财务风险控制 meaning in English
management of financial risks
Examples
- Reflections on controlling financial risks of institutions of higher learning
关于高校财务风险控制的思考 - We also expound every kind of financial affair risks which will appear in the bank operating and necessity of improving the management of financial affair risks
阐述了加强财务风险管理的必要性。通过国际比较,找出差距,进而提出切实可行的财务风险控制对策。 - Based on the recognition of financial risk formation and conduct , by studying on forecasting model of financial risk , this paper revealed the limitation of enterprise financial risk forecast model by compare analyzing . based on the actual conditions enterprise , the paper supposed the new enterprise financial risk forecast with the core of improved method of efficacy coefficient , which based on the assessment of business performance . meantime , the paper also studied positively the application of enterprise financial risk forecast model . finally , the study on the tactic of risk control is the aim of financial risk analysis
基于企业财务风险生存与传导的认识,通过对已有企业财务风险预警模型的比较研究,揭示了这些模型的局限性,针对企业的实际情况,论文以企业经营成果评价为方法和手段,提出了以改进的功效系数法为核心的风险预警模型,同时对该模型在企业风险预警中的应用做了实证研究,最后,论文把财务风险控制的研究作为企业财务风险预警研究的落脚点,在对企业财务风险控制目标分析的基础上,结合风险控制的基本途径,提出了财务风险控制分析框架。 - To effectively control financial risks , we should realize the shift from risk avoiding prevention to risk management by setting up an early warning system of financial risk control , in the meanwhile , we also need to strengthen the monitoring of financial management , establish and perfect the check and supervision system and high - efficiency mechanism to ensure the sustainable development of institutions of higher learning
要有效实施高校财务风险控制,我们必须建立财务风险预警控制系统,实现由风险规避防范向风险管理的转化;同时要加强财务管理监控,建立健全监督制约和高效运行机制,以确保高校事业可持续发展。 - 3 ) signal game theory should be introduced into the frame of financial crisis control . the departure in behavior policy making under the condition of unsymmetrical information can be rectified by correcting the probability . the author also points out the importance of " experience " in correcting probability and guarding against crises
3 、将信号博奕理论引入到财务风险控制框架中,提出通过概率修正来纠正不对称信息条件下的行为决策偏差从而达到风险控制目的,同时指出“经验”在概率修正和风险防范中具有重要作用。