Abstract
新業務模式進入市場競爭,勢必採用成長型戰略。成長型戰略是一種使企業在現有的戰略水平上向更高一級目標發展的戰略,具體分為密集型戰略、一體化戰略和多元化戰略三種類型,企業無論採用哪一種成長型戰略,都必須強化現金流量管理能力。只有加強現金流量管理,提高現金使用效率,使自身具備經營性現金流的自生能力,才能實現企業持續穩定的發展。因此,企業應加強對經營性現金流的監控與分析,按照基本商業邏輯分析自身的現金流分布,並適時預警;同時應進一步完善財務風險管理,加強面對不確定性事件時的應對速度與效率。
| Translated title of the contribution | Research on Enterprise Growth Strategy Construction from the Perspective of Operating Cash Flow |
|---|---|
| Original language | Chinese (Simplified) |
| Pages (from-to) | 96-102 |
| Journal | 税务与经济 |
| Volume | 2023 |
| Issue number | 5 (总第 250 期) |
| Publication status | Published - 2023 |
Bibliographical note
Full text of this publication does not contain sufficient affiliation information. With consent from the author(s) concerned, the Research Unit(s) information for this record is based on the existing academic department affiliation of the author(s).Research Keywords
- Growth Enterprise Strategy
- Cash Flow Management
- Operating Cash Flow
- Budget System
- Enterprise Digital Transformation
- 成长型公司战略
- 现金流量管理
- 经营性现金流
- 预算体系
- 企业数字化转型
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