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在市场经济条件下,高校存在着各种各样的风险,并最终都表现在财务方面。作为风险管理核心组成部分的财务风险管理也伴随着风险管理全球性运动的兴起而备受世界各国理论界和实务界的重视。在现代高校的财务管理中,一定要了解风险的来源和特征,采取适当的控制和防范措施,最大限度减少高校财务风险。本文首先阐述了高校财务风险的概念、其次财务风险各方面分析了高校财务风险的成因,最后提出了高校财务风险管理的对策。
Under the conditions of a market economy, colleges and universities have all kinds of risks and, ultimately, their performance in the financial field. As a core part of risk management, the management of financial risk has also drawn the attention of theorists and practitioners from all over the world with the rise of global risk management. In the financial management of modern colleges and universities, we must understand the sources and characteristics of risks, take appropriate control and preventive measures to minimize financial risks in colleges and universities. This article first elaborates the concept of financial risk in colleges and universities, secondly analyzes the causes of financial risk in colleges and universities in all aspects of financial risk, and finally puts forward the countermeasures of financial risk management in colleges and universities.