finding an Underwriter 271

    Registering for and Completing the IPO 274

    Alternatives for Selling Securities 277

    Trading on an Exchange 279

    American Stock Exchange 280

    Overview of the NASDAQ 282

    New York Stock Exchange 283

    Comparing the Stock Exchanges 285

    Over-the-Counter Stocks 287

    Summary 287

    Chapter 16: Reports to the Securities and Exchange Commission 288

    Overview 288

    Form 8-K 289

    Form 10-Q and Form 10-K 294

    Form S-1 297

    Form S-3 299

    Form S-8 300

    Shelf Registration 300

    Declaring a Registration Statement Effective 301

    Reporting Insider Securities Ownership and Trading 302

    EDGAR Filing System 306

    Fedwire Payments 308

    Summary 310

    Chapter 17: Investment Community 311

    Introduction 311

    Analyst's Perspective 311

    Finding the Right Analyst 313

    Sell Side: Analysts 314

    Negative Analyst Report 316

    Sell Side: Brokers 316

    Sell Side: Investment Bankers 318

    Sell Side: Investor Relations Specialists 318

    Buy Side: Types of Investors 319

    Buy Side: Institutional Investors 319

    Buy Side: Individual Investors 321

    Buy Side: Presentations to Investors 323

    Summary 323

    Chapter 18: Taking a Company Private 325

    Going Private Transaction 325

    Rule 13e-3 325

    Filling Out Schedule 13E-3 326

    300-Shareholder Limit 329

    Form 15 330

    Summary 330

    Part Six: Management

    Chapter 19: Risk Management-General Concepts 333

    Risk Management Policies 334

    Risk Management Planning 335

    Manager of Risk Management 337

    Risk Management Procedures 338

    Types of Insurance Companies 341

    Evaluating the Health of an Insurance Carrier 343

    Claims Administration 344

    Insurance Files 345

    Annual Risk Management Report 346

    Summary 347

    Chapter 20: Risk Management: Foreign Exchange 348

    Foreign Exchange Quote Terminology 348

    Nature of Foreign Exchange Risk 349

    Data Collection for Foreign Exchange Risk Management 350

    Foreign Exchange Hedging Strategies 351

    Accept the Risk 352

    Insist on Home Currency Payment 352

    Currency Surcharges 353

    Get Paid on Time 353

    Foreign Currency Loans 353

    Sourcing Changes 353

    Foreign Currency Accounts 354

    Unilateral, Bilateral, and Multilateral Netting Arrangements 354

    Forward Exchange Contracts 355

    Currency Futures 357

    Currency Options 358

    Currency Swaps 360

    Proxy Hedging 362

    Summary 362

    Chapter 21: Outsourcing the Accounting and Finance Functions 363

    Advantages and Disadvantages of Outsourcing 363

    Contractual Issues 368

    Transition Issues 370

    Controlling Supplier Performance 372

    Measuring Outsourced Activities 373

    Managing Suppliers 379

    Dropping Suppliers 379

    Summary 381

    Chapter 22: Mergers and Acquisitions 382

    Evaluating Acquisition Targets 382

    Complexity Analysis 400

    Evaluate Acquisition Targets with Alliances 401

    Valuing an Acquisition Target 402

    Alternative Valuation Methods 402

    Control Premium 406

    Synergy Gains 406

    Discounted Cash Flow (DCF) Model 407

    Constructing Cash Flow Scenarios 409

    Cash Flow Adjusting Factors 410

    Earnout 412

    Qualitative Factors 413

    Which Valuation Method Is Best? 414

    Method of Payment 415

    Types of Acquisitions 416

    Tax Implications of an Acquisition 416

    Asset Acquisition 418

    Type ''A'' Reorganization 419

    Type ''B'' Reorganization 420

    Type ''C'' Reorganization 421

    Type ''D'' Reorganization 422

    Triangular Merger 423

    Reverse Triangular Merger 423

    Terms of the Acquisition Agreement 424

    When to Use an Investment Banker 424

    Summary 425

    Part Seven: Other Topics

    Chapter 23: Employee Compensation 429

    Deferred Compensation 429

    Life Insurance 431

    Stock Appreciation Rights 432

    Stock Options 432

    Restricted Stock Units 435

    Bonus Sliding Scale 435

    Cut Benefit Costs with a Captive Insurance Company 436

    Summary 436

    Chapter 24: BANKRUPTCY 437

    Applicable Bankruptcy Laws 437

    Players in the Bankruptcy Drama 438

    Creditor and Shareholder Payment Priorities 439

    Bankruptcy Sequence of Events 440

    Tax Liabilities in a Bankruptcy 446

    Special Bankruptcy Rules 447

    Bankruptcy Act of 2005 448

    Alternatives to Bankruptcy 448

    Summary 449

    Appendix A: New CFO Checklist 451

    Appendix B: Performance Measurement Checklist 456

    Appendix C: Due Diligence Checklist 465

    About the Author 474

    Index 477