{"title":"THE STRATEGIC VECTOR OF UKRAINE'S FINANCIAL INTELLIGENCE CONSTRUCTION","authors":"Vasyl Franchuk, V. Hobela","doi":"10.32782/2311-844x/2022-1-1","DOIUrl":null,"url":null,"abstract":"The study established the strategic vectors of the development of financial intelligence in Ukraine. Further, the study outlined several stages, in particular, established the impact of financial intelligence on the state's financial security, carried out a comparative analysis of financial intelligence of the different countries by determining their institutional features and, based on the analysis results, developed strategic directions for Ukraine's financial intelligence development. The article substantiates the expediency of scientific research aimed at determining the specifics of the financial intelligence agencies' activities and their role in ensuring the state's financial security. The paper emphasized the need to intensify financial monitoring measures to counter new challenges and threats caused by the COVID-19 pandemic, the global economic recession and the war of the Russian Federation against Ukraine, which entered an active phase in early 2022. Moreover, the research highlighted the necessity to use advanced foreign experience in the organization of the financial intelligence service, its implementation in the domestic practice of combating money laundering and the use of this experience in the work of a financial intelligence agency in modern conditions characterized by a high level of corruption risks, the shadow economy and its offshoring. The influence of financial intelligence on the state's financial security has been established by determining the main threats arising in the relevant areas of activity and analyzing the mechanism of the financial intelligence's influence on the state's financial security. Researchers carried out a comparative analysis of financial intelligence models of different world countries. The article designated institutional characteristics of different financial intelligence models by determining their type, and essential characteristics. The study proposed an algorithm for forming a strategic vector for Ukraine's financial intelligence development. Based on the research results authors presented strategic directions for Ukraine's financial intelligence development and appointed their goals and directions of implementation.","PeriodicalId":348509,"journal":{"name":"Науковий вісник Львівського державного університету внутрішніх справ (серія економічна)","volume":"11 1","pages":"0"},"PeriodicalIF":0.0000,"publicationDate":"2022-10-28","publicationTypes":"Journal Article","fieldsOfStudy":null,"isOpenAccess":false,"openAccessPdf":"","citationCount":"0","resultStr":null,"platform":"Semanticscholar","paperid":null,"PeriodicalName":"Науковий вісник Львівського державного університету внутрішніх справ (серія економічна)","FirstCategoryId":"1085","ListUrlMain":"https://doi.org/10.32782/2311-844x/2022-1-1","RegionNum":0,"RegionCategory":null,"ArticlePicture":[],"TitleCN":null,"AbstractTextCN":null,"PMCID":null,"EPubDate":"","PubModel":"","JCR":"","JCRName":"","Score":null,"Total":0}
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Abstract

The study established the strategic vectors of the development of financial intelligence in Ukraine. Further, the study outlined several stages, in particular, established the impact of financial intelligence on the state's financial security, carried out a comparative analysis of financial intelligence of the different countries by determining their institutional features and, based on the analysis results, developed strategic directions for Ukraine's financial intelligence development. The article substantiates the expediency of scientific research aimed at determining the specifics of the financial intelligence agencies' activities and their role in ensuring the state's financial security. The paper emphasized the need to intensify financial monitoring measures to counter new challenges and threats caused by the COVID-19 pandemic, the global economic recession and the war of the Russian Federation against Ukraine, which entered an active phase in early 2022. Moreover, the research highlighted the necessity to use advanced foreign experience in the organization of the financial intelligence service, its implementation in the domestic practice of combating money laundering and the use of this experience in the work of a financial intelligence agency in modern conditions characterized by a high level of corruption risks, the shadow economy and its offshoring. The influence of financial intelligence on the state's financial security has been established by determining the main threats arising in the relevant areas of activity and analyzing the mechanism of the financial intelligence's influence on the state's financial security. Researchers carried out a comparative analysis of financial intelligence models of different world countries. The article designated institutional characteristics of different financial intelligence models by determining their type, and essential characteristics. The study proposed an algorithm for forming a strategic vector for Ukraine's financial intelligence development. Based on the research results authors presented strategic directions for Ukraine's financial intelligence development and appointed their goals and directions of implementation.
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乌克兰金融情报建设的战略载体
该研究确定了乌克兰金融情报发展的战略载体。此外,该研究概述了几个阶段,特别是确定了金融情报对国家金融安全的影响,通过确定其制度特征对不同国家的金融情报进行了比较分析,并根据分析结果制定了乌克兰金融情报发展的战略方向。本文论证了进行科学研究以确定金融情报机构活动的具体情况及其在保障国家金融安全中的作用的权宜之计。文件强调,有必要加强金融监测措施,应对新冠肺炎大流行、全球经济衰退以及俄罗斯联邦对乌克兰战争(该战争于2022年初进入活跃阶段)带来的新挑战和威胁。此外,研究还强调了在组织金融情报机构、在国内打击洗钱的实践中运用外国先进经验的必要性,以及在以高度腐败风险、影子经济及其离岸为特征的现代条件下,在金融情报机构的工作中运用这些经验的必要性。通过确定相关活动领域产生的主要威胁,分析金融情报对国家金融安全的影响机制,确立了金融情报对国家金融安全的影响。研究人员对世界各国的财商模型进行了比较分析。本文通过对不同财商模型的类型和本质特征的界定,确定了不同财商模型的制度特征。该研究提出了一种算法,以形成乌克兰金融情报发展的战略向量。根据研究结果,提出了乌克兰金融情报发展的战略方向,并确定了其目标和实施方向。
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