Актуар молия ва бухгалтерия ҳисоби Volume 4 Issue 05 (2024) · pp. 212-221
ANALYSIS OF CASH FLOW MANAGEMENT PRACTICES IN THE TREASURY: IN A CASE OF UZBEKISTAN
Shodmonkulova Shahlo
Abstract
This paper analyzes cash flow management practices within the treasury of Uzbekistan, focusing on key strategies, operational challenges, and their impacts on financial stability. The study employs a mixed-methods approach, combining quantitative data analysis and qualitative interviews with treasury officials. Findings reveal critical insights into current practices and recommend optimizing cash flow management to enhance overall fiscal efficiency.
Cash Flow Management, Treasury Operations, Forecasting Accuracy, Liquidity Management, Regulatory Constraints, Technological Integration, Capacity Building.
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