DETERMINATION OF FINANCIAL SAFETY INDICATORS OF POLTAVA REGION
Анотація
Introduction. Development of region in the quickly variables terms of sharpening of political and economic situation in a country requires the detection of threats to its financial safety, rapid reaction on negative factors, permanent monitoring of external and internal environment. There is a necessity in the presence of the bounded terminal set of indicators. The change of these indicators can signal about the change of the state of financial safety of region. Purpose. The aim of the article is the perfection of methodical approaches as for the determination and estimation of indicators of financial safety at regional level on the example of the Poltava region. Results. The determination of the terms «index of financial safety» and «indicator of financial safety» has been improved. We have proposed to take into consideration the specialization and structuring of regions, and also social orientation of economy of Ukraine in the process of development of method of estimation of financial safety of region. The priority and problem sectors and key indicators of financial safety of the Poltava region have been determined. The development of estimation of financial safety of the Poltava region will become the key point for further research.
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