釋義:出口商將其出口的應(yīng)收款項(xiàng)(匯票,期票或賒銷的發(fā)票)折價出售。收購應(yīng)收款項(xiàng)的公司被稱為“保理商”。Atradefinancemechanismwherebyanexportersellsitsexportreceivables(billsofexchange,promissorynotes,orsimplyissuedinvoices,whichtheexporterissellingonanopenacc (本文共 673 字 ) [閱讀本文] >>