NO.PZ2023090505000025
问题如下:
Identify the scenario that primarily acts as a drag on a company's liquidity:
选项:
A.Negotiating longer payment terms with suppliers
Experiencing delays in customer payments
Imposing stricter credit terms on customers
解释:
A is incorrect because negotiating longer payment terms with suppliers is a strategy to manage cash outflows more efficiently, which can actually help improve a company's liquidity position rather than being a drag or pull on liquidity.
B is correct. Delays in receiving customer payments directly lead to a lag in cash inflows, categorizing it as a drag on liquidity. This situation increases the risk of funds not being available when needed, thus affecting the company's ability to cover its liabilities in a timely manner.
C is incorrect as imposing stricter credit terms on customers, while potentially reducing sales if customers are unwilling or unable to comply, is a strategy aimed at minimizing uncollected receivables and not directly a pull on liquidity. It's intended to improve liquidity by reducing the risk of uncollected receivables, which are a known drag on liquidity.
C为什么不正确? 对客户实施更严格的付款政策,是不是就是让客户早点付款,所以减少drag in 的周期?