Variability of the methodological basis of financial management in the structure of the national economy

被引:0
|
作者
Dobrova, K. B. [1 ]
机构
[1] AN Kosygin State Univ, Finance & Business Analyt Dept, Moscow, Russia
关键词
national economy; financial management; methodological basis; variability;
D O I
10.31166/VoprosyIstorii202303Statyi50
中图分类号
K [历史、地理];
学科分类号
06 ;
摘要
The global financial architecture has a powerful framework in the form of the activities of international financial organizations, primarily the International Monetary Fund (IMF), which develop standards for financial regulation of currency relations, disclosure of information, recommendations for strengthening the currency systems of the countries of the world, control the movement of capital, transparency of financial transactions. The purpose of the development of the national financial architecture is to increase the welfare of the country's population, ensure the structural development of the national economy, create the potential for its long-term growth and strengthen competitiveness.
引用
收藏
页码:134 / 141
页数:8
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