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Research On Financial Risk Management Of B Company

Posted on:2020-06-24Degree:MasterType:Thesis
Country:ChinaCandidate:J X LiFull Text:PDF
GTID:2439330575469902Subject:Business Administration
Abstract/Summary:PDF Full Text Request
Because of the oil crisis in 1970 s,various countries began to formulate policies to encourage and support the development of solar photovoltaic technology,so solar photovoltaic technology has developed rapidly in the world.In China,the whole solar photovoltaic industry has entered a rapid growth stage through a series of policies.At present,the state promotes the sustainable development of photovoltaic industry by formulating policies and optimizing the scale of photovoltaic power generation.With the gradual withdrawal of photovoltaic subsidies,the research on financial risk management of the general contractor of photovoltaic power plant construction deserves more attention.This paper takes B company as an example,aiming at the current situation of financial risk management,analyzing the problems and causes of risk management,and putting forward constructive solutions.Firstly,this paper elaborates the background and significance of this topic,then introduces the object and method of this study,then mainly analyses the current management status,management problems and causes of the problems in the financial risk management of Company B in the form of cases,and finally puts forward constructive suggestions.This paper is mainly divided into the following six parts: The first part is an introduction,which mainly introduces the background of this topic,the purpose,significance,methods and content of the study.The second part is the theoretical knowledge of enterprise financial risk management.This chapter mainly summarizes the concept of financial risk,management theory and its prevention methods.The third part is the status quo,existing problems and causes of financial risk management of Company B.Firstly,this chapter introduces the general situation of B company from the aspects of service flow and operation mode of B company's main business,so as to expound the current situation of B company's financial risk management,put forward the existing problems of B company's financial risk management,and analyze the problems,and explain the reasons for the formation of B company's financial risk management problems.The fourth part is the solution of B company's financial risk management problem,trying to resolve the problems of B company's financial risk management by establishing the whole staff's financial risk awareness,accounts receivable management,project bidding and labor subcontractor management,cost control,visa system and so on.The fifth part is the guarantee measures of the financial risk management plan of Company B.The sixth part is the conclusion and prospect.Taking B company as an example,this paper makes a systematic analysis of the current situation of B company's financial risk management,finds out the existing problems and puts forward solutions.This paper holds that there are certain financial risks in company B,but these financial risks can be controlled by various measures.Company B can lay a solid foundation for the further development of enterprises by establishing the awareness of financial risk management of all staff,improving internal supervision mechanism,strengthening system construction and strengthening supervision.B company should strengthen financial risk management from controlling environment and establishing early warning mechanism of financial risk,so as to ensure that the financial risk management scheme can be truly implemented.
Keywords/Search Tags:Financial risk, internal control, Financial risk early warning mechanism, Financial risk prevention
PDF Full Text Request
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