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随着监管的逐步放开,市场化的金融市场给企业管理带来了新的挑战,浮动的利率汇率环境将货币的成本引入企业的资源管理考虑之中,并催生出对资金管理职能的需求。企业开始集中自有资金、关注融资结构,并认识到汇率对企业损益表的影响。但是,企业资金管理人员要明白,确定汇率风险敞口并进行管理在先,而汇总并形成报表在后,切莫被报表误导。
With the gradual liberalization of regulation, the market-oriented financial market has brought new challenges to the management of enterprises. The floating interest rate environment brings the cost of money into the resource management of enterprises and gives rise to the demand for fund management functions . Enterprises began to focus their own funds, focusing on the financing structure, and recognize the exchange rate on the impact of corporate income statement. However, the enterprise fund managers should understand that to determine the exchange rate risk exposure and manage the prior, and after the summary and formation of the report, should not be misled by the statements.