检索规则说明:AND代表“并且”;OR代表“或者”;NOT代表“不包含”;(注意必须大写,运算符两边需空一格)
检 索 范 例 :范例一: (K=图书馆学 OR K=情报学) AND A=范并思 范例二:J=计算机应用与软件 AND (U=C++ OR U=Basic) NOT M=Visual
作 者:杨瑞娥[1]
机构地区:[1]中国人民银行青岛市中心支行
出 处:《财务与金融》2017年第6期17-19,共3页Accounting and Finance
摘 要:截止到2017年2月,省级国库现金管理在全国已正式全面铺开。精确的国库现金流预测是地方国库现金管理的核心和重要技术支撑,但是地方现金流预测仍存在预测对象范围和口径不完善、模型适用尚待探讨、滚动验证和持续误差修正不足等问题。原因主要是目前我们财政预算编制执行机制仍不完善、地方财政专户设置不规范、准确的预测现金流数据难获取、实践分析能力和预测经验不足。为此我们提出了尽快实现"国库收支一本账",加强预算编制和执行管理等建议,以期为当前地方国库现金流预测问题提供有益借鉴。As of February 2017, the cash management of the provincial treasury has been officially launched in China. Exact cash flow forecasting of the state treasury is the core and important technical support of the cash management of the local treasury. However, there are still some problems in predicting the local cash flow, such as the scope and caliber of the forecasting object, the apphcation of the model, the insu^cient verification of the roiling verification and the continuous correction of the error. The main reason is that at present, the implementation mechanism of fiscal budgeting is still not perfect, the local financial special accounts are set up with irregularities, the data of cash flow forecasting is difficuh to obtain accurately, the practical analysis ability and the forecasting experience are not enough. To this end, we put forward the proposal of realizing a "Treasury receipt and disbursement as soon as possible" and strengthening budget preparation and execution management with a view to providing useful reference for the current local cash flow forecasting.
正在载入数据...
正在载入数据...
正在载入数据...
正在载入数据...
正在载入数据...
正在载入数据...
正在载入数据...
正在链接到云南高校图书馆文献保障联盟下载...
云南高校图书馆联盟文献共享服务平台 版权所有©
您的IP:18.116.23.178