Q: What are the main measures of risk management in the financial trust industry?
School analysis answer: 1, impr
Q: What are the main measures of risk management in the financial trust industry?
School analysis answer: 1, improve financial trust legislation. To improve the risk management of trust industry, it is necessary to take a complete trust legal system as the premise.
2. Strengthen the internal management of financial trust industry. Perfecting the risk internal control mechanism of financial trust industry is the basis to ensure the safe and orderly operation of financial trust institutions.
3. Strengthen investment risk control. Investment risk refers to the possibility of loss of investment income.
4. Strengthen the management of overdue loans.
5. Strengthen the management of capital-liability ratio.
6. Establish a credit evaluation system for financial trust industry.
I am a candidate in Shanghai, and my grades came out in June 20 13, and I got low marks in three books. Introduction to Economic Law (Finance and Economics) 65 points, Introduction to * * * Thought, 62 points of * * * Theory and * * * Important Thought, and 79 points of Computer Application Foundation.
My "Advanced Financial Accounting" passed 73 points, so I can apply for graduation! Thanks to the school.