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伴随着全球经济一体化进程的加快,企业在发展过程中面临着日趋复杂的内外部形势;在财务管理中,有诸多不确定因素出现,很容易有财务风险出现。特别是近些年来出现的金融危机,对实体经济造成了较大的影响。那么企业就需要采取一系列的措施,提升财务抗风险能力,控制和防范可能出现的各种风险,以便获得稳定发展。本文简要分析了企业财务管理中的风险与控制措施,希望可以提供一些有价值的参考意见。
With the acceleration of the process of global economic integration, enterprises are faced with an increasingly complicated internal and external situation in the development process. In the financial management, there are many uncertainties and financial risks are likely to emerge. In particular, the financial crisis that has emerged in recent years has had a substantial impact on the real economy. Then companies need to take a series of measures to enhance financial risk-taking capabilities, control and prevent the risks that may arise in order to obtain stable development. This article briefly analyzes the risk and control measures in the financial management of enterprises, hoping to provide some valuable reference opinions.