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dc.contributor.advisorGarofalo Velasco, Darly Agnelio
dc.contributor.authorCrespo Campos, María Belén
dc.date.accessioned2023-11-12T03:38:38Z
dc.date.available2023-11-12T03:38:38Z
dc.date.issued2023
dc.identifier.urihttp://dspace.utb.edu.ec/handle/49000/15195
dc.descriptionThe present study focused on evaluating the financial control of the company PRINDEX S.A. with a detailed analysis of its financial statements during the period 2021-2022. The problem statement centered on the importance of effective financial management for the success and stability of organizations in an increasingly competitive and challenging business environment. The justification lay in the need to understand and address the liquidity problems that the company had experienced, especially in the context of the 2020 pandemic and its impact on banana sales. The general objective was to examine the financial control of PRINDEX S.A., with a focus on reviewing its financial statements during the years 2021 and 2022, emphasizing liquidity, solvency, management, and profitability indicators. The methodology employed included a thorough review of financial statements, the calculation of key financial indicators, and conducting interviews with the company's accountant to obtain additional information about financial practices and strategies used. The conclusions revealed a significant improvement in the company's liquidity in 2022 compared to 2021, although challenges were identified in accounts receivable and accounts payable management. It is recommended that the company maintain a strong cash policy, diversify its income, and maintain strict cost management as key measures to strengthen its financial health and prepare for possible future challenges.es_ES
dc.descriptionThe present study focused on evaluating the financial control of the company PRINDEX S.A. with a detailed analysis of its financial statements during the period 2021-2022. The problem statement centered on the importance of effective financial management for the success and stability of organizations in an increasingly competitive and challenging business environment. The justification lay in the need to understand and address the liquidity problems that the company had experienced, especially in the context of the 2020 pandemic and its impact on banana sales. The general objective was to examine the financial control of PRINDEX S.A., with a focus on reviewing its financial statements during the years 2021 and 2022, emphasizing liquidity, solvency, management, and profitability indicators. The methodology employed included a thorough review of financial statements, the calculation of key financial indicators, and conducting interviews with the company's accountant to obtain additional information about financial practices and strategies used. The conclusions revealed a significant improvement in the company's liquidity in 2022 compared to 2021, although challenges were identified in accounts receivable and accounts payable management. It is recommended that the company maintain a strong cash policy, diversify its income, and maintain strict cost management as key measures to strengthen its financial health and prepare for possible future challenges.es_ES
dc.description.abstractEl presente estudio se enfocó en la evaluación del control financiero de la empresa PRINDEX S.A. con un análisis detallado de sus estados financieros durante el periodo 2021-2022. El planteamiento del problema se centró en la importancia de la gestión financiera eficaz para el éxito y la estabilidad de las organizaciones en un entorno empresarial cada vez más competitivo y desafiante. La justificación radicó en la necesidad de comprender y abordar los problemas de liquidez que la empresa había experimentado, especialmente en el contexto de la pandemia del año 2020 y sus repercusiones en las ventas de banano. El objetivo general fue examinar el control financiero de PRINDEX S.A., destacando la revisión de sus estados financieros durante los años 2021 y 2022, con un enfoque en los indicadores de liquidez, solvencia, gestión y rentabilidad. La metodología empleada incluyó la revisión exhaustiva de los estados financieros, el cálculo de indicadores financieros clave y la realización de entrevistas con el contador de la empresa para obtener información adicional sobre las prácticas financieras y estrategias utilizadas. Las conclusiones revelaron una mejora significativa en la liquidez de la empresa en 2022 en comparación con 2021, aunque se identificaron desafíos en la gestión de cuentas por cobrar y cuentas por pagar. Se recomienda a la empresa, mantener una política de efectivo sólida, diversificar sus ingresos y mantener una estricta disciplina en la gestión de costos como medidas clave para fortalecer su salud financiera y prepararse para posibles desafíos futuros.es_ES
dc.format.extent49 p.es_ES
dc.language.isoeses_ES
dc.publisherBabahoyo: UTB-FAFI. 2023es_ES
dc.rightsAtribución-NoComercial-SinDerivadas 3.0 Ecuador*
dc.rights.urihttp://creativecommons.org/licenses/by-nc-nd/3.0/ec/*
dc.subjectEvaluaciónes_ES
dc.subjectControles_ES
dc.subjectFinancieroes_ES
dc.subjectLiquidezes_ES
dc.subjectRentabilidades_ES
dc.titleControl financiero de la empresa PRINDEX S.A. del cantón Babahoyo en el periodo 2021-2022.es_ES
dc.typebachelorThesises_ES


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