Working capital management

Working Capital Management

Downloads

Business Environment and Concepts

My Presentations :


Financial Management part-1
Ratio Analysis
Working capital Management


My Study notes :

Business structures Summary
The uniform partnership act 1997-article view
Cost Measurement




study notes from other sources:

BEC
REG
FAR
AUD

Useful Web resources :

Fully understanding costs
Cost Accounting
Activity based costing
Marginal costing and absorption costing
Introduction to cost accounting : Methods and techniques
Presentation on Cost profit volume analysis
Target costing
Joint and byproduct costing

Acts :

Securities Act of 1933
Sec's - A Plain English Handbook 
INTERNAL REVENUE CODE
AICPA Code of Professional Conduct
Uniform Commercial Code
Statute of Frauds
Sarbanes- Oxley Act of 2002
Subchapter S Revision Act of 1999
UNIFORM PARTNERSHIP ACT (1997)
UNIFORM LIMITED PARTNERSHIP ACT (2001)
Uniform Accountancy Act



Securities Act of 1933

Section 1 -- Short Title

Section 2 -- Definitions; Promotion of Efficiency, Competition, and Capital Formation

Section 2A -- Swap Agreements

Section 3 -- Classes of Securities under this Title

Section 4 -- Exempted Transactions

Section 5 -- Prohibitions Relating to Interstate Commerce and the Mails

Section 6 -- Registration of Securities

Section 7 -- Information Required in Registration Statement

Section 8 -- Taking Effect of Registration Statements and Amendments Thereto

Section 8A -- Cease-and-Desist Proceedings

Section 9 -- Court Review of Orders

Section 10 -- Information Required in Prospectus

Section 11 -- Civil Liabilities on Account of False Registration Statement

Section 12 -- Civil Liabilities Arising in Connection with Prospectuses and Communications

Section 13 -- Limitation of Actions

Section 14 -- Contrary Stipulations Void

Section 15 -- Liability of Controlling Persons

Section 16 -- Additional Remedies

Section 17 -- Fraudulent Interstate Transactions

Section 18 -- Exemption from State Regulation of Securities Offerings

Section 19 -- Special Powers of Commission

Section 20 -- Injunctions and Prosecution of Offenses

Section 21 -- Hearings by Commission

Section 22 -- Jurisdiction of Offenses and Suits

Section 23 -- Unlawful Representations

Section 24 -- Penalties

Section 25 -- Jurisdiction of Other Government Agencies over Securities

Section 26 -- Separability of Provisions

Section 27 -- Private Securities Litigation

Section 27A -- Application of Safe Harbor for Forward-Looking Statements

Section 28 -- General Exemptive Authority

Source :http://www.law.uc.edu/CCL/33Act/

Securities Exchange Act of 1934

Section 1 -- Short Title

Section 2 -- Necessity for Regulation

Section 3 -- Definitions and Application

Section 3A -- Swap Agreements

Section 4 -- Securities and Exchange Commission

Section 4A -- Delegation of Functions by Commission

Section 4B -- Transfer of Functions with Respect to Assignment of Personnel to Chairman

Section 4C -- Appearance and Practice Before the Commission

Section 5 -- Transactions on Unregistered Exchanges

Section 6 -- National Securities Exchanges

Section 7 -- Margin Requirements

Section 8 -- Restrictions on Borrowing and Lending by Members, Brokers, and Dealers

Section 9 -- Manipulation of Security Prices

Section 10 -- Manipulative and Deceptive Devices

Section l0A -- Audit Requirements

Section 11 -- Trading by Members of Exchanges, Brokers, and Dealers

Section 11A -- National Market System for Securities; Securities Information Processors

Section 12 -- Registration Requirements for Securities

Section 13 -- Periodical and Other Reports

Section 14 -- Proxies

Section 15 -- Registration and Regulation of Brokers and Dealers

Section 15A -- Registered Securities Associations

Section 15B -- Municipal Securities

Section 15C -- Government Securities Brokers and Dealers

Section 15D -- Securities Analysts and Research Reports

Section 15E -- Registration of Nationally Recognized Statistical Rating Organizations

Section 16 -- Directors, Officers, and Principal Stockholders

Section 17 -- Records and Reports

Section 17A -- National System for Clearance and Settlement of Securities Transactions

Section 17B -- Automated Quotation Systems for Penny Stocks

Section 18 -- Liability for Misleading Statements

Section 19 -- Registration, Responsibilities, and Oversight of Self-Regulatory Organizations

Section 20 -- Liability of Controlling Persons and Persons Who Aid and Abet Violations

Section 20A -- Liability to Contemporaneous Traders for Insider Trading

Section 21 -- Investigations and Actions

Section 21A -- Civil Penalties for Insider Trading

Section 21B -- Civil Remedies In Administrative Proceedings

Section 21C -- Cease-and-Desist Proceedings

Section 21D -- Private Securities Litigation

Section 21E -- Application of Safe Harbor for Forward-Looking Statements

Section 22 -- Hearings by Commission

Section 23 -- Rules, Regulations, and Orders; Annual Reports

Section 24 -- Public Availability of Information

Section 25 -- Court Review of Orders and Rules

Section 26 -- Unlawful Representations

Section 27 -- Jurisdiction of Offenses and Suits

Section 27A -- Special Provision Relating to Statute of Limitations on Private Causes of Action

Section 28 -- Effect on Existing Law

Section 29 -- Validity of Contracts

source: http://www.law.uc.edu

Regulation References

  1. Internal revenue code
  2. Your Federal Income Tax (Publication 17)
  3. Sarbanes-Oxley Act of 2002 (SOX)
  4. Securities Act of 1933
  5. Securities Exchange Act of 1934
  6. IRS Forms and Publications