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随着我国高速公路的快速发展和投入营运收费规模的不断扩大,如何进一步提高高速公路收费水平,充分发挥高速公路作为现代化交通基础设施的作用和效益,越来越成为需要面对和解决的迫切问题。本文就广深高速公路营运收费零钞周转备用金需要量的核定、零钞兑换等面临的一些问题进行探讨,通过分析广深公司各收费站零钞周转备用金的需要量和零钞兑换现状,了解广深公司目前收费零钞周转备用金的障碍和不足,提出了解决问题的主要方向,为高速公路经营企业决策和制定收费零钞周转备用金提供依据和参考。
With the rapid development of the expressway in our country and the continuous expansion of the operating fee collection, how to further raise the toll level of the expressway and give full play to the role and benefits of the expressway as a modern transportation infrastructure have become more and more urgent problem. This article discusses some problems that the Guangzhou-Shenzhen Expressway operating levying zero-sum cash reserve reserve requirements verification, zero-note exchange and so on are facing. By analyzing the demand and the exchange status To understand the obstacles and shortcomings of the current PBOC cash reserve fund in Guangshen Company and put forward the main directions to solve the problems and provide the basis and reference for the decision-making of expressway operation enterprises and the formulation of the PBOC cash flow.