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论文编号:13976 
作者编号:2120213388 
上传时间:2023/6/7 11:00:54 
中文题目:Z教育公司财务风险管理研究 
英文题目:Research on Z Education Company''''''''s Financial Risk Management 
指导老师:张继勋 
中文关键字:财务风险;财务风险管理;职业教育行业 
英文关键字:Financial risk;Financial risk management; Vocational education industry 
中文摘要: 在经济发展的新阶段,我国不断进行结构调整及产业升级,出台相关政策推动职业教育发展,以提高劳动者的技能和素质并调整劳动力供需关系。随着政府的支持以及经济环境的改善,中国职业教育的蓬勃发展,众多公司纷纷踏入职业教育的行业,竞争显得愈发激烈。此外受到近两年疫情的影响,各类考试频繁延期取消,对我国职业教育类企业的经营造成较大冲击,使其普遍面临较大的财务风险,甚至出现裁员、破产等现象。在这样的发展背景下,职业教育企业必须加强财务风险管理能力,及时准确地进行财务风险的识别、评估和应对,才能有效规避财务风险、摆脱财务困境、持续稳定地经营发展。 本文以职业教育行业领先企业Z教育公司作为研究对象,通过研究其财务风险管理现状,分析其在财务风险管理环节如财务风险识别、评估、应对三方面存在的问题,并有针对性地提出改进措施和优化建议。本次研究过程中,首先对我国职业教育发展现状及国内外财务风险管理发展进行回顾和梳理,对风险管理、财务风险及财务风险管理相关理论及概念进行了介绍。其次采用了文献研究法和案例分析法,运用了实际调研的方式对Z教育公司的基本情况、财务风险现状、财务风险管理框架及财务风险的识别、评估、应对等方面进行了详细阐述,并深入分析了其财务风险的识别、评估、应对三方面在制度设计和执行中存在的缺陷。最后,从完善财务风险识别机制、健全财务风险评估系统、改进财务风险应对体系三个方面提出了可执行的措施和建议。 本文将财务风险管理的基本理论与Z教育公司的实际经营情况相结合,多角度地进行了深入的探讨研究,为Z教育公司完善财务风险管理体系提供了参考,同时也期望能够为职业教育领域及其他相关行业的企业提供有益的指导,从而促进其财务风险管理有效运行。 
英文摘要: In the new stage of economic development, China continues to carry out structural adjustment and industrial upgrading, and introduces relevant policies to promote the development of vocational education in order to improve the skills and quality of workers and adjust the relationship between labor supply and demand. With the support of the government and the improvement of the economic environment, China's vocational education is booming, and many companies have stepped into the vocational education industry, and the competition has become increasingly fierce. In addition, due to the impact of the epidemic in the past two years, various examinations have been frequently postponed and canceled, which has had a great impact on the operation of vocational education enterprises, making them generally face greater financial risks, and even layoffs and bankruptcy. Under such a development background, vocational education enterprises must strengthen their financial risk management capabilities, and timely and accurately identify, evaluate and respond to financial risks in order to effectively avoid financial risks, get rid of financial difficulties, and maintain sustainable and stable business development. This thesis takes Z Education Company, a leading enterprise in the vocational education industry, as the research object. By studying the current situation of its financial risk management, it analyzes its problems in financial risk management, such as financial risk identification, assessment, and response, and proposes targeted improvements. measures and optimization suggestions. In the process of this research, first of all, it reviews and sorts out the current situation of vocational education development and the development of financial risk management at home and abroad, and introduce the related theories and concepts of risk management, financial risk and financial risk management. Secondly, it adopts the literature research method and case analysis method, and uses the method of actual research to elaborate on the basic situation of Z Education Company, the current situation of financial risk, the framework of financial risk management and the identification, evaluation and response of financial risk, etc. In-depth analysis of its financial risk identification, assessment, and response to three aspects of the system design and implementation of the defects. Finally, implementable measures and suggestions are put forward from three aspects: improving the financial risk identification mechanism, improving the financial risk assessment system, and improving the financial risk response system. This thesis combines the basic theory of financial risk management with the actual operation of Z Education Company, conducts an in-depth discussion and research from multiple angles, and provides a reference for Z Education Company to improve the financial risk management system. and other related industries to provide useful guidance to promote the effective operation of their financial risk management. 
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