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Финансовая система: комплексный подход в контексте государственной финансовой политики // 5 financial System: an Integrated approach in the Context of the State financial Policy

Author

Listed:
  • Yu. Vorob’ev N.

    (Vernadsky Crimean Federal university, Simferopol)

  • L. Borshch M.

    (Vernadsky Crimean Federal university, Simferopol)

  • Ю. Воробьев Н.

    (Крымский федеральный университет им. В.И. Вернадского, Симферополь)

  • Л. Борщ М.

    (Крымский федеральный университет им. В.И. Вернадского, Симферополь)

Abstract

The purpose of our study was to substantiate theoretically and applied integrated approaches to the functioning and development of the fnancial system in the context of the state fnancial policy under the international sanctions. The study has been based on the theory of fnance, the dialectical method, and scientifc argumentation. We used a systemic approach, historical and economic-statistical methods as well. The authors substantiate the important scientifc direction of the modern fnancial system — modernization and progressive development and determine the consolidating functions of the state fnancial regulation, aimed at eliminating the imbalance, including new approaches to fnancing the budget defcit at the expense of borrowed funds. New approaches to macroeconomic orientation form new opportunities for modern modifcations in the fnancial system. On the basis of scientific arguments, the authors showed that although the federal budget of Russia plays a key role in the development of the fnancial system and the fnancial market, and the state fnancial policy acts as a macroeconomic regulator, the fnancial system of Russia develops on the basis of its own laws arising within it. The authors substantiate the point of view that the state fnancial policy is aimed at revealing the diversity of the functions of money circulation. This has an impact not only on social reproduction but also on the functioning and development of the fnancial system as a whole. The public fnancial policy should take into account the peculiarities of the functioning and development of the fnancial system in the context of constantly occurring macro-, meso-, and microeconomic processes. Of course, this will allow applying new approaches to modern changes in the fnancial system, and will also indicate the existence of a communicative convergent market, which is a sign of the formation of a “market of symbolic exchange of signs”, and hence of the new monetary changes. Цель исследования — обоснование теоретических и прикладных комплексных подходов к функционированию и развитию финансовой системы в контексте проводимой государственной финансовой политики в условиях санкций. Исследование базируется на положениях теории финансов, диалектическом методе, научной аргументации. Использовались системный подход, исторический и экономико-статистические методы. Обосновывается важное научное направление современной финансовой системы — модернизация и прогрессивное развитие. Определяются консолидирующие функции государственного финансового регулирования, которые направлены на устранение дисбаланса, включая новые подходы по финансированию бюджетного дефицита за счет заемных источников средств. Новые подходы макроэкономической ориентации формируют новые возможности для современных модификаций в финансовой системе. На основе научной аргументации показано, что, хотя федеральный бюджет России играет ключевую роль в развитии финансовой системы и финансового рынка, а государственная финансовая политика выступает в роли макроэкономического регулятора, финансовая система России развивается на основании собственных закономерностей, возникающих внутри нее. Обосновано, что государственная финансовая политика направлена на раскрытие многогранности функций денежного обращения, что оказывает влияние не только на общественное воспроизводство, но и на функционирование и развитие финансовой системы в целом. Государственная финансовая политика должна учитывать особенности функционирования и развития финансовой системы в контексте постоянно происходящих макро-, мезо- и микроэкономических процессов. Это, безусловно, позволит применять новые подходы для современных модификаций в финансовой системе, а также будет свидетельствовать о существовании коммуникативного конвергентного рынка, который является признаком формирования «рынка символического обмена знаков», а отсюда и новые денежные изменения.

Suggested Citation

  • Yu. Vorob’ev N. & L. Borshch M. & Ю. Воробьев Н. & Л. Борщ М., 2018. "Финансовая система: комплексный подход в контексте государственной финансовой политики // 5 financial System: an Integrated approach in the Context of the State financial Policy," Финансы: теория и практика/Finance: Theory and Practice // Finance: Theory and Practice, ФГОБУВО Финансовый университет при Правительстве Российской Федерации // Financial University under The Government of Russian Federation, vol. 22(5), pages 56-72.
  • Handle: RePEc:scn:financ:y:2018:i:5:p:56-72
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    References listed on IDEAS

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