About the Journal
The journal "Financial Management" is included in the current List of peer-reviewed scientific publications of the Higher Attestation Commission of the Russian Federation (K2). All issues of the journal are indexed in the RSCI (the two-year Impact factor of the journal is 0.585) and in the Goolge Scholar database. All articles published in the journal are assigned a digital identifier of the DOI object.
The journal "Financial management" has been published since 2001 and today is an authoritative economic publication of the Russian Federation. The publication is registered by the Federal Service for Supervision in the Field of Communications, Information Technologies and Mass Communications, certificate of registration ПИ № ФС 77 - 70275. ISSN 1607-968X.
Having expanded the field of its research, the Financial Management journal today covers a wide range of topical economic issues in Russia and foreign countries. The journal also publishes scientists from CIS countries and far abroad.
The journal is peer-reviewed, all published materials are checked for originality.
The publication is included in the current List of the Higher Attestation Commission in the specialties 5.2.3 "Regional and sectoral economics", 5.2.4 "Finance", 5.2.5 "World Economy" and 5.2.6 "Management".
On pages of magazine "Financial Management" we are discussing issues of corporate finance and financial markets, financial analysis and planning, the introduction of IFRS in the Russian practice, the financial management of banks and insurance companies, tax and currency management, the problem of financial education and personal finance management.
Crisis phenomena, tightening business environment require financial directors, financial services of specialists and financial analysts a new perspective on management of finances. Change targets companies in the market are changing tasks financiers. The main issues will be the of publications anti-crisis measures, control of costs and expenses in Russian companies, cash flow management, and of course the management of financial risks.
In 2005. open rubric associated with the problems of finance management of banks and insurance organizations. Of course, the financial management in all organizations is based on a similar logic: an investment of means - achieving their goals (profits increase, the increment of the company's value, etc.). However, management of financial flows in the banking and insurance spheres of activity has its distinguishing features, specific approaches and methods. All this has been reflected in the articles category "Finance management banks and insurance companies."
Another direction of our magazine - a coverage of the problems financial education. Financial direction is represented at virtually all levels of business education: from the highest to the Master of Business Administration (MBA) and Executive Master of Business Administration (EMBA). On the pages of our magazine, we plan to discuss the competitive advantages of financial programs of leading business schools in Russia, the changing demands of listeners to the content and form of financial programs at different levels of business education.