Master’s Thesis Preparation

Major: Finance, Banking and Insurance
Code of subject: 7.072.01.O.020
Credits: 15.00
Department: Finance
Lecturer: Supervisors of master's qualification work
Semester: 3 семестр
Mode of study: денна
Learning outcomes: PR01. Use the fundamental laws of finance, banking and insurance in combination with research and management tools for professional and scientific activities. PR06. Accessible and reasoned present the results of research orally and in writing, to participate in professional discussions. PR08. Be able to apply and manage innovative approaches in the field of finance, banking and insurance. PR10. Carry out diagnostics and modeling of financial activity of business entities. PR11. Apply in-depth knowledge in the field of financial, banking and insurance management for decision making. PR12. Justify the choice of management decisions in the field of finance, banking and insurance and evaluate their effectiveness taking into account the objectives, existing restrictions, legal and ethical aspects. PR13. Assess the degree of complexity of tasks in planning activities and processing its results. PR15. Substantiate the directions of improvement of financial and tax policy of the state, financial and non-financial corporations. PR16. Choose methods of adaptation and directions of use of international standards and norms for practical activities of a professional in the field of finance. PR17. Use tools and technologies of modern management in the management of financial and non-financial institutions (financial controlling, budgeting, tax monitoring, rehabilitation, optimization of business processes). PR18. Carry out general, financial, tax, operational due diligence within the activities of financial and non-financial corporations. PR19. Use information systems of state financial bodies and corporate information systems, electronic systems for the transfer of banking information, interbank and other payment systems. PR20. Choose and apply economic and mathematical methods and models and determine the benefits of their application in the activities of financial and non-financial corporations.
Required prior and related subjects: - prerequisites: financial management, insurance management, tax management, financial services market, financial innovations. - co-requisites: practice on the topic of master's thesis.
Summary of the subject: Justification of relevance and theoretical framework of selected problem. Analysis and synthesis of theoretical and empirical research, financial analysis of the research object; analysis of research on the subject of work; SWOT-analysis; forecasting indicators of financial and economic activity. Justification of the use of economic and mathematical methods and models according to the theme for the applied financial and economic problems solution, the definition and selection of the best options for the economic development of the research object. Development of the recommended measures, the justification criterion final target level of financial and economic indicators; forming a system of measures and selection tools solve problems; assessing the impact of proposed activities (projects) on summary financial and economic results.
Assessment methods and criteria: Feedback from the supervisor and reviewer of the work.
Recommended books: 1. Bondarchuk M. Modern approaches to socio-economic, informational and scientific-technical development of national economic entities: a collective monograph /M.K. Bondarchuk, S.V. Paranchuk, O.S. Chervinskaya, V.M. Kashchyshyn, O.Y. Vivchar, H.B. Dzhuryk. - Dnipro: Porohy, 2020. - 520 p. 2. Zagorodniy AG Financial and economic dictionary. / А.G. Zagorodniy, G.L. Vozniuk - 3rd ed., Ext. and rework. - Lviv: Lviv Polytechnic Publishing House, 2011. - 844 p. 3. Kirichenko O.A. Financial services market: Textbook / O.A. Kirichenko , М.P. Denysenko, А.В. Chupis // 2nd edition of revisions. and add. - К .: Dorado-druk, 2017. - 352 с. 4. Klapkiv Yu.M. Insurance services market: conceptual principles, technical innovations and development prospects: monograph. Ternopil: TNEU, 2020. 568 p. 5. Competitiveness of the insurance market of Ukraine in terms of intensification of globalization processes: a collective monograph [text] / on the materials of the scientific group and the scientific edition of Dr. Econ. Sciences, Prof. L.V. Shirinyan. - Kyiv: Lira-K Publishing House, 2020. - 404 p. 6. Kupchak M. Ya., Samilo A.V. Tax Management. Tutorial. - Lviv, 2020. - 185 p. 7. Research methodology in finance: textbook. manual for students and graduate students of specialty 072 "Finance, Banking and Insurance" / Alekseev I.V., Mazur A.V., Moroz A.S.- Lviv: Lviv Polytechnic National University Publishing House, 2020. - 62 p. 5.16 pp 8. Methodology of scientific research: textbook. way. / V.I. Zatserkovny, I.V. Tishaev, V.K. Demidov. - Nizhyn: NDU. M. Gogol, 2017. - 236 p. ISBN 978-647-527-156-8 9. Mishchenko I.A., Chorny G.M., Fishchuk N.Yu. (2017). Research methodology in the context of dissertations and dissertations in economics. Economics of agro-industrial complex (1), http://nbuv.gov.ua/UJRN/E_apk_2017_1_14. 10. Naumenkova S.V. Financial services market: Textbook. manual / S.V. Naumenkova, V.I. Mishchenko. - K .: Knowledge, 2018. - 532 p. 11. Naumenkova S.V. The system of regulation of financial services markets of foreign countries: Textbook. manual / S.V. Naumenkova, V.I. Mishchenko. - K .: CND NBU, UBS NBU. - 2018. -170 p. 12. Omelchenko L.S. Financial management: textbook. way. / L.S. Omelchenko. - Mariupol: PDTU, 2016. - 235 p. 13. Paranchuk S.V., Moroz A.S., Chervinska O.S., Sinyutka N.G. Tax management. Textbook / Lviv. Lviv Polytechnic Publishing House, 2017. - 294p. 14. Partin G.O. - Financial management: a textbook. / G.О. Partin, N.E. Seliuchenko. - Lviv: Lviv Polytechnic Publishing House, 2018. - 388 p. 15. Financial instruments: evaluation and reflection in the reporting of banks: a monograph / cl. aut. [R. A. Slavyuk, O.O. Glushchenko, Yu.M. Kozlovsky, M.L. Lapishko, L.O. Shkvarchuk and others. ] for ag. ed. Dr. Econ. Sciences, Prof. Slavyuka RA - K .: UBS, 2015. - 412. 16. Khoma I.B. Financial services market: Textbook. manual / I.B. Homa, I.V. Alekseev, L.S. Trevogo, N.I. Andrushko // 2nd edition. - Lviv: Lviv Polytechnic National University Publishing House, 2012. - 248 p. 17. Shkvarchuk L.O. Financial market: [textbook. manual] / L.O. Shkvarchuk. - Kyiv: Knowledge, 2013. - 382 p.