Abstract
Nowadays, the process of digitalization has strongly entered into Ukrainian business. However, along with significant advantages, digital transformation of business cause increasing of certain risks, including financial risks. From our point of view, financial risk management approaches and tools should adapt the new circumstances. The analysis of scientific literature showed that there are no thorough studies on the use of digitalization tools in the process of financial risk management today. The purpose of the study is to develop a financial risk management model in the process of digital business transformation. In the research process, general scientific and specific methods were applied: the method of analysis, synthesis, structural logical method, method of systematization and generalization, etc. Scientific works of Ukrainian and foreign scientists on the topic of research.The proposed model of risk management in the process of digital business transformation will contribute to the optimization of the process of using digitization tools.The advantages of a substantiated model are the next: detailing of the model according to specified stages of the risk management process; taking into account the purpose of using digitization tools at each stage of the process; comprehensive nature of the developed model.
Published Version
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