摘要
近30年来,英国高等教育领域进行的诸多改革与尝试以及全球化时代到来等要素的影响,高校面临着越来越多的风险。能否通过正确的方式分析风险并以成功的方式有效合理地管理风险成为高校能否生存与发展的重要保障。介绍和分析英国高校风险管理的背景、内容、实施步骤、运行机制以及成效,了解英国高校风险管理的现状,并从中获取有益的经验。
In the recent thirty years,Higher Education Institutions in the UK faced more and more risks as a result of globalization and higher education reform.Therefore,it is important for Higher Education Institutions administrators to analyze risk in a correct way and to manage it in a successful manner.Firstly,this paper attempts to introduce the contexts and contents of risk management in HEIs in the UK,and then presents the main steps and framework of risk management.Finally,an analysis of effects of risk management is provided in order to make further understanding the current situation of Risk Management in HEIs in the UK and gain some experiences.
出处
《集美大学学报(教育科学版)》
2011年第3期77-81,共5页
Journal of Jimei University:Education Science Edition