Read the journal article, “Businesses Seeking Working Capital-Survey.” Based on the information presented in the article, discuss the following:How should a business use working capital analysis?Which is more important to the short-term lender: the stock of cash or the flow of cash?Is it possible in today’s business to operate with no current liabilities? http://www.forbes.com/sites/sageworks/2013/04/12/businesses-seeking-working-capital-survey/Compare and contrast the Internal Rate of Return (IRR), the Net PresentValue (NPV) and Payback approaches to capital rationing. Which do youthink is better? Why? Provide examples and evidence from two articlesfrom ProQuest to support your position. Your post should be 200-250words in length.
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