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在目前我国行政事业单位财务管理中,往来资金管理是重点内容,这在一定程度上能够提高财务管理水平,同时能够直接反映出行政事业单位资金的使用情况,但是在目前行政事业单位往来资金管理当中,仍有往来款项金额过大或者是增长过快的现象出现。本文结合加强对往来资金管理的必要性和其中所出现的问题,对加强行政事业单位往来资金管理的策略进行探讨。
In the current financial management of administrative units in our country, the current capital management is the key content, which to a certain extent, be able to improve the level of financial management, and can directly reflect the use of funds of administrative institutions, but in the current administrative institutions, financial management Among them, there is still an over-arching amount of money or a phenomenon of excessive growth. In this paper, combining with the necessity of strengthening the management of cash flow and the problems that arise in it, this paper discusses the strategies to strengthen the management of cash flow between administrative institutions.