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私募股权基金投资公司财务风险管理机制的建设分析

Analysis on the Construction of Financial Risk Management Mechanism for Private Equity Fund Investment Companies
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摘要 文章以私募股权基金投资公司(文中亦称“私募股权投资机构”或“投资机构”)财务风险管理机制的建设分析为重点进行阐述,首先对私募股权投资机构面临的政策变化风险、内控管理风险、估值偏差风险、财务人员风险进行分析,其次提出财务风险管理机制的建设应遵循的原则,最后提出创新投资者管理机制,降低公司财务风险;健全风险预警机制,增强财务风险管理;完善内部控制体系,奠定财务风险基础;全面创新评估方法,促使评估更加精准;从加强员工思想培训,提升财务风控水平等几个方面展开探析,旨在为相关研究提供参考资料。 The paper mainly focuses on the analysis on the construction of financial risk management mechanisms for private equity fund investment companies(also known as"private equity investment institutions"or"investment institutions"in the paper).The paper first analyzes the policy change risks,internal control management risks,valuation deviation risks,and financial personnel risks faced by private equity investment institutions.Secondly,the paper proposes the principles to be followed in the construction of financial risk management mechanism.Finally,the paper proposes innovative investor management mechanism to reduce company financial risks,establishes a sound risk warning mechanism and enhances financial risk management,improves the internal control system to lay the foundation for financial risk,and comprehensively innovates evaluation methods to promote more accurate evaluation measures.The paper deeply analyzes and explores several aspects such as strengthening employee ideological training and improving financial risk control level,aiming to provide reference materials for related research.
作者 章世存 ZHANG Shicun(Wenzhou Weidu Investment Management Co.,Ltd.,Wenzhou 325000,China)
出处 《商业观察》 2024年第7期117-120,共4页 BUSINESS OBSERVATION
关键词 私募股权基金 投资公司 财务风险 管理机制 建设途径 private equity fund investment company financial risk management mechanism construction approach
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