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随着我国市场经济发展与改革进程的推进,一些铁路投资公司迅速发展,发展规模日渐扩大。而这些铁路投资公司的发展,也伴随相应的问题,如财务管理不够完善,财务风险频发等。市场环境日益复杂化,市场竞争压力加大,财务风险爆发的因素变多,就需要加强财务风险的综合管理,强化风险预警机制,从而来提高铁路投资公司的风险规避能力。本文从铁路投资公司的角度为切入点,论述了财务风险的相关概念,分析了铁路投资公司财务风险管理存在的问题以及财务风险发生的原因,并进一步提出解决对策。
With the progress of market economy and reform in our country, some railway investment companies have developed rapidly and their scale of development has been expanding. The development of these railway investment companies is also accompanied by corresponding problems, such as inadequate financial management and frequent financial risks. With the increasingly complicated market environment, increasing market competition pressure and more factors of financial risk explosion, it is necessary to strengthen the comprehensive management of financial risks and strengthen the risk early warning mechanism so as to enhance the risk avoidance ability of railway investment companies. From the point of view of railway investment company, this paper discusses the related concepts of financial risk, analyzes the existing problems of financial risk management of railway investment companies and the causes of financial risks, and puts forward some solutions.