摘要
风险预警及其控制实施是一种复杂和综合性的管理活动,其理论和实践涉及到自然科学、社会科学、工程技术、系统科学、管理科学等多种学科,是一门新的应用经济学理论。文章主要论述了企业财务风险内部预警制度的主要内容,包括预警对象、预警组织,财务信息收集、传递机制,财务风险分析机制,财务风险处理机制,预警考核机制等五大部分。
It is a kind of complicated and comprehensive management activity that the risk early - warning and its control are implemented. Its theory and practice involve many kinds of disciplines as natural science, social science, engineering, systematic science, management science, ete, and it is a new theory of Applied Economics. The author described the main content of enterprise' s financial risk inner early - warning system, including the target of early - warning, the organization of early - warning, tire mechanism of the financial information' s gathering and transmitting, the mechanism of financial risk analysis, the mechanism financial risk transaction, and the mechanism of early - warning examination.
出处
《南华大学学报(社会科学版)》
2006年第4期37-39,55,共4页
Journal of University of South China(Social Science Edition)
基金
湖南省教育厅课题"制造企业的资产风险预警研究"(批准号:05C504)
关键词
财务风险预警
内部预警制度
预警组织
预警考核机制
financial risk early - warning
inner early- wanting system
the organization of early - warning
the mechanism of early- warning examination