Finance is the lifeblood of the national economy and an important component of a country's core competitiveness.This article starts with the significance of conducting research on financial meteorology and analyzes the profound impact of meteorology on the financial industry.It summarizes the research progress at home and abroad,as well as the broad consensus of the international community on how financial agencies should respond to meteorological risks.It also sorts out the problems existing in the research and the meteorological constraints that affect the stable development of finance.Accordingly,we propose to conduct research on financial meteorology from three aspects:financial meteorological theory,financial meteorological information service product,and financial meteorological risk modeling.Finally,development proposals and suggestions are provided from the perspective of risk prevention for financial meteorology.