Trabajo final de grado
Acceso abierto
Análisis financiero para Ecogas S.A, durante el 2024
Cargando...
Fecha
Autores
Mujica, Adrián Alberto
Título de la revista
ISSN de la revista
Título del volumen
Editor
Universidad Siglo 21
Resumen
El presente trabajo tuvo como objetivo analizar la situación financiera de la empresa Ecogas S.A. Motivo de la falta de actualización de sus ingresos enfrentó una disminución en el capital de trabajo. Se investigo el contexto de la empresa a través de un análisis Pestel, considerando los factores políticos, económicos, sociales, tecnológicos, ecológicos y legales. A su vez, un análisis FODA para describir las fortalezas, oportunidades, debilidades y amenazas que enfrenta. Y, por último, Porter para analizar la estructura competitiva de la empresa. Se utilizó el sistema vertical y horizontal para el análisis de los estados financieros y el cálculo de ratios financieros para el periodo 2022 y 2023. Se propone la implementación de un sistema de gestión de inventarios basado en pronósticos y gestión de la cadena de suministro. Se deduce que reducir inventarios mejora la liquidez a corto plazo y a largo plazo, reduce costos, pérdidas y mejora la rentabilidad al aumentar ventas y márgenes.
Abstract The objective of this work was to analyze the financial situation of the company Ecogas S.A. The reason for not updating their income was a decrease in working capital. The context of the company is investigated through a Pestel analysis, considering political, economic, social, technological, ecological and legal factors. In turn, a SWOT analysis to describe the strengths, weaknesses, opportunities and threats you face. And finally, Porter to analyze the competitive structure of the company. The vertical and horizontal system was used to analyze the financial statements and calculate financial ratios for the period 2022 and 2023. The implementation of an inventory management system based on forecasts and supply chain management is proposed. It follows that reducing inventories improves liquidity in the short term and in the long term, reduces costs, losses and improves profitability by increasing sales and margins.
Abstract The objective of this work was to analyze the financial situation of the company Ecogas S.A. The reason for not updating their income was a decrease in working capital. The context of the company is investigated through a Pestel analysis, considering political, economic, social, technological, ecological and legal factors. In turn, a SWOT analysis to describe the strengths, weaknesses, opportunities and threats you face. And finally, Porter to analyze the competitive structure of the company. The vertical and horizontal system was used to analyze the financial statements and calculate financial ratios for the period 2022 and 2023. The implementation of an inventory management system based on forecasts and supply chain management is proposed. It follows that reducing inventories improves liquidity in the short term and in the long term, reduces costs, losses and improves profitability by increasing sales and margins.
Descripción
Palabras clave
Estados financieros, Ratios, Liquidez, Gestión de inventarios