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Books > Business & Economics > Finance & accounting > Accounting > Financial accounting

The Going-Concern-Principle in Non-Financial Disclosure - Concepts and Future Challenges (Hardcover, 1st ed. 2021): Rosa... The Going-Concern-Principle in Non-Financial Disclosure - Concepts and Future Challenges (Hardcover, 1st ed. 2021)
Rosa Lombardi
R3,589 Discovery Miles 35 890 Ships in 10 - 15 working days

This book investigates the going-concern principle in the non-financial disclosure by companies in the international scenario proposing concepts and challenges to come. Following the main accounting literature, requirements and regulations, this book proposes the current state of the art in the non-financial disclosure, collecting main mandatory and voluntary frameworks and standards (e.g. European Directive 2014/95/UE on non-financial information, Global Reporting Initiative, International Integrated Reporting Council, Sustainability Accounting Standards Board, Climate Disclosure Standard Board, Carbon Disclosure Project, AA1000). This is a useful proposition for the investigation of the presence versus absence of the going concern in the sustainability and non-financial reports and disclosure by companies. Through a qualitative methodology, this book is intended to show the incidence of the going-concern in the non-financial disclosure and to what content and meaning it is refereed. Several issues and characteristics of information provided to stakeholders are drafted.

Bitcoin Takara - 1189 Bitcoin Wallets (Hardcover): Satoshi Nakamoto Bitcoin Takara - 1189 Bitcoin Wallets (Hardcover)
Satoshi Nakamoto
R4,069 R3,280 Discovery Miles 32 800 Save R789 (19%) Ships in 10 - 15 working days
Readings in Managerial Economics, Accounting and Financial Analysis (Hardcover, 2nd ND ed.): R.K. Mishra, B. Navin Readings in Managerial Economics, Accounting and Financial Analysis (Hardcover, 2nd ND ed.)
R.K. Mishra, B. Navin
R2,336 R1,979 Discovery Miles 19 790 Save R357 (15%) Ships in 10 - 15 working days
Auditing Ecosystem and Strategic Accounting in the Digital Era - Global Approaches and New Opportunities (Hardcover, 1st ed.... Auditing Ecosystem and Strategic Accounting in the Digital Era - Global Approaches and New Opportunities (Hardcover, 1st ed. 2021)
Tamer Aksoy, Umit Hacioglu
R5,292 Discovery Miles 52 920 Ships in 12 - 19 working days

This book examines current topics and trends in strategic auditing, accounting and finance in digital transformation both from a theoretical and practical perspective. It covers areas such as internal control, corporate governance, enterprise risk management, sustainability and competition. The contributors of this volume emphasize how strategic approaches in this area help companies in achieving targets. The contributions illustrate how by providing good governance, reliable financial reporting, and accountability, businesses can win a competitive advantage. It further discusses how new technological developments like artificial intelligence (AI), cybersystems, network technologies, financial mobility and smart applications, will shape the future of accounting and auditing for firms.

Stop Leaving Money on the Table (Hardcover): Jason M Fields Stop Leaving Money on the Table (Hardcover)
Jason M Fields
R700 Discovery Miles 7 000 Ships in 10 - 15 working days
Become the Banker - Financial Clarity for Life (Hardcover): Joseph J a Quijano Cfp(r) Cdfa(r) Become the Banker - Financial Clarity for Life (Hardcover)
Joseph J a Quijano Cfp(r) Cdfa(r)
R724 Discovery Miles 7 240 Ships in 12 - 19 working days
Empirical Note on Debt Structure and Financial Performance in Ghana - Financial Institutions' Perspective (Hardcover):... Empirical Note on Debt Structure and Financial Performance in Ghana - Financial Institutions' Perspective (Hardcover)
John Gartchie Gatsi
R939 Discovery Miles 9 390 Ships in 12 - 19 working days
Italian Banking and Financial Law: Crisis Management Procedures, Sanctions, Alternative Dispute Resolution Systems and Tax... Italian Banking and Financial Law: Crisis Management Procedures, Sanctions, Alternative Dispute Resolution Systems and Tax Rules (Hardcover)
D. Siclari
R3,486 Discovery Miles 34 860 Ships in 12 - 19 working days

Within an environment made difficult by the continuing economic crisis, the Italian model for crisis management and resolution has helped to avoid many difficulties faced by intermediaries across the globe. However, the Italian model for crisis management will be forced to adapt to the new EU Bank Recovery and Resolution Directive, which introduces a unified regime for such events in all EU countries. This book explores the various methods for crisis management employed in Italian finance. The authors discuss procedures used in the banking and insurance sectors, such as deposit guarantee schemes and alternative dispute resolution systems. They also explore the evolution of the administrative sanctioning systems, and the roles of tax rules and credit rating agencies in Italian finance. This book analyses the evolution of the various crisis management processes, and discusses potential goals and improvements within the context of recent measures suggested by the European Commission.

