基于思維導(dǎo)圖的外匯管理應(yīng)用問(wèn)題探究
發(fā)布時(shí)間:2018-04-03 17:25
本文選題:思維導(dǎo)圖 切入點(diǎn):外匯管理 出處:《上海金融》2017年06期
【摘要】:為適應(yīng)全球經(jīng)濟(jì)增長(zhǎng)放緩和國(guó)際貿(mào)易態(tài)勢(shì)變化,我國(guó)外匯管理政策不斷深入細(xì)化。銀行必須在保證合法合規(guī)的大前提下為企業(yè)開(kāi)展外匯業(yè)務(wù)提供服務(wù)便利。本文首次將思維導(dǎo)圖引入并應(yīng)用于銀行日常外匯管理工作,有效地提高銀行執(zhí)行外匯管理政策的水平,提升合規(guī)管理和客戶(hù)服務(wù)的效率。
[Abstract]:In order to adapt to the slowdown of global economic growth and the change of international trade situation, China's foreign exchange management policy has been further refined.Banks must provide foreign exchange services to enterprises on the premise of legal compliance.For the first time, this paper introduces the mind-map into the daily foreign exchange management of banks, effectively improves the level of bank's foreign exchange management policy, and improves the efficiency of compliance management and customer service.
【作者單位】: 上海農(nóng)商銀行總行;
【分類(lèi)號(hào)】:F832.6
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本文編號(hào):1706181
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