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风险就是可能发生的危险,是客观存在的,是会带来损失的不确定性。而企业是社会经济环境中客观存在的,所以不可避免的存在各种各样的风险。财务风险就是其中的一种常见风险,是指在其财务活动中由于各种难以预料或者那么一控制因素导致的财务状况的不确定性,会使企业蒙受损失。企业的财务风险贯穿企业的各个财务环节,在现在日益复杂的市场经济条件下,企业的生存越来越困难,所以企业的财务风险的防范与控制就越来越重要了。本文就是以企业的财务风险为研究对象,从分析基础理论开始,分析其定义、特征,并分析当前的企业的财务环境,得出在现在条件如何有效控制企业的财务风险。
Risk is the danger that can happen, it is an objective existence, it is the uncertainty that will bring the loss. However, the enterprise is an objective existence in the social and economic environment, so various risks are inevitable. Financial risk is one of the common risks. It refers to the uncertainty of the financial status caused by various unpredictable or even a controlling factors in its financial activities, which will cause the enterprise to suffer losses. The financial risks of enterprises run through all the financial links of enterprises. Under the increasingly complicated market economy conditions, the survival of enterprises becomes more and more difficult. Therefore, the prevention and control of financial risks of enterprises become more and more important. This article takes the financial risk of the enterprise as the research object, starts from the analysis of the basic theory, analyzes its definition and characteristics, analyzes the current financial environment of the enterprise, and draws an conclusion on how to effectively control the financial risk in the current conditions.