“Análisis del flujo de efectivo en tiempos de Covid y Post Covid en la compañía de transporte escolar e Institucional Comtresin S.A.”
The main objective of this study was to examine the behavior of cash flow in the School and Institutional Transportation Company COMTRESIN S.A. in the context of the pandemic and its subsequent recovery (2020 - 2022). To achieve this, a research methodology of quantitative approach was used, being d...
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| Format: | bachelorThesis |
| Jezik: | spa |
| Izdano: |
2024
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| Teme: | |
| Online dostop: | http://repositorio.utc.edu.ec/handle/27000/12117 |
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| _version_ | 1862869144854069248 |
|---|---|
| author | Chuchimbo Changoluisa, Stalin David |
| author2 | Guamán Condorcana, Evelyn Nicoll |
| author2_role | author |
| author_facet | Chuchimbo Changoluisa, Stalin David Guamán Condorcana, Evelyn Nicoll |
| author_role | author |
| collection | Repositorio Universidad Técnica de Cotopaxi |
| dc.contributor.none.fl_str_mv | Chicaiza Herrera, Mayra Alexandra |
| dc.creator.none.fl_str_mv | Chuchimbo Changoluisa, Stalin David Guamán Condorcana, Evelyn Nicoll |
| dc.date.none.fl_str_mv | 2024-03-05T19:39:59Z 2024-03-05T19:39:59Z 2024 |
| dc.format.none.fl_str_mv | 126páginas application/pdf |
| dc.identifier.none.fl_str_mv | Chuchimbo Changoluisa y Stalin David, Guamán Condorcana Evelyn Nicoll (2024), “Análisis del flujo de efectivo en tiempos de Covid Y Post Covid en la compañía de transporte escolar e Institucional Comtresin S.A.” UTC. Latacunga. 126 p. PI-002798 http://repositorio.utc.edu.ec/handle/27000/12117 |
| dc.language.none.fl_str_mv | spa |
| dc.publisher.none.fl_str_mv | Ecuador : Latacunga: Universidad Técnica de Cotopaxi (UTC) |
| dc.rights.none.fl_str_mv | http://creativecommons.org/licenses/by-nc-sa/3.0/ec/ info:eu-repo/semantics/openAccess |
| dc.source.none.fl_str_mv | reponame:Repositorio Universidad Técnica de Cotopaxi instname:Universidad Técnica de Cotopaxi instacron:UTC |
| dc.subject.none.fl_str_mv | FLUJO DE EFECTIVO CONVID 19 POST COVID ESTADOS FINANCIEROS CONTABILIDAD Y AUDITORÍA |
| dc.title.none.fl_str_mv | “Análisis del flujo de efectivo en tiempos de Covid y Post Covid en la compañía de transporte escolar e Institucional Comtresin S.A.” |
| dc.type.none.fl_str_mv | info:eu-repo/semantics/publishedVersion info:eu-repo/semantics/bachelorThesis |
| description | The main objective of this study was to examine the behavior of cash flow in the School and Institutional Transportation Company COMTRESIN S.A. in the context of the pandemic and its subsequent recovery (2020 - 2022). To achieve this, a research methodology of quantitative approach was used, being documentary, bibliographic, and supported with interviews; using the descriptive, deductive, and explanatory method, to understand how the company has managed its cash flow, adapting to the changing conditions of the environment. The analysis of the company's financial data was included, to measure its efficiency in cash management. In general terms, it was observed that the company had successful management of its cash flow during the pandemic, whose most critical period was 2021; the strategies implemented of not getting into debt in the first two years, together with the good track record in the management of payments, were key to recover in the post-COVID period. It is noteworthy that operating revenues did not decline as might be expected, which means that the company was able to adapt to the situation, taking measures such as optimizing its services and routes to improve its cash flow. In the post-COVID phase, already in 2022, net operating cash flow grew by 1905.49%, reflecting the recovery of the company's operations. Accumulated cash tripled in value concerning the previous period and net income increased by 587.05%, reflecting a direct relationship between them. Liquidity or current ratio, immediate liquidity, and working capital grew in 2021, a scenario that changed in 2022 for the first two indicators, as they decreased by 75.86% and 55.95%, respectively, which occurred because debts grew significantly, although they remained positive |
