SOME ASPECTS OF REGIONAL FINANCIAL SECURITY DIAGNOSTICS

E. A. Smirnova, E. Mashyanova
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Abstract

In modern conditions, the achievement of dynamic growth of the real sector of the economy is a condition for ensuring financial security, both for the state and the region, since it is directly related to filling the budget from the profits of material production industries. The article defines various interpretations of the concept of «financial security» by scientists. Given the theoretical analysis suggested that the financial security of the region should be understood such as financial, budgetary, banking, insurance, currency, tax, investment systems in the region, which creates a high level of protection of all financial interests and minimize external and internal threats with the help of special tools. Indicators of diagnostics of financial security of the region are presented, which will help to identify the most critical threats and develop measures to improve and overcome the current situation, as well as the main directions of assessing the financial security of the region. Scientific studies have shown that certain requirements are necessary for the qualitative characteristics of financial security indicators. The set of indicators should be comprehensive and consistent and should help to analyze the regional financial system from the point of view of its economic security. For these purposes, a block of basic indicators should be formed, which will provide a foundation for conducting an analysis of the financial security of the region, which allows us to formulate that the indicators of financial security indicators should be combined into a two-level system. Based on the study, a system of principles for selecting indicators of financial security in the region is defined.
区域金融安全诊断的几个方面
在现代条件下,实现实体经济部门的动态增长是确保国家和地区财政安全的一个条件,因为它直接关系到用物质生产行业的利润填补预算。这篇文章定义了科学家们对“金融安全”概念的各种解释。鉴于理论分析表明,该地区的金融安全应该被理解为该地区的金融,预算,银行,保险,货币,税收,投资系统,这为所有金融利益提供了高水平的保护,并在特殊工具的帮助下将外部和内部威胁降到最低。提出了区域金融安全诊断指标,这将有助于确定最严重的威胁,制定改善和克服现状的措施,以及评估区域金融安全的主要方向。科学研究表明,对金融安全指标的定性特征有一定的要求。这套指标应该是全面和一致的,应该有助于从经济安全的角度分析区域金融体系。为此,应形成一组基本指标,这将为进行区域金融安全分析提供基础,这使我们能够制定金融安全指标的指标应合并为两级体系。在此基础上,确定了区域金融安全指标选择原则体系。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
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