The rapid development of information technology has brought about intensified competition in the telecommunication industry, rapid changes in market demand and serious homogenization of products. It requires telecommunication enterprises to do a good job of internal management under the premise of constantly exploiting the market and to guard against possible operating capital risks. In this context, enterprises need to improve the corresponding work in accordance with the shortcomings of capital risk management and control, which is reasonable. Avoiding capital risk.
Through studying the causes of communication fund risk, this paper explains how to strengthen fund management, improve the efficiency of fund use and prevent fund risk. At the same time, through the analysis of the causes of the risks in the capital management of enterprises, it is pointed out that in the capital management of enterprises, we can adopt sound management mechanism, strengthen the restriction of capital plan, do a good job in capital accounting and improve capital.
The fund management rules and regulations and other means and measures can effectively control the fund risk of communication enterprises. It is of great significance to the fund risk management of the whole telecommunication industry.
Key words: communication industry; capital risk; control; prevention;