RISK MANAGEMENT IN PUBLIC FINANCE SYSTEM OF UKRAINE UNDER GLOBAL CHALLENGES

D. Tretiak, N. Miedviedkova
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Abstract

Purpose – to analyze the current state of risk management in Public Finance System of Ukraine and prefer recommendations for its improvement. Research methodology – the structural-functional method (for revealing the influence mechanism of public finance risks on main indicators of Public Finance System), the comparison method (for comparing the main indicators of Public Finance System between Ukraine and other countries). Findings – recommendations for reducing of public finance risks will provide the budget with reliable sources of in-comes, optimize the structure of government spending, and improve the budget process in order to create conditions for enhancing the quality and efficiency of budget decisions. Research limitations – some risks are only of a qualitative nature and cannot be measured to analyze the impact of risks on the main indicators of Public Finance System. Practical implications – improvement of a risk-oriented method in Public Finance System under global challenges is an effective method of developing the existing Public Finance Management in Ukraine. Originality/Value – risk management in Public Finance system under global challenges is a new stage of comprehen-sive relations which opens the way for further progressive reforms. A great importance is to use the experience of risk management measures gained by EU states, but also taking into account the peculiarities of socio-economic situation in Ukraine.
全球挑战下的乌克兰公共财政体系风险管理
目的-分析乌克兰公共财政系统风险管理的现状,并提出改进建议。研究方法-结构-功能法(揭示财政风险对财政体系主要指标的影响机制),比较法(比较乌克兰与其他国家的财政体系主要指标)。研究结果-减少公共财政风险的建议将为预算提供可靠的收入来源,优化政府支出结构,改进预算程序,从而为提高预算决策的质量和效率创造条件。研究局限性——有些风险只是定性的,无法测量,无法分析风险对公共财政系统主要指标的影响。实践启示——在全球挑战下改进公共财政系统风险导向方法是乌克兰发展现有公共财政管理的有效方法。全球挑战下公共财政系统的创新/价值-风险管理是一个综合性关系的新阶段,为进一步的渐进式改革开辟了道路。非常重要的是利用欧盟国家获得的风险管理措施的经验,但也要考虑到乌克兰社会经济状况的特殊性。
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