摘要
在全球金融危机的背景下,中国不可能在危机中独善其身。国际金融危机对于中国资本市场,乃至实体经济都产生了重大影响,金融风暴的冲击引发了很多企业全方位的财务危机。外部环境在急剧变化,财务管理也应随之在防范风险方面有新的思考。鉴于此,提出了企业在经营过程中防范财务危机的策略,即:现金至尊,严控资产负债表中的"杠杆"率,精细化成本控制,以及现金流控制的财务集中制,旨在提高企业应对风险的能力。
Under the background of the global financial crisis, China can not be unscathed. The international financial crisis had a great impact on China's capital market as well as the real economy. The impulsion of financial storm has caused many financial crisis of enterprise. With the sudden change of external environment, the financial management should be changed for preventing financial risk. Hence, this paper proposes the strategies of preventing the financial crisis, including keeping the supremacy of cash, strictly control the leverage of balance sheet, subtle cost man- agement, and financial centralism, and these strategies trv to nromote the corporate ahilitv to cope with risks
出处
《重庆邮电大学学报(社会科学版)》
2010年第3期111-113,共3页
Journal of Chongqing University of Posts and Telecommunications(Social Science Edition)
关键词
财务危机
财务风险
风险防范
financial crisis
financial risk
risk prevention