Trabajo final de grado
Acceso abierto
Informe financiero de la empresa Los Grobo S.A
Cargando...
Fecha
Autores
Taberna, Sebastián
Título de la revista
ISSN de la revista
Título del volumen
Editor
Universidad Siglo 21
Resumen
Este trabajo presenta un análisis de la situación financiera y económica de Los Grobo Agropecuaria S.A., con el objetivo de identificar sus principales desafíos y proponer un plan de acción orientado a mejorar la rentabilidad y liquidez de la empresa. A través de un análisis financiero, se diagnosticaron problemas donde se ve perjudicada por un capital de trabajo negativo. Además, los indicadores de endeudamiento muestran una alta dependencia de financiamiento externo, aumentando su vulnerabilidad financiera. La implementación del plan propuesto mejoró los plazos de cobros y pagos, optimizando el flujo de efectivo y permitiendo aumentar la liquidez corriente y reducir la dependencia de financiamiento externo.
Abstract This work presents an analysis of the financial and economic situation of Los Grobo Agropecuaria S.A., with the objective of identifying its main challenges and proposing an action plan aimed at improving the company’s profitability and liquidity. Through a financial analysis, issues were identified, including negative working capital that impacts the company's financial health. Additionally, debt indicators show a high dependence on external financing, increasing its financial vulnerability. The implementation of the proposed plan improved the collection and payment terms, optimized cash flow, and allowed for an increase in current liquidity while reducing the reliance on external financing.
Abstract This work presents an analysis of the financial and economic situation of Los Grobo Agropecuaria S.A., with the objective of identifying its main challenges and proposing an action plan aimed at improving the company’s profitability and liquidity. Through a financial analysis, issues were identified, including negative working capital that impacts the company's financial health. Additionally, debt indicators show a high dependence on external financing, increasing its financial vulnerability. The implementation of the proposed plan improved the collection and payment terms, optimized cash flow, and allowed for an increase in current liquidity while reducing the reliance on external financing.
Descripción
Palabras clave
Rentabilidad, Liquidez, Capital de trabajo, Financiamiento externo