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当前,在经济下行压力下,事业单位如何做好现金流管理,这就需要事业单位要根据目前项目的特点和企业自身的能力状况,采取单独核算的方式来完成具体项目的建设、监理、运行和维护等,要不断培育新的运财务实践点,形成可推广、可复制的成熟的现金流方案,通过多种方式,对事业单位资金管理形成聚集效应,推动事业单位的发展。
At present, under the pressure of economic downturn, how to do a good job of cash flow management institutions, which requires institutions to be based on the characteristics of the current project and the company’s own ability to take a single accounting approach to complete the construction of specific projects, supervision, operation Maintenance and so on. We must continue to cultivate new operational points of financial operation, and form a mature and reproducible cash flow plan that can be promoted and duplicated. Through various means, we will form a gathering effect on the capital management of public institutions and promote the development of public institutions.