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Author: WangXiaoJun
Tutor: WangYuXin
School: Xi'an University of Technology
Course: Business management
Keywords: Group Company Financial risk Risk prevention Monitoring and early warning Financial health index
CLC: F275
Type: Master's thesis
Year: 2002
Downloads: 1185
Quote: 7
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Due to the complexity of the objective world and the limitations of human understanding of the world, the risk is prevalent in people's daily life and work. A business turn a blind eye to the quality of financial operations, left unchecked, can easily form a financial risk, and accumulated to a certain extent, and will lead to bankruptcy or closure. Western companies have a strong financial risk management awareness of the financial risks in the company's operations to carry out continuous monitoring and prevention, in order to fully ensure the steady development, enduring. At present, our company have not been able to establish sufficient financial risk prevention awareness, the company's financial risk and prevention research in a blank state, therefore an urgent need to study found. The paper uses company chrematistics, cybernetics, theory, operations research and mathematical statistics system made a preliminary analysis of the company's financial risk of the Group, to build the basic framework of the Group, the company's financial risk management. The paper first defines the financial risk, followed by analysis of the relationship between the centralization of the Group's financial management, decentralization and financial risk, and draw the \The three major sources - financing risk, investment risk, capital recovery risk individually discourse. Its sources of risk identification and control methods of financing risk, investment risk, specific analysis and complemented by case studies. Capital recovery risk, the full credit management mode of the formation process of the production and operation of the Company's receivables, and provide ideas for the group of companies to solve the problem of the receivables. Then, discusses the company's cross-border operations of financial risk management;, discusses the Group's financial risk prevention. First discuss the system of financial risk prevention methods, the authors believe that the company's financial risk prevention is the most effective way is to start from the risk mechanism to control the risk of production, the paper discusses how a summary of the corporate governance structure and incentive and restraint mechanisms to comprehensively reduce the overall level of financial risk. Finally, the proposed and the Group's financial risk monitoring and early warning methods, and the establishment of a financial risk monitoring and early warning model proposed in the paper Group company's financial health index \level of the company's financial risk, made an empirical analysis and a Group Company Group Company's financial risk management is an important measure.

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