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随着我国对于经济的不断发展,许多的公司也开始准备扩张,因此其投资规模也开始扩大起来,但是因为现代社会经济形势的不可控性、项目进度的未知性以及技术因素的不稳定性使得基建财务管理面临着很大的风险,因此需要针对存在的风险作出相对应的防控措施。其财务管理风险主要为项目“三超”风险、专项资金被挪风险以及债务偿还风险等等,需要建立起健全的基建财务管理风险防控机制,对各个过程加强管理与监控,同时也需要对相关财务人员记性培养,提高其业务素质。因此接下来本文将针对基建财务管理风险与防控机制构建做出详细的研究。
With the constant development of economy in our country, many companies are also beginning to expand, so the scale of their investment has also started to expand. However, because of the uncontrollable economic situation in the modern society, the unknown progress of the project and the instability of the technical factors make Infrastructure financial management faces a great deal of risk. Therefore, it is necessary to make corresponding prevention and control measures against the existing risks. The financial management risks are mainly the risks of the project, the risks of special funds being diverted and the risks of debt repayment. Therefore, we need to establish a sound risk prevention and control mechanism for the financial management of infrastructure and strengthen the management and monitoring of the various processes. Meanwhile, It is necessary to educate the relevant financial staff to improve their professional qualities. So in the following this article will make a detailed research on the construction of financial risk management and prevention and control mechanism.