Research on Supply Chain Finance Risk Control Strategies
Abstract
forward a series of optimization countermeasures. The study found that supply chain finance has the characteristics of cross-industry, dynamic and complex, but there are problems such as asymmetric information, single financing channels and imperfect risk control system. In order
to solve these problems, this study puts forward countermeasures such as improving the information disclosure mechanism, expanding diversified financing channels and building a comprehensive risk management system. Through these measures, the aim is to improve the service
efficiency of supply chain finance, reduce risks, and promote the healthy development of supply chain finance.
Keywords
Full Text:
PDFReferences
[1] Lian Mengyang. Research on risk management strategies of Supply chain finance under the background of big data [J]. Economic
Outlook around the Bohai Sea,2024(7):41-43.
[2] Yu Y J. Research on risk control strategy of Supply chain finance in group enterprises [J]. National Circulation Economy,2024(8):165-168.
[3] Xu Yunze. Construction of Supply chain finance platform and risk control strategy of State-owned enterprises in the new era [J].
Market Week, 2019,37(20):27-30.
[4] Tao Y. Study on enterprise supply chain financial risk and its prevention and control strategy under the Internet environment [J].
Enterprise Reform and Management,2024:114-116.
[5] Chen Junqi. Risk Management and control Strategy in Supply chain Finance [J]. Market Weekly, 2019,37(16):38-41.
DOI: http://dx.doi.org/10.18686/fm.v10i2.13950
Refbacks
- There are currently no refbacks.