摘要
在不断变化的市场经济环境下,企业时常面临多种复杂的财务风险,需要进行财务风险信号的分析与检测,以达到降低财务风险发生概率的目的。同时,企业经营管理者要时刻保持警醒,重视财务风险的管控,进行财务风险分析、树立财务风险意识并建立有效的风险防范机制,以便加强企业风险控制和财务危机防范,在此基础上进行适当的财务决策。文章在分析实施财务战略管理和风险防范必要性的基础上,提出一些防范措施。
In the changing market economy environment, enterprises often face many kinds of complex financial risks, and need to analyze and detect the financial risk signals in order to reduce the probability of financial risks.At the same time, enterprise managers should always keep alert, pay attention to the control of financial risk, carry out financial risk analysis, establish the awareness of financial risk and establish an effective risk prevention mechanism, in order to strengthen risk control and financial crisis prevention, on the basis of appropriate financial decision-making.Based on the analysis of the necessity of implementing financial strategy management and risk prevention, this paper puts forward some preventive measures.
作者
张晓
Zhang Xiao(Hubei Minzu University,Enshi,Hubei,445000)
出处
《市场周刊》
2022年第9期135-138,共4页
Market Weekly
关键词
财务风险
形成原因
防范措施
financial risk
formation reasons
measures to prevent