| Along with the development of economy and finance as well as the deepening of mutual-dependency and mutual effect in between, especially after the current global financial crisis, the manifestation of financial risk becomes more complicated, the new forms of financial risk emerge one after another, the range of financial risk-monitoring expand gradually and the contents of financial risk-monitoring are rich continuously.This paper, based on the real work of regional financial risks, by utilizing the methodologies and techniques of software engineering, devises and realizes the monitoring system of regional financial risks. This system teases out six categories and twenty-one items of monitoring contents in total from the point of necessity and feasibility based on B/S structure, specifically including bank, securities, insurance, financial holding company, quasi-financial institutions, etc.This system has the functions of information input, data collection, data analysis, relevant authority management and information publishing. The developing and using of financial risk-monitoring system is conducive to regional financial risk control, efficient supervision as well as stable & healthy regional financial growth.Currently, this system has already finished testing and started running formally, which basically satisfies the need of regional financial development and monitoring through its convenient and steady operating mode. |