Cash management i svenska inkassobolag - Vägen till långsiktig lönsamhet
Sammanfattning
This paper will address the problem areas which Swedish debt collecting firms encounters
while not having a clear cash management strategy. Furthermore, it discusses possible areas
for improvement in regards to increase the firm's long-term profitability. No earlier research
has been found in this area prior to this study, whereby the study will take its scientific basis
in research regarding cash management as a field. These theories will then be applied to the
outcome of the empirical data that has been collected throughout this study.
Due to the nature of this paper an interview was conducted to establish a foundation for how
cash management is used by the Swedish debt collecting firms today. This interview has been
complemented by a data gathering from the Swedish Enforcement Authority regarding
amounts of seized capital from debtors and number of cases handled each year.
Cash management in Swedish debt collecting firms is as seen in this study quite effective and
well structured. However, the study concludes that there are improvements to be made with
the purpose to generate a more efficient cash management and an increased long-term
profitability. Areas with improvement possibilities which are to be concerned are the
financing of debt portfolios, short-term investments of excess liquidity and the inflow of cash
from debtors.
Examinationsnivå
Student essay
Fil(er)
Datum
2017-08-17Författare
Lejdborg, Jacob
Örgård, Filip
Serie/rapportnr.
Logistik
16/17:14
Språk
swe