MANAGING THE FINANCIAL SECURITY OF UKRAINE UNDER THE DESTRUCTIVE IMPACT OF THE EXISTENTIAL CRISIS FACTORS RELATED TO RUSSIAN AGGRESSION
DOI:
https://doi.org/10.32689/2617-2224-2022-5(33)-4Keywords:
financial security, State Budget of Ukraine, destructive crisis factors, deficit, macroeconomic aidAbstract
The purpose of the research. The problem of financial security has always been relevant for all states. This is currently the number one problem for Ukraine, as a full-scale war imposed by Russia has unfolded on its territory. It has covered a large area in the north, east and south of the country and is associated with huge human casualties and economic damage to our state. The majority of political leaders and citizens of both Ukraine and other countries of the world did not foresee such a development of events, so now, in parallel with shock, pain and anger, there is a process of understanding the causes and mechanisms of the emergence of this war, the search for an effective mechanism of state management to ensure the macro-financial security of the country in conditions of the destructive influence of existential factors associated with military aggression. Methodology. The study of the financial and security environment, the identification of dangerous trends, influencing factors, risks and threats to national and financial security makes it possible to substantiate the choice of the optimal model for ensuring national and financial stability and the corresponding mechanisms of state functioning under martial law. At the same time, a comprehensive analysis of existing opportunities, practices, legal regulation, organization of activities in the field of national and financial security, anti-crisis management and public administration makes it possible to identify vulnerabilities of the state and society, systemic problems in ensuring financial stability, as well as to determine priorities for its further strengthening. The analysis of these issues has important scientific and practical significance in the context of justifying the feasibility of creating a system for ensuring national and financial stability in Ukraine. The scientific novelty of the obtained results consists in the strengthening of the theoretical justification and the development of comprehensive measures to ensure the financial security of Ukraine by developing a financial security strategy, forming and implementing the state and local budgets of the country, monitoring the indicators of the assessment of financial security, monetary and financial security, developing a strategy for the development and control of the banking system , strengthening payment discipline, improving tax regulation, control over the withdrawal of capital from Ukraine, ensuring the functioning of the securities market and the stock market, liberalization of capital movements. Conclusions. Currently, the task not only of the military-political leadership and citizens of Ukraine, but also of the entire democratic world is to prevent the victory of aggressive Russian imperialism in this war, to organize and unite the entire civilized world to resist Russian aggression, to ensure the proper functioning of the economy of the belligerent country, to provide guaranteed financial support needs of the Armed Forces and the country’s population. Implementation of financial, currency, and credit measures, making changes to the legislative framework, and developing a strategy for Ukraine’s financial security are becoming more and more important. In our opinion, the implementation of the measures proposed by us will contribute to strengthening the financial security of Ukraine in the conditions of martial law.
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