Corporate Governance and Financial Management - Computational Optimisation Modelling and Accounting Perspectives (Hardcover):... Corporate Governance and Financial Management - Computational Optimisation Modelling and Accounting Perspectives (Hardcover)
S. Nuryanah, S Islam
R3,630 Discovery Miles 36 300 Ships in 12 - 19 working days

This book integrates corporate governance, corporate finance and accounting to formulate sound financial management strategies. It offers practical steps for managers using an integrated optimisation financial model to achieve good corporate governance practices which lead to lower risks and higher firm value.

Italian Banking and Financial Law: Regulating Activities - Regulating Activities (Hardcover): D. Siclari Italian Banking and Financial Law: Regulating Activities - Regulating Activities (Hardcover)
D. Siclari
R4,157 Discovery Miles 41 570 Ships in 12 - 19 working days

Italian banks and financial intermediaries are subject to extensive regulation which has evolved throughout the country's history. There has also been much change to the country's financial regulation in recent years in response to the globalization of markets and intermediaries. The Italian administrative and regulatory system is often perceived as a major obstacle to economic productivity, and some causes of this ineffectiveness are deeply rooted and date back to the Italian unification and juridical culture. This book provides an overview of the Italian regulation of banking and financial activities, and tracks the evolution of its 'economic Constitution' and market trends. It explores a range of topics within Italian regulation, including the regulation of banking activities, investment services and collective portfolio management. It examines in detail the relationship between intermediaries and customers, public offerings of financial instruments and products, public takeover bids, listed companies, insurance and reinsurance business. Among other current topics the authors discuss the link between investor protection and confidence in the financial markets; and assess the financial markets as a source of financing for companies.

A Cross-Industry Analysis of Financial Ratios - Comparabilities and Corporate Performance (Hardcover): Rajib K. Doogar, David E... A Cross-Industry Analysis of Financial Ratios - Comparabilities and Corporate Performance (Hardcover)
Rajib K. Doogar, David E Jensen, J. Edward Ketz
R2,787 Discovery Miles 27 870 Ships in 10 - 15 working days

Whether used as predictors or indicators of stock prices, financial risk, merger candidates, or bond yields, financial ratios have been, and continue to be, a popular tool for analyzing a firm and its performance. Practitioners and academics who employ financial ratios often compare and contrast across several industries, but such evaluations assume that the ratios of one industry measure the same underlying concepts as the ratios of another. This book provides evidence on the comparability of financial ratios across several industries, assessing the similarity or dissimilarity of ratios among industry taxonomies, or groups of ratios.

Extending previous studies that focused primarily on manufacturing firms, this work surveys a wide variety of both manufacturing and retail corporations, and determines the classification patterns of their respective financial ratios. The taxonomies of thirty two ratios, in seven representative industries, are examined for the ten-year period from 1978 through 1987. Two introductory chapters detail the nature of the research, the data utilized, variables employed, and statistical methodologies, as well as providing a brief summary of the results. A third chapter furnishes results for the entire economy by factors of return, cash flow, cash position, inventory, sales, liquidity, and debt; while seven separate chapters describe the study's conclusions for each of the primary industries: automobile and aerospace; chemical, rubber, and oil; electronics; food; retail; steel; and textile. The work concludes with a summary of the study and its conclusions, and an examination of the limitations of this type of research and possibilities for its extension. This book will be a valuable practical resource for accounting and finance professionals, as well as an important reference for courses in finance, accounting, and management. Public, academic, and business libraries will also find it a useful addition to their collections.

Financial Institutions in the Global Financial Crisis - The Role of Financial Derivatives, Bank Capital, and Clearing and... Financial Institutions in the Global Financial Crisis - The Role of Financial Derivatives, Bank Capital, and Clearing and Custody Services (Hardcover, 1st ed. 2018)
Shaofang Li
R3,651 Discovery Miles 36 510 Ships in 10 - 15 working days

This book examines the role of financial institutions in the financial markets during normal times, as well as during the global financial crisis. Chapter 1 offers a brief introduction to the research topics in the book, while Chapter 2 discusses the impact of financial derivatives on risk exposures of BHCs. Chapter 3 then investigates whether and how different types of bank capital affect bank lending and whether this relation changes in times of the global financial crisis. Chapter 4 adds to the scant information on competitive landscape in the clearing and settlement industry. Lastly, Chapter 5 provides a summary and discussion of the findings and presented.

