摘要
英国巴林倒闭与法国兴业危机是有代表性的国外金融风险管理案件。通过分析两者可以得出外部金融环境带来的负面影响、法律制度不完善以及金融机构内部监管机制不健全是触发金融风险案件的主要原因。我们可以通过完善内部控制机制、成立风险管理委员会以及加强人力资源管理等途径来防范金融风险案件,加强对金融风险的管理。
England Bahrain bankruptcy and French Societe Generale crisis are two typical case of financial risk management. Through detailed analysis we can see that the bad effect which is caused by macro environment, the imperfect of legal system and the internal supervising system cause the financial crimes. By enhancing internal control, forming the financial management committee and improving the human resource management level, we can prevent the financial risk crime happening.
出处
《特区经济》
北大核心
2008年第6期94-95,共2页
Special Zone Economy
关键词
金融风险管理
内部监管机制
风险管理委员会
Financial risk management
Internal supervising system
Risk management committee