krainaksiazek problems and solutions in financial management step by step approach step by step approach 20088898

- znaleziono 106 produktów w 6 sklepach

Financial Freedom Through Money Management: The 3 Step Scientific Approach to Becoming Financially Free - 2850870512

34,43 zł

Financial Freedom Through Money Management: The 3 Step Scientific Approach to Becoming Financially Free



Windows PowerShell Step by Step - 2826644156

104,72 zł

Windows PowerShell Step by Step Microsoft Press,U.S.

Książki / Literatura obcojęzyczna

This is today's definitive hands-on guide to automating Windows setup, deployment, and management with Windows PowerShell. Microsoft senior consultant Ed Wilson ("The Scripting Guy") fully illuminates every key PowerShell technique -- especially the major improvements and new cmdlets introduced with PowerShell 5.0. Wilson's positive and humorous approach has made him one of the world's most popular PowerShell instructors. His practical examples and insights will help you maximize productivity and quality in all your IT operations, and integrate automated workflows throughout any traditional or cloud environment. Windows PowerShell Step by Step, Third Edition offers more labs and structured learning exercises than any other PowerShell 5.0 tutorial. Wilson guides you step-by-step through building every script he demonstrates. He reinforces key concepts with step-by-step exercises, including "One Step Further" exercises that deepen your understanding, so you can solve your unique problems. All examples and starter files are downloadable at the TechNet Script Center Script Repository. Coverage includes: * Basic PowerShell concepts and cmdlets * Key providers: Alias, Certificate, Environment, File System, Function, Registry, Variable, and WSMAN * Remoting, jobs, scripts, functions, and modules * Windows PowerShell ISE and snippets * Creating, organizing, and running PowerShell profiles * WMI: objects, namespaces, providers, classes, and queries * Remoting WMI and calling WMI methods via CIM * Automating Active Directory and AD Domain Services * Debugging scripts and handling errors * Defining complex workflows * Using Desired State Configuration (DSC) to quickly enforce or restore configuration settings * Finding and using the PowerShell Gallery's powerful new resources Each chapter concludes with a convenient quick reference, and Wilson presents detailed appendices on coding conventions and regular expressions. If you're upgrading from any earlier version of PowerShell, a new "Start Here" section identifies the most valuable PowerShell features you haven't already learned, so you can focus your efforts where they'll make you most productive.


Foundations of Financial Management - 2854528525

322,06 zł

Foundations of Financial Management McGraw-Hill Education - Europe

Książki / Literatura obcojęzyczna

With real-world emphasis, clear writing style, and step-by-step explanations that simplify difficult concepts, this text focuses on the "nuts and bolts" of finance with clear and thorough treatment of concepts and applications. It also revises all end of chapter problems along with solutions.


Fundamentals Of Health Care Financial Management - 2840041445

559,99 zł

Fundamentals Of Health Care Financial Management

Książki Obcojęzyczne>Angielskie>Medicine>Medicine: general issues>Health systems & services

Helps You Learn The Essentials Of Finance Theory And Practice With The Tools Needed In Day-to-day Practice. This Book Offers A Practical Step-by-step Approach To Understanding The Fundamental Theories And Relationships Guiding Financial Decisions In Health Care Organization.


