Treasury Management Master

资金管理主流程 — 整合资金日报 + 资金预测 + 付款审核的综合资金管理体系。 适用情形:每日/每周定期执行,整合 daily-cash-position、 fund-forecast 和 payment-authorization-review,输出完整的资金管理报告。 核心:日监控 → 周预测 → 月分析 → 风险预警 → 融资规划。

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