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多元化和规模化已经成为集团企业实现长远发展的必经之路,而在企业不断扩张的过程中,资金成了连接企业生产各环节、各部门以及各分公司的重要纽带,而在市场条件下,激烈的市场竞争使集团始终会面临着生存和发展风险,因此如何在实现风险防范的目标下实现资金的科学管理已经成为集团发展的重要内容。本文以实现集团的长远发展为出发点,探究目前集团资金管理模式中存在的问题,并针对问题,提出相应的优化策略。
Diversification and large-scale has become the only way to achieve long-term development of the Group, and in the process of business expansion, the capital has become an important link connecting all aspects of production, departments and branches, and in the market conditions Under the fierce market competition, the Group will always face the risk of survival and development. Therefore, how to realize the scientific management of capital under the goal of risk prevention has become an important part of the Group’s development. Based on the realization of the long-term development of the Group, this paper explores the existing problems in the group’s fund management mode and proposes corresponding optimization strategies in light of the problems.