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How will the general manager respond to the storm of urban investment bonds?

There are several ways for the general manager to deal with the urban investment debt storm: investigation and analysis, default handling, accountability and improvement measures.

1. investigation and analysis: the company will set up a special investigation team to conduct in-depth analysis and investigation on the causes of bond default, and find out who is responsible and where the responsibility lies for subsequent treatment.

2. Default treatment: In case of bond default, the company needs to negotiate with investors to formulate a default treatment plan to solve the default problem as soon as possible and minimize the loss.

3. Responsibility investigation: The company needs to investigate the responsibility of the specific responsible person who caused the debt storm in this city, and give corresponding punishment and punishment to safeguard the company's reputation and image.

4. Improvement measures: The general manager and other senior executives need to reflect and improve the company's management system, risk control and internal control to avoid similar problems from happening again.