HIIIIIII. Trying to get a business report done and am not sure for strategies for
1) increasing solvency
2) increasing liquidity?
which one looks at cash flow management ect and which one looks at improving working capital???
or do i have it completely wrong- i am sop ANNOYYYYEEEDD AT THIS GOD DAM REPORT. so tired. :mad1:
1) increasing solvency
2) increasing liquidity?
which one looks at cash flow management ect and which one looks at improving working capital???
or do i have it completely wrong- i am sop ANNOYYYYEEEDD AT THIS GOD DAM REPORT. so tired. :mad1: