The article presents a methodological framework developed by the authors with the aim of developing methods of forecasting, prevention of emergency situations (es), and also increase of stability of functioning of the organizations of the Ministry of agriculture of Russia, having in composition the existing object predstavlyayushie danger, and aims to increase the efficiency of state control over security. The unsatisfactory financial position of ogranicheniyami, having in its composition of potentially dangerous objects, is an additional risk factor man-made disaster that needs to be considered when conducting security control. The purpose of financial monitoring is to determine associations with increased risk of occurrence of accidents on the basis of objective assessment of their financial and economic state that will allow timely monitoring of inspections by the state Supervisory authorities in advance and to take the necessary preventive measures.
The article highlights purposes, tasks, functions and challenges associated with the implementation of self-regulation, Russian and overseas practices of operation of self-regulated organizations in the sphere of receivership and in other economic sectors, as well as initial results of the realization of a concept of improving the self-regulation mechanisms. The article describes the rationale for directions and methods of improving the self-regulation institute
The article highlights purposes, tasks, functions and challenges associated with the implementation of self-regulation, Russian and overseas practices of operation of self-regulated organizations in the sphere of receivership and in other economic sectors, as well as initial results of the realization of a concept of improving the self-regulation mechanisms. The article describes the rationale for directions and methods of improving the self-regulation institute
Currently, the crisis management felt the need to develop a methodology for analyzing the financial condition of persons who are not a standard financial statements. The paper was developed this technique and gives examples of its application. The technique can be used to analyze the financial condition of citizens in respect of which the action is pending bankruptcy.
The authors explore the problem of the gap in development between the subsidiaries and the parent organization on the example of "Lukoil" and "Komineft". Financial analysis is carried out by calculating the coefficients.
In the article it was described an issue of monitoring efficiency increasing of the enterprise activity by the unified criteria system that allows to estimate the value of some financial indicator for the particular company. It's also determined in the article the common aims and principles of monitoring conducting on enterprises.
In 2014, it became clear that Russia's new economic crisis began. Expected to occur and the deepening financial and economic problems for companies and organizations, increasing the risk of insolvency, bankruptcies, lowering income taxes and contributions to the budget system of the state and non-budgetary funds, reducing the ability to solve pressing social issues. Decided to implement the state anti-crisis plan. To stabilize the economy by the Government of the Russian Federation will be further allocated at least 1.4 trillion rubles. According to First Deputy Prime Minister II Shuvalov in the subjects of the federation until February 16 to be formed anti-crisis commission and develop a plan to respond to the crisis. In connection with the situation of particular interest is the study of the risk of bankruptcy of the real sector of the economy. We consider this problem in detail on the basis of the Russian statistical observation.
The article investigates the main aims, values and the concept of anti-crisis management, as a new scientific direction; settles down the statement about the crisis as an inevitable stage of social and economic development of a system at any level threatening its existence. The concept of crisis in anti-crisis management is considered. The article introduces the running and possible crisis consequences, anti-crisis management basic tasks, its results including decreasing the negative consequences in case of system’s collapse and the necessity of its parts’ utilization distinguishing the values which can be used by other systems. A particular attention is paid to the system maintenance and its upgrade with the possible change of its owner as the most important results of anti-crisis management.The kinds of anti-crisis management corresponding to different development levels of negative and crisis events including anticipatory, preventing, reactive, rehabilitative are considered.The statistic data analysis characterizing unprofitable big and medim Russia organizations’ share changing and also the dime nsions of expired indebtedness as of from 2004 to 2015 has been conducted. The peculiarities of taken measures at Russia economy micro-, meso-, macro levels have been considered.A special attention is paid to grounding the differences of anti-crisis management from management, their targets, values, interrelations orientation. В статье исследуются основные цели, ценности, концепция нового научного направления - антикризисного управления, обосновывается положение о том, что кризис рассматривается как неизбежный этап развития социально-экономической системы любого уровня, угрожающий ее существованию. Особое внимание уделено рассмотрению отличий антикризисного управления от менеджмента, ориентации их целей и ценностей, имеющихся взаимосвязей.Представлены течение и возможные последствия кризиса, базовые задачи антикризисного управления, его результаты, в том числе снижение негативных последствий в случае разрушения системы и необходимости утилизации ее частей с выделением ценностей, которые могут быть использованы другими системами. Особое внимание уделено важнейшим результатам антикризисного управления - сохранению системы и ее обновлению с возможной сменой ее собственника.Рассматриваются виды антикризисного управления, соответствующие разным степеням развития негативных и кризисных явлений, в том числе антиципативное, превентивное, реактивное, реабилитационное. Проведен анализ статистических данных, характеризующих изменение доли убыточных крупных и средних организаций России, а также величину просроченной задолженности за период с 2004 по 2015 г. Рассмотрены особенности принимаемых мер на микро-, мезо-, макроуровнях российской экономики.
The issue of rising functional efficiency and assuring solvency of HUI organizations is discussed. Systematic analysis and financial state assessment, as well as monitoring these organizations constitute an important instrument in making timely managing decisions and preventing their insolvency. The article states main tasks and principles of conducting utility enterprise monitoring.
The results of the analysis of financial-economic state of the town-forming organizations of single-industry towns are presented in the paper. The risk factors that affect financial stability identified in the present paper. The ratio of successful, problem and crisis organizations in the analyzed population (360 enterprises) and the dynamics of the respective groups are presented.
Mechanism of bankrupt procedure Implementation was analyzed, which were identified current system problems, happened by imperfect of law, presented proposals to developing it. The special attention on protection of the rights of entrepreneurs in case of bankrupt, which is now use to be macroeconomic factor, it have big influence on economic of country and entrepreneurs business. It seems reasonable to change way of initiation case of bankrupt by conceptual, from debtor`s side, correcting of methodology and criteria of identification sings in fiction bankrupt, need improve process of bankrupt in natural monopolies, mostly housing, need to keep working on project of law about trans-boundary insolvency, raising the rights and responsibilities to arbitration managers.
The purpose of the work is to assess the available opportunities and trends in the development of rehabilitation mechanisms of bankruptcy in Russia. There was conducted a study of the stages of development of the rehabilitation direction of the bankruptcy institution based on the analysis of the statistical results of bankruptcy procedures. The study concluded that there was no significant growth in the demand prospects of rehabilitation procedures under the existing approaches. The main reason is the lack of people interested in the rehabilitation of debtors in most cases of the procedures. The authors propose variants of the development of rehabilitation potential of bankruptcy institution based on actualization of debtor's right for filing of a bankruptcy petition and change of rehabilitation goals bankruptcy: instead of restoring the solvency of the debtor - the re-habilitation of its business during the anti-crisis restructuring.
Рассматриваются вопросы повышения эффективности восстановления платежеспособности организаций в основной реабилитационной процедуре российского института банкротства – внешнем управлении. Данная процедура рассматривается с точки зрения проектного менеджмента с учетом особенностей правового состояния организации, в отношении которой возбуждено производство по делу о банкротстве. В целях совершенствования механизма восстановления платежеспособности предложено проводить экспертизу разрабатываемых планов внешнего управления и определены источники финансирования для этого. Предложения направлены на сокращения времени проведения процедур, сохранения ресурсов должника, экономии ресурсов кредиторов, государства и других лиц.
In the article author analyzes resource and energy metabolism of socio-economic systems and their environment.This resource and energy metabolism is connected with the transformation of internal and external resources and their consumption. Author showed that the provision of resource and energy balance is basic purpose of crisis management this system. It is found that socio-economic systems have a similarity energy metabolism by analogy with biological systems, and economy as a whole will be seen as a kind ecosystem, where there is an urgent task of recusation and recycling waste of development and operation of its various components (firms, companies, organizations). This problem will be solved by different ways, including by bankruptcy institute.Also author considered another way of freeing the economy from the elements, who cease to work effectively - restoration, which also has analogies in biological and technical systems.
The most important direction of improving of financial stability of town-forming organizations in non-diversified towns is restructuring. A set of measures is implemented during restructuring in order to improve the effectiveness of using property, a property complex, to create appropriate conditions for business, the reforming of structural subdivisions, a system of control, is carried out, as well as debt restructuring. However, restructuring in the form of separation of “independent” business units in non-core and inefficient activities, which are technologically connected with the main production of a town-forming enterprise, is inefficient, because in fact they cannot operate independently and, consequently, become a serious problem for the economy of monotowns.
This article describes the features of perception and human understanding of the term "enterprise" in crisis management in general and in particular in bankruptcy. Currently prevailing incorrect interpretation of the term mix it with the notion of the organization that harms the correct assessment of the role of the institution of bankruptcy, harming its image and prevents develop crisis management as a scientific field and practice.
The article deals with the basic problems of preparing external management plans under modern Russian insolvency law, and their solutions. The proposed changes afford additional opportunities to improve the quality of external management plans and expand the circle of stake-holders documents can allow for. The solutions for the problems discussed are found in increasing the capacity of arbitrage and self-regulated organizations of arbitration managers.
A model of resource and energy exchange of socio-economic systems (SES) to higher-level systems, which are external environment for them, has developed in this paper. The transformation of matter-and-energy resources in these systems includes processing resources of the external environment in output products, as well as the diversion of part of the resources for the development of the system. The resource balance and the overall scheme of resource exchange of SES with the external environment have built in this paper. Preconditions for the crisis arise in case of violation of balance of resources allocated for the holding of the production process and for the development of systems. Author also defined resource causes of crises socio-economic systems and determined that ensuring the balance between the available domestic material and energy resources, external resources attracted by SES, as well as the resources, that are being diverted to development, is the basic goals of crisis management of SES of any level.