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就后金融危机时代的特点,分析了公司财务风险的形成因素,阐述了风险防范与管控的优化策略,其目的就在于优化公司治理结构,建立预警机制,强化财务风险管理,促进跨国公司持续、稳定、长远发展。
In the light of the characteristics of post-financial crisis era, this paper analyzes the forming factors of the company’s financial risk, and expounds the optimization strategy of risk prevention and control. The purpose is to optimize corporate governance structure, establish early warning mechanism, strengthen financial risk management, promote multinationals’ sustainable, Stable, long-term development.