Abstract

With the rapid development of science and technology and the advent of the big data era, enterprise financial management is about to face challenges and opportunities. The advent of the big data era has brought an extremely comprehensive and accurate data analysis platform for enterprise financial management, but at the same time, it has had a huge impact. Therefore, under the background of big data, enterprise financial management is facing new challenges, Under this background, enterprise financial management is bound to experience reform and innovation [1]. Based on the impact of big data on financial management, this paper establishes an enterprise financial risk management model through fuzzy comprehensive evaluation method, including fuzzy number and membership, and further uses the risk data in the enterprise to prove the feasibility of the model. The research results show that enterprise financial risk consists of internal management risk and external environmental risk. The impact of external potential risks should be fully considered in enterprise financial risk management, and there is a significant correlation between internal and external risks[2]. Therefore, the membership index should be used to construct the correlation scale to make the measurement method more scientific and effective.

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