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| 论文编号: | 6847 | |
| 作者编号: | 2120123081 | |
| 上传时间: | 2014/12/7 19:38:30 | |
| 中文题目: | 山西三维集团财务风险控制研究 | |
| 英文题目: | The Study on the financial risk control of Shanxi sanwei group Co.,Ltd | |
| 指导老师: | 李莉 | |
| 中文关键字: | 三维集团 财务风险 风险控制 财务管理 | |
| 英文关键字: | Sanwei Group Financial risk The control of financial risk Financial management | |
| 中文摘要: | 步入2014年,我国经济仍处在去产能化阶段,这一去产能化的周期是从2010年开始的,产能过剩意味着当前产能大于当前以及未来的消费者需求,在去产能化阶段企业的投资支出面临着下降的选择,投资的增速会受到较大影响;与此同时,受到去产能和去库存的影响,经济的增速也会出现相应的下降。就在经济处于“稳增长,调结构”形势下,我国企业也面临了很多新的形势和选择,同时企业外部的经营环境也面临了更大的不确定性。 山西三维集团是我国国有企业大军中的一个优秀成员,但是近年来企业受到国际国内经济形势和自身经营发展问题的困扰,使得一个原本自上市以来十余年未受到亏损困扰的绩优股变成了被“出示黄牌”警告的ST股,企业集团出现了严重的财务风险。本文站在财务风险控制的角度,从分析公司现行的财务风险控制制度和体系入手,找出其漏洞和不完善之处,而后结合相关理论和实践经验提出集团公司财务风险控制优化方案,并对优化方案的保障措施进一步明确。本论文可以分为三个部分,第一部分是本文的绪论和理论综述,这一部分主要为后文的撰写提供社会背景、行业背景和理论依据;第二部分是山西三维集团财务风险分析,这一部分主要介绍了企业的基本情况和财务情况,并对集团财务风险的控制现状及存在问题进行阐述,让读者对于本文案例分析的主体有一个全面清晰的认识并对企业集团现行的财务风险控制制度有所了解,同时结合集团现在的财务状况对财务风险形成的原因进行分析;第三部分是本文的第四章、第五章,第四章基于第三章介绍的集团公司财务风险控制的现状及存在问题,提出集团公司财务风险控制的优化方案。第五章针对第四章提出的优化方案,阐述了财务风险控制的措施以及保障条件。第六章得出论文结论并指出论文不足之处。 | |
| 英文摘要: | Entered into 2014, China's economy is still in the stage to production, the production of this cycle is started from year 2010, excess capacity means that the current capacity is greater than the current and future consumer demand. In the production stage, companies are facing a decline in investment spending choices, the growth rate of investment will be a greater impact.Under the circumstances "steady growth, structural adjustment,", China's enterprises are faced with many new situations and choices, while outside the enterprise business environment is also facing greater uncertainty. Shanxi sanwei group of state-owned enterprises is an outstanding member of the army, but in recent years by the international and domestic economic situation of enterprises and business development issues plagued itself, making a listing of more than ten years since the original is not troubled by the loss of blue chip stocks into being "yellow card" warning ST shares, enterprise groups are in a serious financial risk. This paper is standing on financial risk control perspective by the analysis of our current system of financial risk control system and identify their vulnerabilities and imperfections, then combine theory and practical experience made the company the financial risk control optimization program, and safeguards optimization program to further clarify. This thesis is divided into three parts, the first part is an introduction and theory reviewed in this paper, this part of the text is written after the provision of social background, industry background and theoretical basis ; the second part is a analysis of the Group's financial risk, this section introduces the basic situation and the financial situation of enterprises, control status of the Group's financial risks and problems and forth, so that readers of this article a case study of the subject has a clear understanding and comprehensive enterprise group existing financial risk control system has understanding, reason combined with the financial position of the Group is now formed to analyze financial risk; third part is the fourth chapter, Chapter V, Chapter IV based on the company's financial risk control in the third chapter and problems, propose solutions to optimize the company's financial risk control group. Chapter V for optimization describes the optimization scheme proposed by the successful implementation of the proposed security conditions. Chapter VI draws conclusions and identify shortcomings of the paper. | |
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