Recently, the higher education advances along the course of great-leap-forward development, realizing the scale expansion, and quickens the steps in the transition from elite education to popular education in China. At the same time, the rapid development needs tremendous capital.While in China the higher educational expenditure, accounting for a small proportion of GDP, mainly come from the financial revenues. And the increased outlay does not keep up with the enlargement of enrollment of higher learning.So mostly universities & colleges adopted raising loan through financial capital market and it is proved effective.However, every evidences show that this model of over-heated expansion through debate caused problems of financial crisis. So how to establish specialized index system and forecast and control the financial risk became important contents of current financial management in university.At last, the thesis proposes an index system of financial risk & explains the methods & approaches of the risk management through detailed analysis. |