摘要
外资企业外债结汇管理是我国资本项目外汇管理的重要内容,是控制外资企业外债流人规模、流人速度和外债投向的重要手段;而创新实施外资企业外债结汇管理方式,则有简化外商投资企业的办事手续、降低经营成本等好处。该文首先探讨了在滨海新区创新外商投资项下外债结汇管理方式的可行性,进而对这一创新及其后续的监管工作做了具体的设想。
Management of foreign-debt-related FX sale by foreign-funded enterpdses is an important aspect of China's FX administration under capital account. It is a major means by which the size, speed and odentation of incoming foreign debt to foreign-funded enterpdses can be monitored. Innovation on administrative methods can streamline the procedures and cut operational cost for foreign-funded enterprises. This paper discusses the feasibility of innovating administrative measures for foreign-debt-related FX sale under the account of foreign investment in Binhai New Area, and puts forward concrete suggestions for such measures as well as subsequent supervisions.
出处
《中国货币市场》
2008年第2期32-34,共3页
China Money
关键词
滨海新区
外商投资企业
外债结汇监管
Binhai New Area,foreign-funded enterprise, supervision of foreign-debt-related FX sale