Financial Accounting For Dummies, UK edition (Paperback, UK Edition): S. Collings Financial Accounting For Dummies, UK edition (Paperback, UK Edition)
S. Collings 1
R715 R557 Discovery Miles 5 570 Save R158 (22%) Ships in 9 - 17 working days

Your plain English guide to financial accounting for students and trainees. Financial Accounting For Dummies provides students who are studying finance, accounting and business with the basic concepts, terminology, and methods to interpret, analyse, prepare and evaluate financial statements. Covers concepts accountants and other business professionals use to prepare reports; mergers and acquisitions purchase and pooling; free cash flow; and financial statement analysis. Whether you re a student on your way to earning a degree, working towards your ACCA qualification, or a trainee just starting out in your accounts career, Financial Accounting For Dummies gives you a wealth of information to grasp the subject. * This UK version is adapted to take in UK accounting practice and international reporting standards * Provides a firm grounding in interpreting, analysing, preparing and evaluating corporate financial statements * Includes easy to understand explanations and real-life examples to consolidate learning

Beat Estate Tax Forever - The Unprecedented $5 Million Opportunity in 2012 (Hardcover): Michael Gilfix Beat Estate Tax Forever - The Unprecedented $5 Million Opportunity in 2012 (Hardcover)
Michael Gilfix
R880 Discovery Miles 8 800 Ships in 10 - 15 working days
Financial Accounting and Reporting (Paperback, 20th edition): Barry Elliott, Jamie Elliott Financial Accounting and Reporting (Paperback, 20th edition)
Barry Elliott, Jamie Elliott
R1,760 R1,432 Discovery Miles 14 320 Save R328 (19%) Ships in 5 - 10 working days

For second year Financial Accounting modules or modules on Financial Reporting on undergraduate and MBA courses. Available with MyLab Accounting 'Well-structured, informative, and enriched with relevant examples. The coverage of established and contemporary issues within financial accounting and reporting is comprehensive.' Dr Chloe Wu, Lecturer and Assistant Professor in Accounting and Finance, University of Leeds Gain a comprehensive understanding of financial accounting and reporting, and learn to prepare and discuss financial statements The 20th edition of Financial Accounting and Reporting by Jamie Elliott and Barry Elliott provides a comprehensive overview of financial accounting and reporting, equipping you with the knowledge to prepare and critically discuss IFRS compliant financial statements, and introducing you to the commercial issues surrounding these. Now with enhanced coverage of interpretation of financial statements, ethical issues and accountability, the authors provide essential knowledge for advancing your studies and career. Key features Exercises of varying difficulty including questions from past exam papers of professional accounting bodies Illustrations taken from real-world international company reports and accounts, which have been updated for this edition and help to demonstrate the applications of key principles in the life of real companies Up-to-date content including new material on accountability, sustainability, ethical problems and the future of audit services Includes the latest accounting standards set out in the IFRS, IAS and the Conceptual Framework for Financial Reporting, plus a discussion of the proposed IFRS on General Presentation and Disclosure Improved flow of topics and revised explanations makes the text even easier to follow and use Instructors, pair this text with MyLab Accounting By combining trusted author content with digital tools and a flexible platform, MyLab (TM) personalises the learning experience and improves results for each student. MyLab Accounting has been expanded for this edition to better align with feedback received from accounting course leaders and now includes over 1600 questions that can be assigned to students, including more exercises on accounts preparation for group accounts. Pearson, the world's learning company.

Public Financial Management Reforms in Turkey: Progress and Challenges, Volume 2 (Hardcover, 1st ed. 2020): Tekin Akdemir,... Public Financial Management Reforms in Turkey: Progress and Challenges, Volume 2 (Hardcover, 1st ed. 2020)
Tekin Akdemir, Halis Kiral
R2,910 Discovery Miles 29 100 Ships in 10 - 15 working days

This book provides an assessment of public financial management (PFM) reforms in developing countries using Turkey as a case study. Volume II elaborates on asset and liability management, intergovernmental fiscal relations, accounting, financial reporting, and auditing. Bringing together academics and practitioners, the book analyzes the PFM reforms in the light of theoretical explanations and practices to reveal the achievements, challenges, and future perspectives of PFM.

