cash-sweep的音标是["kæʃ, swɪv],意思是现金扫荡。基本翻译为现金扫荡。为了更好地记忆这个单词,我们可以使用谐音记忆法,可以将单词中的字母发音转化为中文谐音,例如可以将“cash”音译为“卡诗”,这样就可以轻松地记住这个单词。同时,我们也可以将单词中的字母组合成易于记忆的短语或词组,例如“cash flow”可以与现金流相关联,这样也可以帮助我们更好地记忆。
Cash-sweep这个词的英文词源可以追溯到金融领域,通常指的是将现金集中起来,以获得更高的收益。这个词的词形变化相对较少,主要是在词尾加上-ing或-ed来表示进行时或过去式。
相关单词:
cash deposit:现金存款,指的是将现金存入银行账户以获得利息或收益。
sweep account:扫账,指的是将现金集中起来,以便于管理或使用。
sweep fund:扫款基金,指的是用于管理现金的基金或机构。
sweeping policy:扫除政策,指的是政府或机构采取的政策,将现金集中起来以获得更高的收益。
sweep transaction:扫款交易,指的是将现金集中起来进行交易的行为。
sweep strategy:扫款策略,指的是金融机构或投资者采取的策略,将现金集中起来以获得更高的收益。
sweep account holder:扫款账户持有人,指的是持有扫款账户的人。
sweep fund manager:扫款基金经理,指的是管理扫款基金的专业人士或机构。
cash flow:现金流,指的是企业或个人在一定时间内现金的流入和流出情况。
cash-sweep这个词在金融领域中非常重要,它可以帮助人们更好地理解和管理现金。这个词的使用也反映了现代金融管理的趋势,即通过集中管理现金来获得更高的收益。
常用短语:
1. cash sweep account
2. cash in hand
3. cash flow management
4. cash on hand
5. cash reserve
6. cash flow forecast
7. cash in the bank
例句:
1. I have a cash sweep account at the bank, which ensures that my money is safely stored and earning interest.
2. We need to manage our cash flow carefully to avoid any cash-flow problems.
3. We need to keep a cash reserve to cover unexpected expenses.
4. The company has a healthy cash flow, which is essential for its continued operations.
5. Cash in the bank is the lifeblood of any business.
6. Cash flow forecasting is crucial for effective decision-making.
7. We need to ensure that we have enough cash on hand to cover our expenses for the next few days.
英文小作文:
Title: The Importance of Cash Flow Management
Cash flow is the lifeblood of any business, and effective cash flow management is crucial for its continued operations. From ensuring that the business has enough cash on hand to cover expenses to managing cash reserves to cover unexpected expenses, cash flow management plays a vital role in a business"s success.
Cash sweep accounts, which are accounts that are automatically transferred from high-interest savings accounts to low-risk checking accounts, can help businesses ensure that their money is safely stored and earning interest while also being easily accessible when needed. Additionally, cash flow forecasting helps businesses plan for future expenses and revenue, making it possible to make informed decisions about how to allocate resources and how to manage cash reserves effectively.
By managing cash flow effectively, businesses can avoid any cash-flow problems and ensure that they have enough resources to meet their obligations and take advantage of opportunities as they arise. Therefore, cash flow management should be a top priority for any business owner or manager.