摘要
地方政府债务风险的识别与监控是公共财务管理的关键议题。文章从成因分析、影响分析、风险识别方法和监控机制构建四个方面进行了系统探讨,为地方政府提供理论支持和实践策略,从而有效防范和化解债务风险,确保地方经济的稳健、可持续发展。以期为地方政府在债务风险管理方面提供有益的参考和启示。
The identification and monitoring of local government debt risk is a key issue in public financial management.This paper makes a systematic discussion from four aspects:cause analysis,impact analysis,risk identification method and monitoring mechanism construction.Provide theoretical support and practical strategies for local governments,so as to effectively prevent and resolve debt risks,and ensure the steady and sustainable development of local economy.Through the discussion of this paper,we hope to provide useful reference and enlightenment for local government in debt risk management.
作者
徐薇鸿
Xu Weihong(Party School of Linyi Municipal Committee of CPC,Linyi,Shandong,276000)
出处
《市场周刊》
2024年第30期155-158,共4页
Market Weekly
关键词
地方政府债务
风险识别
监控机制
风险防范
local government debt
risk identification
monitoring mechanism
risk prevention