Balancing Control and Flexibility in Public Budgeting - A New Role for Rule Variability (Hardcover, 1st ed. 2016): Michael Di... Balancing Control and Flexibility in Public Budgeting - A New Role for Rule Variability (Hardcover, 1st ed. 2016)
Michael Di Francesco, John Alford
R1,521 Discovery Miles 15 210 Ships in 10 - 15 working days

This work explores how reshaping budget rules and how they are applied presents a preferred means of public sector budgeting, rather than simply implementing fewer rules. Through enhanced approaches to resource flexibility, government entities can ensure that public money is used appropriately while achieving the desired results. The authors identify public budgeting practices that inhibit responses to complex problems and examine how rule modification can lead to expanded budget flexibility. Through a nuanced understanding of the factors underlying conventional budget control, the authors use budget reforms in Australia to show the limits of rule modification and propose "rule variability" as a better means of recalibrating central control and situational flexibility. Here, policy makers and public management academics will find a source that surveys emerging ways of reconciling control and flexibility in the public sector.iv>

Value Added Reporting - Lessons for the United States (Hardcover, New): Ahmed Riahi-Belkaoui Value Added Reporting - Lessons for the United States (Hardcover, New)
Ahmed Riahi-Belkaoui
R2,761 Discovery Miles 27 610 Ships in 10 - 15 working days

A new form of accounting statement--the value added statement--is gaining popularity in the corporate annual reports of the largest companies in the United Kingdom. This new statement can be viewed as a modified version of the income statement. Like the income statement, the value added statement reports the operating performance of a company at a given point in time, using both accrual and matching procedures. Unlike the income statement, however, it is interpreted not as a return to shareholders but as a return to the larger group of capital and labor providers. Riahi-Belkaoui shows that the value added statement can be easily derived from the income statement and is therefore easily adaptable to the needs of U.S. companies.

To illustrate the usefulness of the value added statement, Riahi-Belkaoui devotes Chapter 1 to a thorough discussion of its many benefits. He then analyzes the usefulness of the value added concept in understanding the characteristics of corporate takeovers in the United States, and in Chapter 3 he discusses the relationship between the value added concept and the systematic risk of U.S. companies, concluding in Chapter 4 with a discussion of value added statements in financial analysis. His book will thus interest not only accountants, teachers, and students who follow trends in international and multi-national accounting but also those who want to prepare themselves for the development of value added techniques and procedures that might reasonably be expected in the United States.

Advances in Quantitative Analysis of Finance and Accounting (Hardcover): Cheng-Few Lee Advances in Quantitative Analysis of Finance and Accounting (Hardcover)
Cheng-Few Lee
R4,020 Discovery Miles 40 200 Ships in 12 - 19 working days

Part of a series which discusses advances in the quantitative analysis of finance and accounting, this volume is the fifth in the series.

Advances in Quantitative Analysis of Finance and Accounting (Hardcover): Cheng-Few Lee Advances in Quantitative Analysis of Finance and Accounting (Hardcover)
Cheng-Few Lee
R4,029 Discovery Miles 40 290 Ships in 12 - 19 working days

"Advances in Quantitative Analysis of Finance and Accounting" is an annual publication designed to disseminate developments in the quantitative analysis of finance and accounting. The publication is a forum for statistical and quantitative analyses of issues in finance and accounting as well as applications of quantitative methods to problems in financial management, financial accounting, and business management. The objective is to promote interaction between academic research in finance and accounting and applied research in the financial community and the accounting profession. The papers in this volume cover a wide range of topics including default risk premiums, multi-period contracts, stock market, impact of earnings change on stock price, bank regulation, dividend effect of closed-end mutual funds, income smoothing, and inflation accounting.

