| With the deepening of reform and opening up and the rapid development of the market economy,the software service industry in the gradually rising tertiary industry has ushered in rare opportunities under the overall environment,but also has to face increasingly fierce internal competition in the industry.In order to keep up with the times and enhance its competitiveness among peers,S Enterprise actively expands its business field,from initially focusing solely on traditional website and program development,to now increasing projects such as collaborative development of online e-commerce platforms.However,the rapid development of S enterprise has also led to many risks.Identifying potential risks-analyzing the causes of risks-proposing solutions to avoid risks,which is currently the execution route of S Enterprise in risk management,is also the basic idea of this study and its writing.This article takes the management model of industry finance integration as a research perspective,adhering to the structure of identifying problems,analyzing reasons,and proposing solutions.It collects and organizes relevant research results on industry finance integration and financial management,and combines the current operating situation of S software enterprise to identify the shortcomings in risk management issues and conduct a specific analysis of the causes of risks,proposing feasible solutions.Further strengthening the deepening of the integration of business and finance in S software enterprises also provides practical suggestions for improving risk management in S software enterprises,in order to enhance their risk resistance capabilities.Firstly,the system presents the current situation and various financial capability data indicators of S Company,in order to determine the current industry level and potential financial issues of S Company;Then,based on the obtained analysis results,identify the existing financial risks of S enterprise;Then,from the perspective of integration of industry and finance,summarize the specific problems that lead to various financial risks,and further analyze and list the reasons for these problems;Finally,from the perspective of the implementation path of financial integration,propose four corresponding specific measures to address financial risks.In summary,this article uses the perspective of business finance integration to identify potential financial risk management issues in S company,hoping to more accurately grasp the existing problems of S company and achieve the goal of effectively solving risk problems.I look forward to the shallow research and analysis in this article providing practical reference for other enterprises in the software service industry in terms of risk management. |