Financial Risk Management and Countermeasure Research in Commercial Banks: A Case Study of Bank X
Abstract
In the context of global economic integration and rapid progress of financial technology, commercial banks are facing unprecedented financial risk challenges. Taking Bank X as the research object, this paper analyzes in depth the causes of its financial risks and proposes corresponding management countermeasures. Using a combination of quantitative analysis and case studies, the paper identifies risks and proposes solutions by comparing the key financial indicators of Bank X with the industry average. It is found that Bank X has significant risks in terms of capital structure, liquidity, profitability and management operations, which mainly stem from factors such as intensified market competition, irrational asset-liability structure and inadequate internal control. The unique value of this paper is that it provides targeted risk management strategies for regional city commercial banks.
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PDFDOI: https://doi.org/10.22158/ibes.v6n6p88
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