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Предупреждение о финансовых рисках

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Выявление аномальных паттернов транзакций на основе исторических данных, генерация отчетов о рисках в реальном времени и стратегий реагирования.

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Please analyze the company's financial transaction data from the past twelve months, focusing on identifying abnormal transfers exceeding threshold amounts without corresponding contract support. Considering industry seasonal fluctuations, assess the current risk level of cash flow disruption and output a concise report containing specific risk points, potential impact scope, and suggested emergency fund allocation plans, ensuring all conclusions are data-backed and logically sound.

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Проанализируйте данные финансовых транзакций компании за последние двенадцать месяцев, сосредоточившись на выявлении аномальных переводов, превышающих пороговые значения, без соответствующей договорной поддержки. Учитывая сезонные колебания в отрасли, оцените текущий уровень риска разрыва денежного потока и выведите краткий отчет, содержащий конкретные точки риска, потенциальный масштаб воздействия и предложенные планы экстренного распределения средств, убедившись, что все выводы подкреплены данными и логически обоснованы.

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Рекомендация

Оповещение о финансовых рисках
Act as a senior financial analyst to conduct an in-depth review of the provided quarterly financial statement data, focusing on cash flow fluctuations, abnormal debt ratios, and changes in accounts receivable turnover rates. Identify potential financial risk points that may affect the company's going concern status, and based on the current market environment and industry benchmarks, generate a concise risk assessment report highlighting key risk indicators and providing specific mitigation recommendations.
Оптимизация прогнозов
Act as a senior data analyst, analyze the provided 24-month sales records to identify seasonal fluctuations and growth trends, and generate a detailed sales forecast report for the next quarter, highlighting potential risk factors.
Предупреждение о финансовых рисках
Act as a financial analyst and deeply review the provided quarterly financial statement data, focusing on key indicators such as cash flow volatility, debt ratios, and accounts receivable turnover rates. Identify any signals of potential liquidity crises or solvency risks within these data, and generate a concise risk assessment report based on this information, highlighting the main risk points and corresponding mitigation suggestions.
Предупреждение о финансовых рисках
Please analyze the company's financial transaction records from the past twelve months, focusing on identifying large transfers exceeding thresholds without corresponding contract support, and assess potential cash flow breakage risks in conjunction with seasonal fluctuations, then output a brief report containing a list of high-risk accounts and specific verification suggestions.
Предупреждение о финансовых рисках
Please analyze the company's financial transaction records from the past twelve months, focusing on identifying transactions with unusual amounts, sudden frequency changes, or unknown payees. Combine this with current market volatility to assess the potential impact of these anomalies on cash flow stability, and output a concise report including risk levels, specific cases, and preliminary response recommendations to help management avoid cash chain rupture risks in advance.
ФинРиск Опас
Analyze the company's financial transaction records from the past twelve months, focusing on identifying abnormal transfers exceeding threshold amounts without corresponding contract support. Assess potential cash flow breakage risks in conjunction with current market fluctuations, and output a concise report containing specific risk points, scope of impact, and preliminary response strategies, ensuring the suggestions are actionable and compliant.
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