Flow of Funds Analysis - Innovation and Development (Hardcover, 1st ed. 2020): Nan Zhang Flow of Funds Analysis - Innovation and Development (Hardcover, 1st ed. 2020)
Nan Zhang
R4,261 Discovery Miles 42 610 Ships in 12 - 19 working days

This book discusses the theory, methods, and applications of flow of funds analysis. The book integrates the basic principles of economic statistics, financial accounts, international finance, econometric models, and financial network analysis, providing a systematic and comprehensive introduction to the interconnection between these research fields. It thus provides the reader with the intellectual groundwork indispensable for understanding the workings and interactions of today's globalized financial markets. The main focus of the book is how to observe the flow of funds in macroeconomics, how to measure the global flow of funds (GFF), and how to use GFF data to carry out an analysis. Based on the statistical framework for measuring GFF under the System of National Accounts, the book identifies the systematic relationship of financial linkages among economic sectors and with the rest of the world while integrating data sources that include stock data, geographically broken down by country-region, and selected financial instruments. It sets out the GFF concept and constructs a GFF matrix (metadata) on a from-whom-to-whom basis within a country-by-country pattern. Lastly, an established GFF matrix table is used to conduct an empirical study including an econometric model and financial network analysis.

Advances in quantitative analysis of finance and accounting (Hardcover): Cheng-Few Lee Advances in quantitative analysis of finance and accounting (Hardcover)
Cheng-Few Lee
R3,451 Discovery Miles 34 510 Ships in 12 - 19 working days

Part of a series which discusses advances in the quantitative analysis of finance and accounting, this volume is the fourth in the series.

Supplier Price Analysis - A Guide for Purchasing, Accounting and Financial Analysts (Hardcover, New): Richard Newman Supplier Price Analysis - A Guide for Purchasing, Accounting and Financial Analysts (Hardcover, New)
Richard Newman
R2,771 Discovery Miles 27 710 Ships in 10 - 15 working days

A day does not go by that a buyer or purchasing agent does not complete a transaction and have the vague feeling that the price paid was too high. In an easy-to-read guide, Newman explores the subject of price, the components of which are shown to be compatible with information readily available from the supplier's annual report data, among other relevant sources. A simple example demonstrates how to determine the price structure of the supplier. Two complex cases follow, which are analyzed from the buyer's perspective.

This book will help the buyer focus in on those areas of price which can be successfully negotiated as well as how to find the information in a cost-effective manner. It will also help direct buyers' attention to those suppliers who offer the greatest potential for cost reduction.

Statutory Auditors' Independence in Protecting Stakeholders' Interest - An Empirical Study (Hardcover, 1st ed. 2018):... Statutory Auditors' Independence in Protecting Stakeholders' Interest - An Empirical Study (Hardcover, 1st ed. 2018)
Mitrendu Narayan Roy, Siddhartha Sankar Saha
R6,796 Discovery Miles 67 960 Ships in 12 - 19 working days

Corporate failures and accounting scandals have shaken the foundations of investors' confidence in the transparency, integrity and accountability of corporations and financial markets. There have also been public disquiet about the role of professional auditors and audit firms, who had been associated with these corporate scandals. Written from a global perspective, the book assists in understanding the gravity of independent attitude of statutory auditors in protecting stakeholders' interest and examines the effectiveness of the existing standards and other legal and regulatory requirements in enforcing statutory auditors' independent engagement. It then suggests modifications in those regulations. The study has been made through seven chapters in order to address empirically statutory auditors' independence in protecting stakeholders' interest. Primary audiences of the book are researchers in finance and control, students, and professionals in the field of accounting and auditing.

Economics of the Indian Steel Industry (Hardcover): Susmita Dasgupta Economics of the Indian Steel Industry (Hardcover)
Susmita Dasgupta
R4,470 Discovery Miles 44 700 Ships in 12 - 19 working days

Steel is the foundational material of modern civilization and constitutes the core of industry, and yet, it is overproduced across the world. This supply glut is reducing margins and turning steel into a sunset industry. Steel consumes as much as four times the amount of raw materials as its produced volume, and the sheer bulk of the steel makes it costly to transport. Because of this, countries prefer to make their own rather than to source it across land and sea. The Indian steel industry has grown from being the tenth largest steel producer in the world in 1991 to emerging as the second largest, after China. This book aims to reveal, through data and the use of simple economic concepts, the mistakes that abound in the discourses surrounding the steel industry. Its main objective is to dispel the many myths that are perpetuated by policy makers and the industry in order to benefit a small coterie of large firms, and discusses how through such favours the Indian steel industry is set to lose out in terms of margins, products and growth in technology. It covers the unique role of the Indian state in the development of the broad base of steel production, and observes the change in the direction in policy, which reverses the economic equality of the past and promotes collusion among oligopolies leading to overexpansion in capacities. Economics of the Indian Steel Industry will be of interest to students of industrial economics and corporate strategy, as well as financial managers and policy makers.

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