货币资金外文翻译
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1、附录 Currency capital is one of the important parts of enterprise asset. It is also the valuable capital of high liquidity during financial activity. Any enterprises that want to carry out production and management must possess currency which is the postulate of production and management. Therefore cu
2、rrency capital management is the key content of enterprise financial management. If an enterprise wants to keep its legs in market economy, it must keep currency as its core management, research deep the currency running in production operation, adopt effective method of management, dredge capital c
3、irculation, accelerate capital turnover, and raise economic benefits. With the continual reform of state-owned enterprise, how to promote currency management and to raise the rate of currency usage is a very important task that every enterprise is faced with. This paper introduces the content and fi
4、ve models about currency capital management. Specific ways: 1.Division of control positions (1) The establishment of the monetary system of personal responsibility of financing the business, a clear job-related responsibilities and authority. (2) Shall not act as the cashiers check, the accounting f
5、ile custody and income, expenses, costs, claims, debt accounts for registration. 2. authorized the approval of the control (1) Aclear approval of the monetary funds of the powers delegated by way of business, powers, procedures, responsibilities and related control measures. (2) A clear money manage
6、rs handle the responsibilities of business and work requirements. (3) In strict accordance with the application, approval, review the procedures for payment of money to pay for the business. 3. cash control (1) The introduction of cash limits inventory management system. (2) The scope of a clear-cas
7、h expenses and strictly enforced. (3) Cash income into the bank in time, strictly control the cash, unauthorized use is strictly prohibited, lending money. (4) the separation of revenue and expenditure management system. (5) periodic inventory of the cash account is in line to do. 4. control of bank
8、 deposits (1) Strengthen the management of bank accounts, namely the establishment of the basic operators and the general household deposits, and shall deposit, cash settlement. (2) Regular access to bank statements, confirmed the bank deposits, preparation of bank balance sheet adjustment. 5. instr
9、ument control Clear the purchase of a variety of instruments, custody, recipients, endorsement, cancellation rights and other aspects of the responsibilities and procedures to prevent lost and stolen blank paper to use. 6. seal control (1) Financial Seal custody by the person, the individual chapter
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