Part four works on the methods for preventing the risks of e-finance from both the inner control and the outer supervision.
第四部分从内部控制和外部监管出发,对电子金融的风险控制进行了对策性的分析。
This paper studies the external control system of finance supervision and regulation from the basic procedure of finance supervision and regulation.
本文从监管的基本程序开始,研究金融监管的外部控制系统。
First, it makes a qualitative study on the theory of external control of finance supervision and regulation to analyze the basic procedure of external control of finance supervisione and regulation;
首先,对金融监管外部控制的理论进行定性研究,分析金融监管外部控制的基本过程;
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