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Análisis de liquidez de la empresa Chanpal S.A. durante el período 2019 y el primer semestre del período 2020
dc.contributor.advisor | Vanegas Rodriguez, Vicente Valentino | |
dc.contributor.author | Vera Gonzabay, Dayana Elizabeth | |
dc.date.accessioned | 2020-10-07T19:59:58Z | |
dc.date.available | 2020-10-07T19:59:58Z | |
dc.date.issued | 2020 | |
dc.identifier.uri | http://dspace.utb.edu.ec/handle/49000/8601 | |
dc.description | For a company or business to have a proper functioning it is very important that the activities and services they provide are not paralyzed or scarce, however due to the economic crisis that the country is currently going through, this condition is affected since the activity The economy was affected due to its paralysis due to the pandemic caused by Covid 19. Situation that worries many construction companies since the works they carry out are IN SITU and due to the stoppage they cannot be carried out normally, which leads to a decrease in their income, liquidity and contracting of their services. Environment that has affected Compañía Constructora Chanpal S.A., in terms of its activities. For this reason, it is intended to carry out a financial analysis to know the variation that its liquidity, accounts receivable and the portfolio turnover index has had with respect to the previous period, which will allow us to have a clearer criterion on how it is being affected economically. . For this, it is necessary to obtain information from the Superintendency of Companies regarding their financial statements to be able to make the comparison through horizontal analysis, in addition, the analysis of the liquidity and management indices will be carried out. Analysis that will allow knowing the economic progress of the company Chanpal S.A. in the short and long term, having a clear idea if it is able to meet the payment of its obligations to suppliers and also knowing if it has enough cash to carry out its activities in a normal way. | es_ES |
dc.description | For a company or business to have a proper functioning it is very important that the activities and services they provide are not paralyzed or scarce, however due to the economic crisis that the country is currently going through, this condition is affected since the activity The economy was affected due to its paralysis due to the pandemic caused by Covid 19. Situation that worries many construction companies since the works they carry out are IN SITU and due to the stoppage they cannot be carried out normally, which leads to a decrease in their income, liquidity and contracting of their services. Environment that has affected Compañía Constructora Chanpal S.A., in terms of its activities. For this reason, it is intended to carry out a financial analysis to know the variation that its liquidity, accounts receivable and the portfolio turnover index has had with respect to the previous period, which will allow us to have a clearer criterion on how it is being affected economically. . For this, it is necessary to obtain information from the Superintendency of Companies regarding their financial statements to be able to make the comparison through horizontal analysis, in addition, the analysis of the liquidity and management indices will be carried out. Analysis that will allow knowing the economic progress of the company Chanpal S.A. in the short and long term, having a clear idea if it is able to meet the payment of its obligations to suppliers and also knowing if it has enough cash to carry out its activities in a normal way. | es_ES |
dc.description.abstract | Para que una empresa o negocio tenga un debido funcionamiento es muy importante que las actividades y servicios que prestan no se paralicen o escaseen, sin embargo debido a la crisis económica por la cual atraviesa actualmente el país, esta condición se ve afectada ya que la actividad económica se vio perjudicada debido a su paralización a causa de la pandemia originada por el Covid 19. Situación que preocupa a muchas empresas constructoras ya que los trabajos que realizan son IN SITU y debido a la paralización no se pueden desarrollar con normalidad, lo cual conlleva a una disminución en sus ingresos, liquidez y contratación de sus servicios. Entorno que ha afectado a la Compañía Constructora Chanpal S.A., en cuanto a sus actividades. Por tal motivo se pretende realizar un análisis financiero para conocer la variación que ha tenido su liquidez, cuentas por cobrar y el índice de rotación de cartera con respecto al periodo anterior, lo cual nos permitirá tener un criterio más claro en cómo está siendo afectada económicamente. Para esto es necesario obtener información de la Superintendencia de Compañías con respecto a sus Estados financieros para poder hacer la comparación mediante el análisis horizontal, además se realizará el análisis de los índices de liquides y de gestión. Análisis que permitirá conocer el progreso económico de la compañía Chanpal S.A. a corto y largo plazo, teniendo una idea clara si la misma está en capacidad de cumplir con el pago de sus obligaciones a los proveedores y además saber si cuenta con el efectivo suficiente para realizar sus actividades de manera normal. | es_ES |
dc.format.extent | 52 p. | es_ES |
dc.language.iso | es | es_ES |
dc.publisher | BABAHOYO: UTB, 2020 | es_ES |
dc.rights | Atribución-NoComercial-SinDerivadas 3.0 Ecuador | * |
dc.rights.uri | http://creativecommons.org/licenses/by-nc-nd/3.0/ec/ | * |
dc.subject | Análisis financiero | es_ES |
dc.subject | Liquidez | es_ES |
dc.subject | Cuenta por cobrar | es_ES |
dc.subject | Índice de rotación de cartera | es_ES |
dc.title | Análisis de liquidez de la empresa Chanpal S.A. durante el período 2019 y el primer semestre del período 2020 | es_ES |
dc.type | bachelorThesis | es_ES |