Samorodov B. Management of bank financial development: theory, methodology, practice

Українська версія

Thesis for the degree of Doctor of Science (DSc)

State registration number

0513U000726

Applicant for

Specialization

  • 08.00.08 - Гроші, фінанси і кредит

26-06-2013

Specialized Academic Board

Д 26.883.01

Banking University

Essay

Object: the process of the management of bank financial development. Aim: development of the methodology-theoretical basics of the management of bank financial development, development of the technical approach and intensification of the practical recommendations of its improvement. Methods: logical generalization and research abstraction, system analysis, analysis and synthesis, induction and deduction, comparison, expert judgements and mathematical modeling, financial and economical analysis, non-linear programming, prediction. Theoretical and practical results, novelty: at first: the essence of the definition "management of bank financial development" is developed and introduced in the scientific overturn, the conception of the research based management of bank financial development through the system of rating, prediction and holdings at external markets are developed, the methodical approach of optimization of the bank activity financial indicators is developed, the methodology-theoretical approaches and the computing tools for the determination of the bank efficiency criterions are developed; is improved: the essence of the definition "bank financial development", the methodical approach for the management of bank financial development, computing tools for the determination of the bank rating, the methodology of diagnostics of the bank financial condition on the basis of rating systems; is received the further development: the scientific approaches for the definition of the system of bank financial management, definition of the mechanism of management of bank financial development, the methodological basics of supporting of the bank financial development through realization of the target project - holdings at external markets; the methodical approaches for prediction of the bank activity financial indicators on the basis of calculation of the costs and incomes of its entry at the external financial markets with the aim of holdings. Introduction: Apparatus of Verkhovna Rada of Ukraine, National bank of Ukraine, Kharkiv regional state administration, 6 domestic commercial banks, educational process of KhBI UB NBU. Using area: by legislatures under the development and enacting the laws, which are oriented for improvement of the system of bank financial management, by top management and banking staff under the management of banks financial development.

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