SAP ERP Financial Accounting and Controlling - 2854368045

239,78 zł

SAP ERP Financial Accounting and Controlling Springer, Berlin

Książki / Literatura obcojęzyczna

SAP ERP modules are notoriously hard to configure and use effectively without a lot of practice and experience. But as SAP ERP Financial Accounting and Controlling Illustrated: Configuration and Use Management shows, it doesn't have to be so difficult. The book takes a systematic approach that leads SAP Financial Accounting and Controlling (FICO) users step by step through configuring and using all the program's facets. This approach makes configuration complexities manageable. The book's author - SAP expert, trainer, and accountant Andrew Okungbowa - ensures that both you and your end users are up and running quickly and confidently with FICO. He also provides sound and tested procedures that ensure your implementation works without error.§§ SAP ERP Financial Accounting and Controlling : Configuration and Use Management is in fact the most comprehensive and easy-to-follow SAP FICO configuration book in the market. It incorporates a hands-on approach, with hundreds of screen shots and practical examples, that allows a person without prior configuration training to make SAP FICO ready for use in the enterprise. You'll find that you don't need to be a rocket scientist to grasp the concepts explained and apply them to your work - even when the finances are complicated, such as with the ins and outs of taxes, currency conversions, or special general ledger entries such as down payments or bills of exchange.§§Providing an in-depth coverage of both configuration and end user procedures, the book covers most aspects of the SAP FICO certification syllabus - SAP's view of the module's key tasks and procedures - including:§§Configuring and using the general ledger and accounts payable and receivable screens§Configuring and completing closing procedures, asset accounting, and financial reporting§Configuring global settings and enterprise variables§Accounting for both profit and cost centers§Creating a house bank§Integrating FICO with other SAP modules §Taking a jargon-free tone and providing an abundance of examples, Andrew Okungbowa provides a clear understanding of configuration techniques and the breadth of functionalities encompassed by SAP FICO. And as an accountant, Okungbowa understands the needs of end users as well as of those answering to the CIO.§


Common Musculoskeletal Problems - 2854223876

375,33 zł

Common Musculoskeletal Problems Springer, Berlin

Książki / Literatura obcojęzyczna

Primary care physicians are increasingly called upon to identify and manage complex musculoskeletal issues in their patients. This second edition of Common Musculoskeletal Problems in Primary Care: A Handbook is an excellent point of care resource for health care providers to better diagnose and treat patients presenting with common musculoskeletal complaints. Each chapter in this book focuses on a specific joint or region and discusses anatomy, red flags, approach to the patient, common clinical presentations and management, and includes a flow diagram to help direct management and follow-up of a patient s problem.§§A number of important updates in the field have been addressed in this revised version, most notably the inclusion of information on meaningful use. Meaningful Use legislation requires that healthcare providers give documentation on diagnosis and treatment to every patient at the time of their evaluation and as such, each chapter of this revised edition includes patient instructions and education sections for clinicians. Updated algorithms and physical examination sheets are provided and are formatted to easily fit into an electronic medical record.§§Featuring a user-friendly approach and step-by-step guidelines for managing a number of common musculoskeletal conditions, this handbook is an ideal reference for medical students, primary care residents and practicing primary care providers alike. §


New Wealth Management - 2854198175

450,53 zł

New Wealth Management Wiley

Książki / Literatura obcojęzyczna

Mainstay reference guide for wealth management, newly updated for today's investment landscape For over a decade, The New Wealth Management: The Financial Advisor's Guide to Managing and Investing Client Assets has provided financial planners with detailed, step-by-step guidance on developing an optimal asset allocation policy for their clients. And, it did so without resorting to simplistic model portfolios, such as lifecycle models or black box solutions. Today, while The New Wealth Management still provides a thorough background on investment theories, and includes many ready to use client presentations and questionnaires, the guide is newly updated to meet twenty-first century investment challenges. The book Includes expert updates from Chartered Financial Analyst (CFA) Institute, in addition to the core text of 1997's first edition - endorsed by investment luminaries Charles Schwab and John Bogle Presents an approach that places achieving client objectives ahead of investment vehicles Applicable for self-study or classroom use Now, as in 1997, The New Wealth Management effectively blends investment theory and real world applications. And in today's new investment landscaped, this update to the classic reference is more important than ever.


