Operational management of financial risks in the enterprises of the real sector

ПОДЕЛИТЬСЯ С ДРУЗЬЯМИ
Авторы


graduate
Russia, Volgograd State Agricultural University
anestezzia@inbox.ru


Doctor of Economics, Professor, Head. department "Finance and Analysis"
Russia, Volgograd State Agricultural University

Аннотация

The article considers risk management problems in the company, highlights the most dangerous types of risks for the enterprise. One presents the model of financial risks operational management on the basis of the report on cash flow by the indirect method, allowing to create a complete picture about a condition of finance of the organization for the concrete period and to analyze financial risks on the basis of the obtained data and to choose methods of their management.

Ключевые слова

financial risk, risk-management, operational management, model of financial risk-management, cash flows report.

Категории статьи:

Read also

Статья также доступна (this article also available):

Рекомендуемая ссылка

Bogdanova Anastasiia Evgenevna , Popova Larisa Vitalevna
Operational management of financial risks in the enterprises of the real sector// Современные технологии управления. ISSN 2226-9339. – #2 (26). Номер статьи: 2601. Дата публикации: . Режим доступа: http://sovman.ru/en/article/2601/

Full article text is available only in Russian.
Please select from the menu Russian language and continue reading.


References

  1. Ionova A.F., Selezneva N.N. Financial Analysis [Finansovyi analiz]. M. TC Velbi, 2007.  624p.
  2. Shashkova N. How to prepare a report on cash flows by indirect method [Kak podgotovit otchet o dvizhenii denezhnykh sredstv kosvennym metodom].  MSFO na praktike, 2011. № 2.
  3. How your contractor’s balance indicates what’s going on with his real money [Kak uznat, chto proiskhodit s zhivymi dengami u vashego kontragenta iz ego balansa]. Finansovyi direktor, 2009. № 4.