Write a 1,000-1,200-word analysis discussing financial risk concepts and assess the impact of the different financial risks on an organization. For this assignment, you will structure your assignment using four research paper sections associated with corporate risk management, as studied in the course. Define each financial risk, discuss the risk associated components, and evaluate the financial risks and how they affect the corporation’s financial status.
Research Paper Sections
The research paper should include the following financial risks:
- Market Risk
- Liquidity Risk
- Credit Risk
- Operational Risk
- Primary sources are first-hand accounts such as interviews, advertisements, speeches, company documents, statements, and press releases published by the company in question.
- Secondary sources come from peer-reviewed scholarly journals, such as the Journal of Management. You may use sources like JSTOR, Google Scholar, and Social Science Research Network to find articles from these journals. Secondary sources may also come from reputable websites with .gov, .edu, or .org in the domain. (Wikipedia is not a reputable source, though the sources listed in Wikipedia articles may be acceptable.)