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Implementation And Evaluation Of The Centralized Financial Management Model Of Guorong Securities

Posted on:2019-06-28Degree:MasterType:Thesis
Country:ChinaCandidate:X Y ZhaoFull Text:PDF
GTID:2439330563957389Subject:Senior management of Business Administration
Abstract/Summary:PDF Full Text Request
At present,the domestic securities industry has entered a historical period of multi-level development of the capital market.The supervision layer encourages securities companies to do large and strong support and usher in the era of large-scale management of the accelerated expansion of the securities industry.Under the background of such industry development,the construction of efficient financial management mode to meet the rapid development of securities companies has a crucial role in the strategic status of securities companies.Taking Guorong Securities as the research object and combining the related theories of financial management model,this paper introduces the process of implementing financial centralized management model of Guorong Securities in detail,and uses the value curve tool.Find out the difference between the implementation of the financial centralized management model of Guorong Securities and the financial management goals that the management hopes to achieve before the implementation: Compared with the financial centralized work before the implementation of the financial centralized work,the financial management work after the centralized financial work has improved in terms of effective control of operating costs,financial analysis and control,efficiency in fund management,improvement in financial conditions,budget management,timeliness of reimbursement,and standardization of accounting work.However,financial analysis and tax management have declined.;Financial management has improved in terms of operating cost control and timeliness of reimbursement compared to the management objectives that management expects to achieve,and there are gaps elsewhere.Based on the theory and practice,this paper analyzes the advantages and disadvantages of the financial centralized management model,and discusses the methods of optimizing and solving the problem.On the one hand,the purpose is to optimize the company's financial management model,strengthen the company's financial management,improve the company's operating efficiency,and make greater efforts to achieve the company's operating goals.At the same time,I hope to be able to provide some experience for the industry peers to learn from,for the industry financial management model of the exploration of a meager strength.
Keywords/Search Tags:Guo Rong securities, financial centralized management mode, Value curve, effect evaluation
PDF Full Text Request
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