Davlat moliyaviy nazoratida muhim moliyaviy xavflarni aniqlash va baholash

Authors

  • Lazizjon Maxmudov Ozbekiston Respublikasi Bank-Moliya Akademiyasi

Keywords:

Davlat moliyaviy nazorati, moliyaviy xavflar, xavf-tahlil

Abstract

Ushbu ilmiy maqolada davlat moliyaviy nazoratida muhim moliyaviy xavflarni aniqlash va baholashning nazariy va amaliy jihatlari yoritilgan. Moliyaviy xavflarning turlari, ularni aniqlash usullari va baholash mezonlari haqida batafsil tahlillar keltirilgan. Xususan, xavf-tahlil jarayonida zamonaviy metod va texnologiyalardan foydalanish, davlat mablag‘larining samarali sarflanishini ta’minlashda xavflarni modellashtirish va sifatli hamda soniya baholash usullarining ahamiyati ko‘rsatib berilgan. Mazkur maqola davlat moliyaviy nazoratining samaradorligini oshirishga qaratilgan ilmiy yondashuvlarni taklif etadi va moliyaviy xavflarni boshqarishning dolzarb muammolarini yoritishga bag‘ishlangan.

References

1. Anderson, A., & Govindarajan, V. (2021). Managing Financial Risks in the Public Sector. Journal of Government Financial Management, 70(2), 14-27.

2. Smith, R. (2020). Government Auditing and Risk Management: A Practical Guide. New York: Wiley.

3. OECD. (2021). Public Financial Control and Accountability in Emerging Economies. Paris: OECD Publishing.

4. International Federation of Accountants (IFAC). (2020). Risk Management in the Public Sector: A Global Perspective. New York: IFAC Publications.

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Published

2024-10-14

How to Cite

Davlat moliyaviy nazoratida muhim moliyaviy xavflarni aniqlash va baholash. (2024). CONFERENCE ON THE ROLE AND IMPORTANCE OF SCIENCE IN THE MODERN WORLD, 1(9), 179-182. https://universalconference.us/universalconference/index.php/crismw/article/view/2690