Schaum's Outline of Financial Accounting - 2854189142

98,61 zł

Schaum's Outline of Financial Accounting MCGRAW-HILL Professional

Książki / Literatura obcojęzyczna

The ideal review for your financial accountingMore than 40 million students have trusted Schaum's Outlines for their expert knowledge and helpful solved problems. Written by renowned experts in their respective fields, Schaum's Outlines cover everything from math to science, nursing to language. The main feature for all these books is the solved problems. Step-by-step, authors walk readers through coming up with solutions to exercises in their topic of choice. 490 fully-solved problemsFull coverage of accounting concepts, principles, and toolsComplete self-testing examsSupports and supplements the leading textbooks in financial accountingAppropriate for the following courses: Financial Accounting, Accounting for Management, Accounting Principles, Accounting I, Accounting IIEasy-to-follow review of financial accountingSupports all the major textbooks for financial accounting courses


Federal Interventions in Response to the Financial Crisis - 2854564267

309,04 zł

Federal Interventions in Response to the Financial Crisis Nova Science Publishers Inc

Książki / Literatura obcojęzyczna

In August 2007, asset-backed securities (ABS), particularly those backed by subprime mortgages, suddenly became illiquid and fell sharply in value as an unprecedented housing boom turned into a housing bust. Losses on the many ABS held by financial firms depleted their capital. Uncertainty about future losses on illiquid and complex assets led to firms having reduced access to private liquidity, sometimes catastrophically. In September 2008, the financial crisis reached panic proportions, with some large financial firms failing or having the government step in to prevent their failure. Initially, the government approach was largely ad hoc, addressing the problems at individual institutions on a case-by-case basis. The panic in September 2008 convinced policy makers that a system-wide approach was needed, and Congress created the Troubled Asset Relief Program (TARP) in October 2008. In addition to TARP, the Treasury, Federal Reserve (Fed) and Federal Deposit Insurance Corporation (FDIC) implemented broad lending and guarantee programs. The primary goal of the various interventions was to end the financial panic and restore normalcy to financial markets, rather than to make a profit for taxpayers. This book presents how much the programs ultimately cost (or benefited) the taxpayers based on straightforward cash accounting as reported by the various agencies. This book describes the various actions by the Federal Reserve to stabilise the financial markets and how those actions are likely to affect the federal budget in coming years. The book also presents estimates of the risk-adjusted (or fair-value) subsidies that the Federal Reserve provided to financial institutions through its emergency programs.


Statistics for Management and Economics - 2854325245

322,06 zł

Statistics for Management and Economics South-Western College Publishing

Książki / Literatura obcojęzyczna

Statistics for Management and Economics, Tenth Edition, emphasizes applications over calculation. It illustrates how vital statistical methods and tools are for today's managers - and teaches you how to apply them to real business problems. Using a proven three-step "ICI" approach to problem solving, the text teaches you how to identify the correct statistical technique by focusing on the problem objective and data type; how to compute the statistics doing them by hand, using Excel[registered], or using MINITAB; and how to interpert results in the context of the problem. This unique approach enhances your comprehension and practical skills. The text's vast assortment of data-driven examples, exercises, and cases covers the various functional areas of business, demonstrating the statistical applications that marketing managers, financial analysts, accountants, economists, and others use. These comprehensive applications give you hands-on practice, while solid pedagogical elements make the material more accessible and easy to apply to your world. Completely up-to-date, the tenth edition offers comprehensive coverage, current examples, and Excel[registered] 2013 and MINITAB 16 content.


