Examine the key reasons why a business may not want to hold too much or too little working capital. Provide examples that illustrate the consequences of either situation._x000D_
_x000D_
* From the scenario, analyze TFC’s cash budget to determine key methods in which the budget may be optimized (e.g., by renegotiating terms and conditions on some of its payables, etc.). If you believe that there is room for improvement, recommend key strategies for TFC to use in order to optimize its cash budget. If you do not believe that this is the case, provide a rationale for your response._x000D_
_x000D_
 _x000D_
_x000D_
Click here to have a similar A+ quality paper done for you by one of our writers within the set deadline at a discounted rate!