ORGANIZACIÓN CONTABLE EN LA EMPRESA COMERCIAL DE LA SRA. DARQUEA SÁNCHEZ MARÍA CECILIA DE LA CIUDAD DE LOJA, PERÍODO DEL 01 DE ABRIL AL 30 DE JUNIO DEL 2023.

The Curricular Integration Work called “Accounting organization in the commercial Company of Mrs. Darquea Sánchez María Cecilia from the city of Loja, period from April 1 to June 30, 2023.” was developed taking into account the commercial company’s need to gather, organize and record all information...

Fuld beskrivelse

Saved in:
Bibliografiske detaljer
Hovedforfatter: Herrera Herrera, Janina del Carmen (author)
Format: bachelorThesis
Sprog:spa
Udgivet: 2024
Fag:
Online adgang:https://dspace.unl.edu.ec/jspui/handle/123456789/29188
Tags: Tilføj Tag
Ingen Tags, Vær først til at tagge denne postø!
_version_ 1857833209438404608
author Herrera Herrera, Janina del Carmen
author_facet Herrera Herrera, Janina del Carmen
author_role author
collection Repositorio Universidad Nacional de Loja
dc.contributor.none.fl_str_mv Cuenca Jiménez, Mery Jakeline
dc.creator.none.fl_str_mv Herrera Herrera, Janina del Carmen
dc.date.none.fl_str_mv 2024-02-26T20:36:12Z
2024-02-26T20:36:12Z
2024-03-26
dc.format.none.fl_str_mv 61 p.
application/pdf
dc.identifier.none.fl_str_mv https://dspace.unl.edu.ec/jspui/handle/123456789/29188
dc.language.none.fl_str_mv spa
dc.publisher.none.fl_str_mv Universidad Nacional de Loja
dc.rights.none.fl_str_mv info:eu-repo/semantics/openAccess
dc.source.none.fl_str_mv reponame:Repositorio Universidad Nacional de Loja
instname:Universidad Nacional de Loja
instacron:UNL
dc.subject.none.fl_str_mv CONTABILIDAD Y AUDITORIA
ORGANIZACION CONTABLE
LOJA
EMPRESA
dc.title.none.fl_str_mv ORGANIZACIÓN CONTABLE EN LA EMPRESA COMERCIAL DE LA SRA. DARQUEA SÁNCHEZ MARÍA CECILIA DE LA CIUDAD DE LOJA, PERÍODO DEL 01 DE ABRIL AL 30 DE JUNIO DEL 2023.
dc.type.none.fl_str_mv info:eu-repo/semantics/publishedVersion
info:eu-repo/semantics/bachelorThesis
description The Curricular Integration Work called “Accounting organization in the commercial Company of Mrs. Darquea Sánchez María Cecilia from the city of Loja, period from April 1 to June 30, 2023.” was developed taking into account the commercial company’s need to gather, organize and record all information of its economic movements in an effective and efficient manner, allowing to obtain real information of the economic and financial situation while simultaneously meeting each one of the proposed specific objectives. The work was carried out through the execution of a plan and manual of accounts specially adapted to the needs and activities of the company. To achieve this, accounts were established within the categories of assets, liabilities, patrimony, income, costs and expenses, each with its own codification and detailed description, this allowed an efficient location of the accounts during the entire accounting process; an initial inventory was elaborated through the physical verification of the properties, values, rights and obligations to show the assets, liabilities and patrimony of the company. The respective auxiliary records were designed, such as sales records detailing the payment method for sales, whether in cash, credit, accounts payable or through bank transactions; payment roles were created detailing the incomes and expenses received monthly by each employee and the role of provisions containing the provisions for each employee for social benefits, which facilitate the simplification of operational movements of the Commercial Company. The accounting process was carried out through the permanent inventory control system; in which it was necessary to create an Initial Inventory of all assets, rights, values and obligations, followed the Initial Situation Statement was prepared, which reflects the Assets, Liabilities and Patrimony at the beginning of the operational activities, then the Daily Book was made where the daily operations were registered, next the General Book was elaborated where each one of the accounts is detailed in an organized manner and with the respective balances, the Trial Balance 5 was prepared, which summarizes and verifies the equality of debit and credit balances, then, the Worksheet was prepared with the respective adjustments and closing of books, the Statement of Results which contains the incomes, costs and expenses, the Statement of Financial Position containing the assets, liabilities, patrimony and profit at the end of the financial year, the Cash Flow Statement showing the cash originated and applied during a period by the company in operating, investment and financing activities, thus providing information on the real, economic and financial situation of the Company.
