"cash" 的音標為 [k??],基本翻譯為“現(xiàn)金;現(xiàn)款;兌現(xiàn)”。
速記技巧:可以結合其發(fā)音來記,其中“k”發(fā)音類似于“key”,與鑰匙有關,而“?”發(fā)音類似于“a”,表示“一串”,組合在一起可以理解為“一串現(xiàn)金”。同時,也可以通過聯(lián)想記憶法,將其與“cash register”(收銀機)聯(lián)系起來記憶。
希望以上信息對您有幫助。
cash的英文詞源:
cash這個詞源自于英語單詞“cash”,意為“現(xiàn)金”或“現(xiàn)款”。這個詞來源于古英語,其詞根部分來自于古日耳曼語的“kash”,意為“支付”。
變化形式:
cash作為名詞時,可以作為現(xiàn)金、現(xiàn)款、存款的意思;作為動詞時,可以表示“兌現(xiàn)”或“付現(xiàn)款”。
相關單詞:
1. cashier:出納員,收銀員
2. on-cash:現(xiàn)金支付,即付現(xiàn)
3. cash-flow:現(xiàn)金流量
4. cash-back:現(xiàn)金回扣,退現(xiàn)
5. cashiering:被解雇,被開除
6. cashiered:被解雇,被開除的
7. cashmere:cashmere羊毛,一種柔軟的羊毛織物
8. cashed-in:賺取了大量現(xiàn)金
9. cashier check:銀行支票,銀行匯票
10. cash-register:收銀機,自動售貨機
常用短語:
1. cash in
2. cash out
3. cash flow
4. cash on hand
5. cash basis accounting
6. cash equivalent
7. cash collateral
例句:
1. I"m going to cash in on the stock market today.
2. They tried to cash out of the business, but it was too late.
3. The company"s cash flow is very strong, so we can weather any storm.
4. They only keep enough cash on hand to cover expenses for a few days.
5. Accounting is based on cash basis.
6. I have a cash equivalent of $5,000 in my savings account.
7. The bank refused to provide cash collateral for our loan request.
英文小作文:
Title: The Importance of Cash Flow Management
Cash flow is the lifeblood of any business, and effective cash management is crucial for ensuring the success of a company. Cash flow management involves managing the flow of money into and out of a business, ensuring that there is sufficient cash on hand to meet expenses and take advantage of opportunities while avoiding cash flow problems that could jeopardize the company"s operations.
One of the key aspects of cash flow management is cash flow forecasting, which helps businesses anticipate their financial needs and plan their activities accordingly. By accurately forecasting cash flows, companies can better manage their resources, avoid overspending and ensure that they have enough cash to invest in growth opportunities and maintain their operations.
In addition to cash flow forecasting, cash budgeting is another key aspect of cash flow management. This involves creating a budget that tracks expenses and revenues over a period of time, allowing businesses to track their financial performance and identify areas for improvement. By regularly reviewing and adjusting their budgets, companies can ensure that they are spending their resources in the most effective way possible and maintain a healthy cash balance.
Finally, effective cash flow management requires a disciplined approach to financial controls and reporting. This involves regularly reviewing financial statements and other financial information to ensure that financial transactions are properly recorded and that financial controls are in place to prevent fraud and mismanagement. By implementing effective financial controls and reporting, businesses can maintain a clear picture of their financial performance and make informed decisions about their operations and investments.
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