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上市公司由于其同资本市场的密切联系以及自身经营环境的多变性、复杂性,其不可避免的要受到多种财务风险因素的影响;因此,对财务风险进行控制就成为上市公司财务管理的一项重要组成部分。本文就上市公司财务风险管控存在的问题进行了分析,并据此提出了相关的改进建议。
Because of its close relationship with the capital market and the variability and complexity of its own business environment, listed companies inevitably suffer from various financial risk factors. Therefore, the control of financial risks becomes one of the financial management of listed companies An important part of the project. This article analyzes the problems existing in the financial risk management and control of the listed company, and puts forward the relevant improvement suggestions accordingly.