Metodologiya Finansovogo Risk-menedzhmenta V Vysshey Shkole Rossii - Vladimir Aleksandrovich Galanov (Red.) - Books - LAP LAMBERT Academic Publishing - 9783659481550 - November 15, 2013
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Metodologiya Finansovogo Risk-menedzhmenta V Vysshey Shkole Rossii Russian edition

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Reformirovanie finansov sfery vysshego obrazovaniya Rossii proiskhodit v rusle obshchego obnovleniya sistemy gosudarstvennykh finansov strany. Perekhod na normativno-podushevoe finansirovanie vuzov yavlyaetsya glavnoy novatsiey i tsentral'nym zvenom finansovoy reformy v sisteme vysshego professional'nogo obrazovaniya. Ob"ektom analiza predstavlennoy monografii vystupila sistema finansirovaniya gosudarstvennykh zadaniy, vypolnyaemykh obrazovatel'nymi organizatsiyami sfery vysshego professional'nogo obrazovaniya Rossiyskoy Federatsii. V rabote avtory opredelili metodologicheskie podkhody k finansovomu risk-menedzhmentu v sfere vysshego professional'nogo obrazovaniya s uchetom stsenariev perekhoda vuzov na mekhanizm opredeleniya normativnykh zatrat na okazanie gosudarstvennykh uslug i osobennostey realizatsii obrazovatel'nykh programm, i vyrabotali metodicheskie rekomendatsii po minimizatsii finansovykh riskov perekhoda na mekhanizm opredeleniya normativnykh zatrat na okazanie gosudarstvennykh uslug v sfere vysshego professional'nogo obrazovaniya.

Media Books     Paperback Book   (Book with soft cover and glued back)
Released November 15, 2013
ISBN13 9783659481550
Publishers LAP LAMBERT Academic Publishing
Pages 268
Dimensions 150 × 15 × 225 mm   ·   417 g
Language German