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Research Aims (1) To determine and analyze the cash budget pertriwulan Banjar
regency. (2) To know and analyze the cash management are able to increase
revenue Banjar regency. (3) To know and analyze the cash budget is able to
maintain liquidity and provide benefits to the local revenue Banjar district. (4) To
determine the potential results of the placement of funds from local budgets are
able to maximize revenue dearah Banjar district.
The results showed that Prepare a cash budget areas that can improve local
revenue in Banjar district is found that the Banjar district government said it relies
on Balance Fund to increase revenues, a local. Develop cash management area
that is able to increase local revenue in Banjar district is found that the Banjar
district government said it relies on Balance Fund to increase revenues, a local.
To be able to keep the cash management of its liquidity to finance expenditures
Banjar regency ie by borrowing short term, because it was found that the District
Government of Banjar has likiuditas which is not good because of a cash
shortage in certain quarters that resulted in local governments underfunded. A
strategy that must be traveled to the potential cash placement area that can
maximize revenue Banjar regency namely Banjar regency administration is not
the potential for the placement of funds from local budgets are able to maximize
revenue Banjar regency.
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ABSTRAK
Data yang digunakan pada penelitian ini adalah data sekunder adalah penelitian
arsip (archivalresearch).
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