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dc.contributor.advisorMerchán Jácome, Verónica Alexandra
dc.contributor.authorLarrea Seminario, Tatiana Xiomara
dc.date.accessioned2023-05-24T16:47:06Z
dc.date.available2023-05-24T16:47:06Z
dc.date.issued2023
dc.identifier.urihttp://dspace.utb.edu.ec/handle/49000/13874
dc.descriptionThis case study project on the cash flow of Comercial Don Saul in Babahoyo Canton, period 2021 and 2022, focused on the analysis and evaluation of the company's ability to generate cash over time, identify trends and take measures to improve the company's long-term financial stability. The analysis of the percentage change in Comercial Don Saul's cash flow was a key measure to evaluate the change in the company's cash flows in a given period compared to another. Fluctuations in cash flow were due to factors such as decreases in sales and increases in costs. To improve cash flow, it is recommended to analyze the causes behind the fluctuations, make an accurate cash flow projection, implement measures to improve cash flow, and monitor cash flow on an ongoing basis. This cash flow case study of Comercial Don Saul was an essential tool for assessing the company's financial stability, identifying trends, and taking steps to improve its ability to generate cash. The analysis of the percentage change in cash flow and the implementation of measures to improve cash flow are key recommendations to ensure the long-term financial stability of the company.es_ES
dc.descriptionThis case study project on the cash flow of Comercial Don Saul in Babahoyo Canton, period 2021 and 2022, focused on the analysis and evaluation of the company's ability to generate cash over time, identify trends and take measures to improve the company's long-term financial stability. The analysis of the percentage change in Comercial Don Saul's cash flow was a key measure to evaluate the change in the company's cash flows in a given period compared to another. Fluctuations in cash flow were due to factors such as decreases in sales and increases in costs. To improve cash flow, it is recommended to analyze the causes behind the fluctuations, make an accurate cash flow projection, implement measures to improve cash flow, and monitor cash flow on an ongoing basis. This cash flow case study of Comercial Don Saul was an essential tool for assessing the company's financial stability, identifying trends, and taking steps to improve its ability to generate cash. The analysis of the percentage change in cash flow and the implementation of measures to improve cash flow are key recommendations to ensure the long-term financial stability of the company.es_ES
dc.description.abstractEste proyecto de estudio de caso sobre el flujo de efectivo del Comercial Don Saul del cantón Babahoyo, periodo 2021 y 2022, se enfocó en el análisis y evaluación de la capacidad de la empresa para generar efectivo a lo largo del tiempo, identificar tendencias y tomar medidas para mejorar la estabilidad financiera de la empresa a largo plazo. El análisis de la variación porcentual en el flujo de efectivo del Comercial Don Saul fue una medida clave para evaluar el cambio en los flujos de efectivo de la empresa en un período determinado en comparación con otro. Las fluctuaciones en el flujo de efectivo se debieron a factores como la disminución en las ventas y el aumento en los costos. Para mejorar el flujo de efectivo, se recomienda analizar las causas detrás de las fluctuaciones, realizar una proyección precisa del flujo de efectivo, implementar medidas para mejorar el flujo de efectivo y monitorear el flujo de efectivo de manera constante. Este estudio de caso sobre el flujo de efectivo del Comercial Don Saul fue una herramienta esencial para evaluar la estabilidad financiera de la empresa, identificar tendencias y tomar medidas para mejorar su capacidad para generar efectivo. El análisis de la variación porcentual en el flujo de efectivo y la implementación de medidas para mejorar el flujo de efectivo son recomendaciones clave para garantizar la estabilidad financiera a largo plazo de la empresa.es_ES
dc.format.extent41 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.subjectFlujo de efectivoes_ES
dc.subjectComercial Don Saules_ES
dc.subjectVariación porcentuales_ES
dc.titleEl flujo de efectivo en el comercial “Don Saúl” ubicado en la ciudad de Babahoyo, en el periodo 2021 y 2022.es_ES
dc.typebachelorThesises_ES


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Atribución-NoComercial-SinDerivadas 3.0 Ecuador
Except where otherwise noted, this item's license is described as Atribución-NoComercial-SinDerivadas 3.0 Ecuador