DAVLAT MOLIYAVIY NAZORATIDA RISKGA ASOSLANGAN YONDASHUVNI QO‘LLASHNING METODOLOGIK ASOSLARI
Nodir Hakimov
GREEN ECONOMY AND DEVELOPMENT, 2025, vol. 3
Abstract:
Ushbu tezisda davlat moliyaviy nazorat tizimida riskga asoslangan yondashuvni joriyetishning nazariy va metodologik asoslari tahlil qilinadi. Zamonaviy fiskal boshqaruv sharoitida davlatmoliyaviy resurslaridan foydalanish samaradorligini oshirish, byudjet intizomini mustahkamlash hamdakorrupsion va moliyaviy xatarlarga barham berish maqsadida risklarni aniqlash, baholash va ularni boshqarishmexanizmlarining ilmiy asoslari o‘rganiladi. Shuningdek, so‘nggi yillarda O‘zbekiston Respublikasida davlatmoliyaviy nazoratini raqamlashtirish va xalqaro standartlarga moslashtirish jarayonlari tahlil qilinadi
Keywords: davlat moliyaviy nazorati; riskga asoslangan yondashuv; fiskal siyosat; ichki audit; byudjet intizomi; moliyaviy xatarlar; raqamli transformatsiya; samaradorlik (search for similar items in EconPapers)
Date: 2025
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Persistent link: https://EconPapers.repec.org/RePEc:teu:ged000:v:3:y:2025:id:11100
DOI: 10.5281/zenodo.20737196
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