000 01224cab a2200229 4500
001 ABS46534
008 090401t1992 xxu||||| |||| 00| 0 eng d
035 _a(Sirsi) u58702
041 _aeng
100 _aTheophilus, J.A.
245 _aImproving cah flow for a property company through repackaging
260 _c1992
350 _a0
490 _aJournal of Property Finance
_v3(1) Summer 1992, 53-58(6)
520 _aThe current economic climate in the UK is causing many companies to experience cash flow difficulties. This paper provides a practical approach on how to improve the situation through the adoption of a repackaging plan. It advises on how assets and investments should be treated, how to generate cash via the profit and loss account and how to restructure the financing profile of the company, including refinancing options. Finally, the paper provides advice on how to negotiate with bankers in order to obtain maximum support throughout the difficult period. (Jounral abstract)
650 _aCASH FLOW
650 _aINVESTMENT
650 _aPROFIT AND LOSS ACCOUNT
690 _aPROPERTY-COMMERCIAL PROPERTY-COMMERCIAL PROPERTY FINANCE AND INVESTMENT
942 _n0
948 _c04/03/1997
999 _c35892
_d35892