Papkovskaya P., Pylypenko K., Shсharbatsiuk S. The Counterparty Assessment Mechanism in the Receivables Management System of Agricultural Organizations in the Republic of Belarus and the Ukraine
Autor | Pelageya Papkovskaya, Kateryna Pylypenko, Sviatlana Shсharbatsiuk |
Tytuł | The Counterparty Assessment Mechanism in the Receivables Management System of Agricultural Organizations in the Republic of Belarus and the Ukraine |
Title | The Counterparty Assessment Mechanism in the Receivables Management System of Agricultural Organizations in the Republic of Belarus and the Ukraine |
Słowa kluczowe | counterparties, receivables, monitoring, solvency |
Key words | counterparties, receivables, monitoring, solvency |
Abstrakt | The article investigates issues regarding settlements between business counterparts in the Republic of Belarus, including those between Ukrainian and Belarusian enterprises. The presence of bad debts is identified as a key issue, leading to overdue and unrealistic debt collection accounting that burdens a company's balance sheet, resulting in a loss of financial stability of the creditor enterprise. Monitoring of business counterparts helps minimize this risk. Therefore, a mechanism has been developed to collect information about a counterparty and create a credit dossier. There is a proposal to monitor a counterparty's solvency based on criteria that has been specifically established for an industry. The proposed mechanism will help control unjustified growth in the receivables of agricultural organizations in The Republic of Belarus and the Ukraine in hopes of keeping funds in circulation, and reducing the risk of companies losing their own financial stability due to overly loyal credit policies. |
Abstract | The article investigates issues regarding settlements between business counterparts in the Republic of Belarus, including those between Ukrainian and Belarusian enterprises. The presence of bad debts is identified as a key issue, leading to overdue and unrealistic debt collection accounting that burdens a company's balance sheet, resulting in a loss of financial stability of the creditor enterprise. Monitoring of business counterparts helps minimize this risk. Therefore, a mechanism has been developed to collect information about a counterparty and create a credit dossier. There is a proposal to monitor a counterparty's solvency based on criteria that has been specifically established for an industry. The proposed mechanism will help control unjustified growth in the receivables of agricultural organizations in The Republic of Belarus and the Ukraine in hopes of keeping funds in circulation, and reducing the risk of companies losing their own financial stability due to overly loyal credit policies. |
Cytowanie | Papkovskaya P., Pylypenko K., Shсharbatsiuk S. (2020) The Counterparty Assessment Mechanism in the Receivables Management System of Agricultural Organizations in the Republic of Belarus and the Ukraine.Zeszyty Naukowe SGGW w Warszawie - Problemy Rolnictwa Światowego, t. 20(35), z. 2: 37-50 |
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Pełny tekst | PRS_2020_T20(35)_n2_s37.pdf |
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Kociński M. O wykorzystaniu modelu dwumianowego do optymalizacji strategii sprzedaży zboża
Autor | Marek Kociński |
Tytuł | O wykorzystaniu modelu dwumianowego do optymalizacji strategii sprzedaży zboża |
Title | On the application of binomial model to optimize the strategy of grain selling |
Słowa kluczowe | optymalny moment stopu, model dwumianowy, koszt magazynowania ziarna |
Key words | optimal stopping time, binomial model, grain storage cost |
Abstrakt | W artykule rozważany jest problem optymalnego wyboru momentu sprzedaży zboża w sytuacji, w której występuje koszt jego magazynowania i występuje zmienność procesu ceny ziarna. Do rozwiązania zagadnienia maksymalizacji różnicy między kwotą uzyskaną za sprzedaż ziarna a kosztem jego przechowywania użyto modelu dwumianowego, którym można opisywać dynamikę ceny zboża. Wyniki teoretyczne artykułu zostały zastosowane do obliczeń numerycznych. W przypadku optymalizacji sprzedaży zboża strategia, w której moment sprzedaży jest losowy, może być istotnie lepsza od strategii z deterministycznym czasem sprzedaży. |
Abstract | In the article the problem of the optimal choice of the moment of selling the grain is considered when the grain price is characterized by volatility and there is the costs of storing the grain. To solve the problem of maximizing the difference between the amount obtained for the grain sale and the cost of storing the grain a binomial model was used to describe the dynamics of the grain price. The theoretical results of the paper were applied to the numerical calculations. In the optimization of selling the grain, the strategy with the random selling moment may be significantly better than the strategy with the deterministic selling time. |
Cytowanie | Kociński M. (2018) O wykorzystaniu modelu dwumianowego do optymalizacji strategii sprzedaży zboża.Zeszyty Naukowe SGGW - Ekonomika i Organizacja Gospodarki Żywnościowej, nr 123: 69-79 |
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Pełny tekst | EIOGZ_2018_n123_s69.pdf |
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