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随着社会经济的快速发展,地质勘探企业逐渐壮大,企业形式开始多元、多样化,企业的项目成本控制变得越来越重要。控制好项目的成本,需要在扩大项目资金收入渠道的同时减少项目实施过程中的支出费用,平衡两者的关系,有效地控制项目的收入和支出,掌握现金流动方向,提高项目的资金投入收益,实现成本效益的最大化。现金流量表是现金流量的根本依据,本文主要研究和讨论的是通过对现金流量表的分析,达到对项目成本的稳定控制。
With the rapid development of society and economy, geological prospecting enterprises have been gradually expanded, the diversification and diversification of business forms have taken shape, and the project cost control of enterprises has become more and more important. To control the cost of the project, it is necessary to reduce the expenditures incurred during the project implementation while expanding the channel for the project funds, balance the relationship between the two, control the income and expenditure of the project effectively, grasp the direction of cash flow and increase the capital investment income of the project , To maximize cost-effectiveness. The cash flow statement is the fundamental basis of cash flow. The main research and discussion in this paper is the steady control of the project cost through the analysis of the cash flow statement.