摘要
随着国内企业多元化经营的加速推进,金融投资已成为企业业务体系的重要组成部分,并呈现出良好的发展态势,但一些企业在开展金融投资的过程中还存在诸多风险,在很大程度上制约了金融投资的科学性和效能性,因此需要引起重视并认真加以改进。基于此,在分析金融投资风险因素的基础上,重点分析了金融投资风险管控现状、金融投资风险控制存在的问题,最后就如何加强和改进金融投资风险控制工作提出了优化对策,旨在为促进金融投资取得更好的成效提供参考和借鉴。
With the acceleration of the diversification of domestic enterprises,financial investment has become an important part of the business system of enterprises,and it has shown a good development trend.However,some enterprises still have many risks in the process of carrying out financial investment.To a great extent,it restricts the scientificity and effectiveness of financial investment,so it needs to be paid attention and serious improvement.Based on this,based on the analysis of financial investment risk factors,the focus is on the current situation of financial investment risk control and the problems in financial investment risk control.Finally,optimization countermeasures are proposed on how to strengthen and improve financial investment risk control,aiming to promote Financial investment has achieved better results to provide reference and reference.
出处
《当代会计》
2020年第21期22-24,共3页
Contemporary Accounting
关键词
金融投资
风险因素
管控现状
存在问题
优化对策
Financial Investment
Risk Factors
Current Management and Control
Existing problems
Optimized Countermeasures