Forecasting cash flow for 2015: The risks and opportunities on the banking balance‐sheet
Abstract
Purpose
The purpose of this paper is to review an article on extensive research to predict the state of the banking industry in 2015.
Design/methodology/approach
This briefing is prepared by an independent writer who adds their own impartial comments and places the articles in context.
Findings
The paper finds that there are big wins to be claimed in the banking world over the next ten years, in terms of acquisitions of smaller banks, new clients, new products and a more motivated staff.
Originality/value
The briefing saves busy executives and researchers hours of reading time by selecting only the very best, most pertinent information and presenting it in a condensed and easy‐to‐digest format.
Keywords
Citation
(2006), "Forecasting cash flow for 2015: The risks and opportunities on the banking balance‐sheet", Strategic Direction, Vol. 22 No. 11, pp. 12-14. https://doi.org/10.1108/02580540610708725
Publisher
:Emerald Group Publishing Limited
Copyright © 2006, Emerald Group Publishing Limited