The New Era of Corporate Financial Risk Management and Control Strategy Research
Abstract
With rapid development of China's market economy, business activities face many risks. The core of the overall management and control of risk is the company's financial risk management. In order to prevent financial risks caused by business management crisis and promote corporate healthy steady sustainable development, the focus on financial risk management and control is a possible series of financial problems and risk to predict and control in the future. In this paper, based on the financial risk characteristics of Chinese enterprises and the management and control situation, in the new period, we strengthen risk awareness, improved scientific financial decisions and build financial risk management and control system by analysing impact factors of financial risk in China to put forward the corresponding management and control strategies.
Keywords
Corporate financial risk; Impact factor; Management and control strategy
DOI
10.12783/dtssehs/hsmet2016/10251
10.12783/dtssehs/hsmet2016/10251