eu_rights_str_mv openAccess
format bachelorThesis
id UNL_a400cd99ef83dfe3bf4a5fd91e9a497e
instacron_str UNL
institution UNL
instname_str Universidad Nacional de Loja
language spa
network_acronym_str UNL
network_name_str Repositorio Universidad Nacional de Loja
oai_identifier_str oai:dspace.unl.edu.ec:123456789/29188
publishDate 2024
publisher.none.fl_str_mv Universidad Nacional de Loja
reponame_str Repositorio Universidad Nacional de Loja
repository.mail.fl_str_mv *
repository.name.fl_str_mv Repositorio Universidad Nacional de Loja - Universidad Nacional de Loja
repository_id_str 0
spelling ORGANIZACIÓN CONTABLE EN LA EMPRESA COMERCIAL DE LA SRA. DARQUEA SÁNCHEZ MARÍA CECILIA DE LA CIUDAD DE LOJA, PERÍODO DEL 01 DE ABRIL AL 30 DE JUNIO DEL 2023.Herrera Herrera, Janina del CarmenCONTABILIDAD Y AUDITORIAORGANIZACION CONTABLELOJAEMPRESAThe Curricular Integration Work called “Accounting organization in the commercial Company of Mrs. Darquea Sánchez María Cecilia from the city of Loja, period from April 1 to June 30, 2023.” was developed taking into account the commercial company’s need to gather, organize and record all information of its economic movements in an effective and efficient manner, allowing to obtain real information of the economic and financial situation while simultaneously meeting each one of the proposed specific objectives. The work was carried out through the execution of a plan and manual of accounts specially adapted to the needs and activities of the company. To achieve this, accounts were established within the categories of assets, liabilities, patrimony, income, costs and expenses, each with its own codification and detailed description, this allowed an efficient location of the accounts during the entire accounting process; an initial inventory was elaborated through the physical verification of the properties, values, rights and obligations to show the assets, liabilities and patrimony of the company. The respective auxiliary records were designed, such as sales records detailing the payment method for sales, whether in cash, credit, accounts payable or through bank transactions; payment roles were created detailing the incomes and expenses received monthly by each employee and the role of provisions containing the provisions for each employee for social benefits, which facilitate the simplification of operational movements of the Commercial Company. The accounting process was carried out through the permanent inventory control system; in which it was necessary to create an Initial Inventory of all assets, rights, values and obligations, followed the Initial Situation Statement was prepared, which reflects the Assets, Liabilities and Patrimony at the beginning of the operational activities, then the Daily Book was made where the daily operations were registered, next the General Book was elaborated where each one of the accounts is detailed in an organized manner and with the respective balances, the Trial Balance 5 was prepared, which summarizes and verifies the equality of debit and credit balances, then, the Worksheet was prepared with the respective adjustments and closing of books, the Statement of Results which contains the incomes, costs and expenses, the Statement of Financial Position containing the assets, liabilities, patrimony and profit at the end of the financial year, the Cash Flow Statement showing the cash originated and applied during a period by the company in operating, investment and financing activities, thus providing information on the real, economic and financial situation of the Company.El trabajo de Integración Curricular denominado “Organización contable en la empresa comercial de la Sra. Darquea Sánchez María Cecilia de la ciudad de Loja, periodo del 01 de abril al 30 de junio del 2023.” se desarrolló tomando en cuenta la necesidad de la empresa comercial de recopilar, organizar y registrar toda la información de sus movimientos económicos de manera eficaz y eficiente, permitiendo obtener información real de la situación económica y financiera y a su vez cumpliendo con cada uno de los objetivos específicos propuestos. El trabajo se llevó a cabo a través de la ejecución de un plan y manual de cuentas especialmente adaptados a las necesidades y actividades de la empresa. Para lograr esto, se establecieron cuentas dentro de las categorías de