Financial Management of Insurance Companies
Анотація
The relevance of this topic is due to the fact that the insurance industry employs millions of citizens, ensuring the distribution of multimillion insurance funds of private companies to people affected by a particular situation. Good management of the insurance industry is the key to the financial stability of one of the largest sectors of the world economy. The aim of this scientific work is to identify the key problems in the insurance industry, to find effective solutions to overcome possible mistakes and problems, analysis of each proposed solution, describing a clear and consistent methodology for subsequent application in private and public insurance companies. This work uses several key methods that allow an objective analysis of the current situation in the insurance sector of the economy, as well as to identify key problems and propose methods of their solution. The main method of analysis is modelling with horizontal and vertical analysis of data related to financial sustainability and insurance management. The result of this work is the ready structure of solutions and methodologies to improve and maintain the sustainable financial management model of insurance companies. In addition, the work includes current data that reflect the current situation in the field of financial management of insurance companies. These materials are useful to all managers and employees of insurance and financial companies, as well as government employees who monitor and monitor the activities of insurance companies, as well as researchers and analysts.
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