期刊文献+

供应链金融中的风险管理与控制策略

Risk management and control strategy in supply chain finance
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摘要 供应链金融从整个产业链条的角度出发,在掌握供应链管理程度与核心企业信用实力的基础上,开展综合授信,将针对单个企业的风险管理转化为整条产业链的风险管理。相关方面为了有效管理供应链金融面临的风险,采取了一系列策略,不仅能降低供应链金融中的风险,还能提高整个供应链的运营效率和稳定性,从而促进企业的成长和金融市场的多元化发展。 From the perspective of the whole industrial chain,on the basis of mastering the degree of supply chain management and the credit strength of core enterprises,supply chain finance carries out comprehensive credit granting,and transforms the risk management of a single enterprise into the risk management of the whole industrial chain.In order to effectively manage the risks faced by supply chain finance,a series of strategies are adopted,which can not only reduce the risks in supply chain finance,but also improve the operational efficiency and stability of the whole supply chain,so as to promote the growth of enterprises and the diversified development of the financial market.
作者 陈俊琦 Chen Junqi(Chengdu Xingcheng Hongye Trading Co.,Ltd.,Chengdu,Sichuan,610000)
出处 《市场周刊》 2024年第16期38-41,共4页 Market Weekly
关键词 供应链金融 风险管理 市场覆盖 supply chain finance risk management market coverage
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