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财务整合是一项复杂的系统工程,在实际整合过程中存在着诸多风险因素,任何不利事件的发生都会对财务整合带来负面影响,进而影响到财务整合的有效性。有效财务整合是结合了风险管理中风险分析与风险控制的方法,即在财务整合之前进行必要的财务风险分析,确认财务整合过程中可能存在的各种风险因素,并采取措施将其控制在可承受范围之内,从而为有效地实施财务整合创造条件,达到事前控制的目的。
Financial consolidation is a complex systematic project. There are many risk factors in the process of actual integration. Any adverse events will have a negative impact on financial integration, thus affecting the effectiveness of financial consolidation. Effective financial integration is a combination of risk management risk management and risk control methods, that is, before the financial integration of the necessary financial risk analysis to confirm the financial integration process may exist in a variety of risk factors and take measures to control it Bear within the scope, so as to create conditions for the effective implementation of financial integration, to achieve the purpose of pre-control.