THE METHODOLOGICAL VALUE OF THE CLASSIFICATION IN THE COMPANY FINANCIAL RISK MANAGEMENT SYSTEM

Autor: S. N. Basova, N. A. Fathulina, A.A. Fathulin
Rok vydání: 2020
Předmět:
Zdroj: New forms of production and entrepreneurship in the coordinates of neo-industrial development of the economy: a collection of articles based on the materials of the international scientific and practical full-time, correspondence conference on February 21, 2020.
Popis: The complexity of understanding the nature of risks, as well as the diversity of their types and manifestations, including financial risks, requires the use of a methodological approach to their classification. Classification of financial risks is of particular importance in the company's activities in order to effectively manage them. The article analyzes the concepts of "risk" and "uncertainty", and provides risk classifications for various reasons. It is concluded that it is possible to control and manage risks through comprehensive accounting and, accordingly, prevention of various types of threats and uncertainties in the company's activities.
Databáze: OpenAIRE