Главная страница » Публикации » 2013 » #12 (36) » Analysis approach to the financial strategy of the enterprise, based on common management paradigm

Analysis approach to the financial strategy of the enterprise, based on common management paradigm


Авторы

Воробьев Алексей Вячеславович
кандидат экономических наук, доцент кафедры финансов и кредита
Россия, Волжская государственная академия водного транспорта
vorobalex@mail.ru

Аннотация

This article analyzes the approach to developing the financial strategy of the enterprise, based on a common management paradigm. Shows the strengths and weaknesses of the model of development of financial strategy as a unity of strategic purpose, technology strategy development, evaluation parameters of financial strategy. Necessity of further development of methods for determining financial policy priorities.

Ключевые слова

strategy, financial strategy, the process of strategy formation, strategic objective, the technology strategy development, evaluation parameters of financial strategy.

Рекомендуемая ссылка

Воробьев Алексей Вячеславович. Analysis approach to the financial strategy of the enterprise, based on common management paradigm // Современные технологии управления. ISSN 2226-9339. — #12 (36). Номер статьи: 3601. Дата публикации: 08.12.2013. Режим доступа: https://sovman.ru/en/article/3601/

Authors

Vorobev Aleksei Viacheslavovich
PhD, assistant professor of finance and credit
Russia, Volga State Academy of Water Transport
vorobalex@mail.ru

Abstract

Keywords

Suggested citation

Vorobev Aleksei Viacheslavovich. // Modern Management Technology. ISSN 2226-9339. — #12 (36). Art. #  3601. Date issued: 08.12.2013. Available at: https://sovman.ru/en/article/3601/


Print Friendly, PDF & Email

Читайте также






Библиографический список

  1. Blank  I.A.  Financial Management Training Course [Finansovyi menedzhment]. – 2nd ed., Revised and supplemented. K. Elga, Nick Center, 2004. 656 p. ISBN 5-901620-61-5, 966-521-257-5.
  2. Blank I.A. Crisis financial management enterprise [Antikrizisnoe finansovoe upravlenie predpriiatiem]. K. Elga, Nick Center, 2006. 672 p. ISBN 5-901620-65-8.
  3. Blank I.A. Financial Risk Management [Upravlenie finansovymi riskami]. K. Elga, Nick Center, 2005.  600 p. ISBN 966-521-320-2, 966-521-321-0.
  4. Blank I.A.  Financial strategy of the enterprise [Finansovaia strategiia predpriiatii]. K. Elga, Nick Center, 2004. 720 p. ISBN 5-901620-60-7, 966-521-248-6.
  5. Blank I.A. Management of financial security [Upravlenie finansovoi bezopasnostiu]. K. Elga, Nick Center, 2009. 778 p. ISBN 978-966-521-256-0.

Leave a Reply

Your email address will not be published. Required fields are marked *

Shopping Cart
Scroll to Top