| eu_rights_str_mv | openAccess |
| format | bachelorThesis |
| id | UTC_8b7f7cf50e25ff5253df28d6c183dae4 |
| identifier_str_mv | Chuchimbo Changoluisa y Stalin David, Guamán Condorcana Evelyn Nicoll (2024), “Análisis del flujo de efectivo en tiempos de Covid Y Post Covid en la compañía de transporte escolar e Institucional Comtresin S.A.” UTC. Latacunga. 126 p. PI-002798 |
| instacron_str | UTC |
| institution | UTC |
| instname_str | Universidad Técnica de Cotopaxi |
| language | spa |
| network_acronym_str | UTC |
| network_name_str | Repositorio Universidad Técnica de Cotopaxi |
| oai_identifier_str | oai:repositorio.utc.edu.ec:27000/12117 |
| publishDate | 2024 |
| publisher.none.fl_str_mv | Ecuador : Latacunga: Universidad Técnica de Cotopaxi (UTC) |
| reponame_str | Repositorio Universidad Técnica de Cotopaxi |
| repository.mail.fl_str_mv | . |
| repository.name.fl_str_mv | Repositorio Universidad Técnica de Cotopaxi - Universidad Técnica de Cotopaxi |
| repository_id_str | 0 |
| rights_invalid_str_mv | http://creativecommons.org/licenses/by-nc-sa/3.0/ec/ |
| spelling | “Análisis del flujo de efectivo en tiempos de Covid y Post Covid en la compañía de transporte escolar e Institucional Comtresin S.A.”Chuchimbo Changoluisa, Stalin DavidGuamán Condorcana, Evelyn NicollFLUJO DE EFECTIVOCONVID 19POST COVIDESTADOS FINANCIEROSCONTABILIDAD Y AUDITORÍAThe main objective of this study was to examine the behavior of cash flow in the School and Institutional Transportation Company COMTRESIN S.A. in the context of the pandemic and its subsequent recovery (2020 - 2022). To achieve this, a research methodology of quantitative approach was used, being documentary, bibliographic, and supported with interviews; using the descriptive, deductive, and explanatory method, to understand how the company has managed its cash flow, adapting to the changing conditions of the environment. The analysis of the company's financial data was included, to measure its efficiency in cash management. In general terms, it was observed that the company had successful management of its cash flow during the pandemic, whose most critical period was 2021; the strategies implemented of not getting into debt in the first two years, together with the good track record in the management of payments, were key to recover in the post-COVID period. It is noteworthy that operating revenues did not decline as might be expected, which means that the company was able to adapt to the situation, taking measures such as optimizing its services and routes to improve its cash flow. In the post-COVID phase, already in 2022, net operating cash flow grew by 1905.49%, reflecting the recovery of the company's operations. Accumulated cash tripled in value concerning the previous period and net income increased by 587.05%, reflecting a direct relationship between them. Liquidity or current ratio, immediate liquidity, and working capital grew in 2021, a scenario that changed in 2022 for the first two indicators, as they decreased by 75.86% and 55.95%, respectively, which occurred because debts grew significantly, although they remained positiveEl presente estudio tuvo como objetivo principal examinar el comportamiento del flujo de efectivo en la Compañía de Transporte Escolar e Institucional COMTRESIN S.A en el contexto de la pandemia y su posterior recuperación (2020 – 2022). Para lograrlo se empleó una metodología de investigación de enfoque cuantitativo, siendo de carácter documental, bibliográfico y apoyada con