Operational Risk Toolbox for Financial Services - 2854244006

246,70 zł

Operational Risk Toolbox for Financial Services Harriman House Publishing

Książki / Literatura obcojęzyczna

The Operational Risk Handbook for Financial Companies is a groundbreaking new book. It seeks to apply for the first time a range of proven operational risk techniques from other industries and disciplines to the troubled territory of financial services. Operational risk expert Brian Barnier introduces a range of sophisticated, dependable and - crucially - approachable tools for risk evaluation, risk response and risk governance. He provides a more robust way of gaining a better picture of risks, shows how to build risk-return awareness into decision making, and how to fix (and not just report) risks. The practical importance of fully understanding and acting on risk to the business begins in the foreword on plan-B thinking, penned by Marshall Carter, chairman of the NYSE and deputy chairman of NYSE Euronext. The book is unique because: - It is not just about modeling and a few basic tools derived from regulatory requirements. Instead, it looks at management of risk to operations across industries, professional disciplines and history to help ops risk leaders become aware of the entire landscape of proven experience, not just their own conference room. - It is not just about compliance. Instead, it looks to operations as part of performance - managing risk to return for shareholders and other interests (e.g. guarantee funds). - It is not content to look at risk in stand-alone segments or silos; instead it takes a systems approach. - It is not just about ops risk leaders sharing war stories at a conference. Instead, it introduces a panel of six financial institution board members who get risk management and provide their perspectives throughout the book to encourage/demand more from ops risk to meet the needs of the institution in the world. - It is not a semi-random collection of tips and tricks. Instead, it is grounded in a risk-management process flow tailored to financial companies from a range of proven experience, providing tools to help at each step. Suitable for companies of all sizes, this book is of direct relevance and use to all business managers, practitioners, boards and senior executives. Key insights from and for each are built into every chapter, including unique contributions from board members of a range of companies. The Operational Risk Handbook for Financial Companies is an essential book for making better decisions at every level of a financial company; ones that measurably improve outcomes for boards, managers, employees and shareholders alike.


Identity and Access Management - 2835277039

218,17 zł

Identity and Access Management SYNGRESS MEDIA

Książki / Literatura obcojęzyczna

Identity and Access Management: Business Performance Through Connected Intelligence provides you with a practical, in-depth walkthrough of how to plan, assess, design, and deploy IAM solutions. This book breaks down IAM into manageable components to ease systemwide implementation. The hands-on, end-to-end approach includes a proven step-by-step method for deploying IAM that has been used successfully in over 200 deployments. The book also provides reusable templates and source code examples in Java, XML, and SPML. It focuses on real-word implementations. It provides end-to-end coverage of IAM from business drivers, requirements, design, and development to implementation. It presents a proven, step-by-step method for deploying IAM that has been successfully used in over 200 cases. It includes companion website with source code examples in Java, XML, and SPML as well as reusable templates.


Introduction to Management Science - 2854548400

264,84 zł

Introduction to Management Science Pearson Education Limited

Książki / Literatura obcojęzyczna

For undergraduate courses in Management Science. A logical, step-by-step approach to complex problem-solving Using simple, straightforward examples to present complex mathematical concepts, Introduction to Management Science gives students a strong foundation in how to logically approach decision-making problems. Sample problems are used liberally throughout the text to facilitate the learning process and demonstrate different quantitative techniques. Management Science presents modeling techniques that are used extensively in the business world and provides a useful framework for problem-solving that students can apply in the workplace. The Twelfth Edition focuses on the latest technological advances used by businesses and organizations for solving problems and leverages the latest versions of Excel 2013, Excel QM, TreePlan, Crystal Ball, Microsoft Project 2010, and QM for Windows.


Management Accountant's Standard Desk Reference - 2212843537

173,40 zł

Management Accountant's Standard Desk Reference Global Professional Publishing


The Management Accountant


Portfolio Management Under Stress - 2854299903

238,95 zł

Portfolio Management Under Stress Cambridge University Press

Książki / Literatura obcojęzyczna

Portfolio Management Under Stress offers a novel way to apply the well-established Bayesian-net methodology to the important problem of asset allocation under conditions of market distress or, more generally, when an investor believes that a particular scenario (such as the break-up of the Euro) may occur. Employing a coherent and thorough approach, it provides practical guidance on how best to choose an optimal and stable asset allocation in the presence of user specified scenarios or 'stress conditions'. The authors place causal explanations, rather than association-based measures such as correlations, at the core of their argument, and insights from the theory of choice under ambiguity aversion are invoked to obtain stable allocations results. Step-by-step design guidelines are included to allow readers to grasp the full implementation of the approach, and case studies provide clarification. This insightful book is a key resource for practitioners and research academics in the post-financial crisis world.


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