摘要
通过对出口企业出口收汇现状及风险分析,阐述了企业在对外贸易结算中,不同结算方式下常见风险点及防范措施及如何建立和完善应收外汇帐款管理机制,有效控制风险。
Through analizing the current situation and risks of export collecting in export enterprises, in foreign trade settlement, the common risk points and precautionary measures under different settlement way, and how to set up and perfect the mechanism of funds management on account of foreign currency receivable in order to control the risk effectively were explained.
出处
《中国钼业》
2005年第4期51-53,共3页
China Molybdenum Industry
关键词
出口企业
出口收汇
结算方式
风险控制
export enterprise
the export collecting
settlement way
risk controlling