activo, pasivo, patrimonio, ingresos, costos y gastos, cada una con su propia codificación y descripción detallada, esto permitió una ubicación eficiente de las cuentas durante todo el proceso contable; se elaboró un inventario inicial mediante la constatación física de los bienes, valores, derechos y obligaciones para dar a conocer el activo, pasivo y patrimonio con el que cuenta la empresa. Se diseñó los respectivos registros auxiliares como los registros de venta en el cual se detalló la forma de pago de las ventas ya sea en efectivo, crédito, cuentas por pagar o mediante transacciones bancarias; se realizaron roles de pagos donde se detalla los ingresos y egresos que percibe mensualmente cada empleado y el rol de provisiones donde constan las provisiones para cada empleado por concepto de beneficios sociales los mismos que faciliten la simplificación de los movimientos operacionales de la Empresa Comercial. Se realizó el proceso contable a través del sistema de control de inventarios permanente; en el cual fue necesario realizar un Inventario Inicial donde conste todos los bienes, derechos, valores y obligaciones, seguidamente se realizó el Estado de Situación Inicial que refleja el Activo, 3 Pasivo y Patrimonio al inicio de las actividades operacionales, luego se realizó el Libro Diario donde se registró las operaciones diarias, después se elaboró el Libro Mayor donde se detalla cada una de las cuentas de manera organizada y con los respectivos saldos, luego se realizó el Balance de Comprobación el cual resume y verifican la igualdad de los saldos deudores y acreedores, seguidamente se realizó la Hoja de Trabajo con respectivos ajustes y cierre de libros, Estado de Resultados que contiene los ingresos, costos y gastos, el Estadode Situación Financiera, contiene las cuentas de activo, pasivo, patrimonio y la utilidad al final del ejercicio económico, el Estado de Flujo del Efectivo muestra el efectivo originado y aplicado durante un periodo por la empresa en actividades de operación, inversión financiamiento, permitiendo de esta manera conocer la situación real económica y financierade la Empresa.Universidad Nacional de LojaCuenca Jiménez, Mery Jakeline2024-02-26T20:36:12Z2024-02-26T20:36:12Z2024-03-26info:eu-repo/semantics/publishedVersioninfo:eu-repo/semantics/bachelorThesis61 p.application/pdfhttps://dspace.unl.edu.ec/jspui/handle/123456789/29188spainfo:eu-repo/semantics/openAccessreponame:Repositorio Universidad Nacional de Lojainstname:Universidad Nacional de Lojainstacron:UNL2025-05-02T18:38:49Zoai:dspace.unl.edu.ec:123456789/29188Institucionalhttps://dspace.unl.edu.ec/Universidad públicahttps://unl.edu.ec/https://dspace.unl.edu.ec/oaiEcuador***opendoar:02025-05-02T18:38:49falseInstitucionalhttps://dspace.unl.edu.ec/Universidad públicahttps://unl.edu.ec/https://dspace.unl.edu.ec/oai*Ecuador***opendoar:02025-05-02T18:38:49Repositorio Universidad Nacional de Loja - Universidad Nacional de Lojafalse
spellingShingle ORGANIZACIÓN CONTABLE EN LA EMPRESA COMERCIAL DE LA SRA. DARQUEA SÁNCHEZ MARÍA CECILIA DE LA CIUDAD DE LOJA, PERÍODO DEL 01 DE ABRIL AL 30 DE JUNIO DEL 2023.
Herrera Herrera, Janina del Carmen
CONTABILIDAD Y AUDITORIA
ORGANIZACION CONTABLE
LOJA
EMPRESA
status_str publishedVersion
title ORGANIZACIÓN CONTABLE EN LA EMPRESA COMERCIAL DE LA SRA. DARQUEA SÁNCHEZ MARÍA CECILIA DE LA CIUDAD DE LOJA, PERÍODO DEL 01 DE ABRIL AL 30 DE JUNIO DEL 2023.
title_full ORGANIZACIÓN CONTABLE EN LA EMPRESA COMERCIAL DE LA SRA. DARQUEA SÁNCHEZ MARÍA CECILIA DE LA CIUDAD DE LOJA, PERÍODO DEL 01 DE ABRIL AL 30 DE JUNIO DEL 2023.
title_fullStr ORGANIZACIÓN CONTABLE EN LA EMPRESA COMERCIAL DE LA SRA. DARQUEA SÁNCHEZ MARÍA CECILIA DE LA CIUDAD DE LOJA, PERÍODO DEL 01 DE ABRIL AL 30 DE JUNIO DEL 2023.
title_full_unstemmed ORGANIZACIÓN CONTABLE EN LA EMPRESA COMERCIAL DE LA SRA. DARQUEA SÁNCHEZ MARÍA CECILIA DE LA CIUDAD DE LOJA, PERÍODO DEL 01 DE ABRIL AL 30 DE JUNIO DEL 2023.
title_short ORGANIZACIÓN CONTABLE EN LA EMPRESA COMERCIAL DE LA SRA. DARQUEA SÁNCHEZ MARÍA CECILIA DE LA CIUDAD DE LOJA, PERÍODO DEL 01 DE ABRIL AL 30 DE JUNIO DEL 2023.
title_sort ORGANIZACIÓN CONTABLE EN LA EMPRESA COMERCIAL DE LA SRA. DARQUEA SÁNCHEZ MARÍA CECILIA DE LA CIUDAD DE LOJA, PERÍODO DEL 01 DE ABRIL AL 30 DE JUNIO DEL 2023.
topic CONTABILIDAD Y AUDITORIA
ORGANIZACION CONTABLE
LOJA
EMPRESA
url https://dspace.unl.edu.ec/jspui/handle/123456789/29188