管理整个企业的运营单位的现金收支。适当时,将现金从运营单位转移到由组织财务团队管理的母公司级银行账户。
Managing cash collections and disbursements made by operating units across the enterprise. When appropriate, transfer cash from the operating units to parent-level bank accounts managed by the organization's treasury team.
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指标可用 | N |
名称(英文) | Manage international funds/consolidation |
PCF ID | 10737 |
级别 ID | 9.10 |