entrevistas; usando el método descriptivo, deductivo y explicativo, a fin de poder comprender cómo la empresa ha gestionado su flujo de efectivo, adaptándose a las condiciones cambiantes del entorno. Se incluyó el análisis de datos financieros de la empresa, para medir su eficiencia en la gestión del efectivo. En rasgos generales, se pudo observar que la empresa tuvo un manejo acertado de su flujo de efectivo durante la pandemia, cuyo período más crítico fue el de 2021; las estrategias implementadas de no endeudarse en los dos primeros años, junto al buen historial en el manejo de los pagos, fueron clave para recuperarse en el período post COVID. Es destacable que los ingresos operacionales no decayeron como se podría esperar, lo cual significa que la empresa supo adaptarse a la situación, tomando medidas como las de optimizar sus servicios y rutas, para mejorar su flujo de efectivo. En la fase post COVID, ya en 2022, el flujo de efectivo neto operacional creció en 1905,49%, lo cual refleja la recuperación de las operaciones de la empresa. El efectivo acumulado triplicó su valor respecto al período anterior y la utilidad neta se incrementó en 587,05%., reflejando una relación directa entre ellos. La liquidez o razón corriente, la liquidez inmediata y el capital de trabajo crecieron en 2021, panorama que cambió en 2022 para los dos primeros indicadores, pues decrecieron en 75,86% y 55,95%, respectivamente, lo cual ocurrió debido a que las deudas crecieron notablemente, aunque siguieron siendo positivos.Ecuador : Latacunga: Universidad Técnica de Cotopaxi (UTC)Chicaiza Herrera, Mayra Alexandra2024-03-05T19:39:59Z2024-03-05T19:39:59Z2024info:eu-repo/semantics/publishedVersioninfo:eu-repo/semantics/bachelorThesis126páginasapplication/pdfChuchimbo Changoluisa y Stalin David, Guamán Condorcana Evelyn Nicoll (2024), “Análisis del flujo de efectivo en tiempos de Covid Y Post Covid en la compañía de transporte escolar e Institucional Comtresin S.A.” UTC. Latacunga. 126 p.PI-002798http://repositorio.utc.edu.ec/handle/27000/12117spahttp://creativecommons.org/licenses/by-nc-sa/3.0/ec/info:eu-repo/semantics/openAccessreponame:Repositorio Universidad Técnica de Cotopaxiinstname:Universidad Técnica de Cotopaxiinstacron:UTC2024-03-05T19:39:59Zoai:repositorio.utc.edu.ec:27000/12117Institucionalhttp://repositorio.utc.edu.ec/Universidad públicahttps://www.utc.edu.ec/..Ecuador...opendoar:02026-04-19T03:39:02.318882Repositorio Universidad Técnica de Cotopaxi - Universidad Técnica de Cotopaxitrue |
| spellingShingle | “Análisis del flujo de efectivo en tiempos de Covid y Post Covid en la compañía de transporte escolar e Institucional Comtresin S.A.” Chuchimbo Changoluisa, Stalin David FLUJO DE EFECTIVO CONVID 19 POST COVID ESTADOS FINANCIEROS CONTABILIDAD Y AUDITORÍA |
| status_str | publishedVersion |
| title | “Análisis del flujo de efectivo en tiempos de Covid y Post Covid en la compañía de transporte escolar e Institucional Comtresin S.A.” |
| title_full | “Análisis del flujo de efectivo en tiempos de Covid y Post Covid en la compañía de transporte escolar e Institucional Comtresin S.A.” |
| title_fullStr | “Análisis del flujo de efectivo en tiempos de Covid y Post Covid en la compañía de transporte escolar e Institucional Comtresin S.A.” |
| title_full_unstemmed | “Análisis del flujo de efectivo en tiempos de Covid y Post Covid en la compañía de transporte escolar e Institucional Comtresin S.A.” |
| title_short | “Análisis del flujo de efectivo en tiempos de Covid y Post Covid en la compañía de transporte escolar e Institucional Comtresin S.A.” |
| title_sort | “Análisis del flujo de efectivo en tiempos de Covid y Post Covid en la compañía de transporte escolar e Institucional Comtresin S.A.” |
| topic | FLUJO DE EFECTIVO CONVID 19 POST COVID ESTADOS FINANCIEROS CONTABILIDAD Y AUDITORÍA |
| url | http://repositorio.utc.edu.ec/handle/27000/12117 |