Trabajo Final Contabilidad Esan
Trabajo Final Contabilidad Esan
Trabajo Final Contabilidad Esan
ANALISIS VERTICAL
ACTIVO 2011 % 2012 % 2013 %
ACTIVO CORRIENTE
Efectivo y Equivalentes al Efectivo 43,864.00 9.27% 61,129.00 12.03% 45,160.00 8.24%
Cuentas por Cobrar Comerciales 7,503.00 1.59% 6,095.00 1.20% 9,745.00 1.78%
Empresas Relacionadas 199,877.00 42.26% 210,702.00 41.47% 217,809.00 39.76%
Otras Cuentas por Cobrar 1,533.00 0.32% 6,221.00 1.22% 5,537.00 1.01%
Existencias 39,721.00 8.40% 40,967.00 8.06% 58,673.00 10.71%
Gastos pagados por Anticipado 9,488.00 2.01% 647.00 0.13% 1,191.00 0.22%
TOTAL ACTIVO CORRIENTE 301,986.00 63.85% 325,761.00 64.12% 338,115.00 61.72%
Otras cuentas por cobrar Largo Plazo 363.00 0.08% 366.00 0.07% 0.00 0.00%
IMMUEBLE MAQUINARIA EQUIPO 157,643.00 33.33% 170,379.00 33.54% 199,521.00 36.42%
INTANGIBLES 12,948.00 2.74% 11,548.00 2.27% 10,148.00 1.85%
TOTAL ACTIVO NO CORRIENTE 170,954.00 36.15% 182,293.00 35.88% 209,669.00 38.28%
ANALISIS VERTICAL
PASIVO 2011 % 2012 % 2013 %
PASIVO CORRIENTE
CTAS.POR PAGAR COMERCIALES 55,670.00 11.77% 56,216.00 11.06% 52,798.00 9.64%
Empresas Relacionadas 10,225.00 2.16% 13,707.00 2.70% 19,499.00 3.56%
Impouestos y Contribuciones 1,920.00 0.41% 3,230.00 0.64% 3,186.00 0.58%
Remuneraciones y Participaciones 7,199.00 1.52% 10,654.00 2.10% 12,739.00 2.33%
Otras Cuentas por Pagar 4,925.00 1.04% 6,914.00 1.36% 7,672.00 1.40%
TOTAL PASIVO CORRIENTE 79,939.00 16.90% 90,721.00 17.86% 95,894.00 17.51%
CAPITAL y PATRIMONIO
CAPITAL SOCIAL 79,361.00 16.78% 79,361.00 15.62% 79,361.00 14.49%
Acciones de Inversion 22,322.00 4.72% 22,322.00 4.39% 22,322.00 4.07%
RESERVA LEGAL 15,872.00 3.36% 15,872.00 3.12% 15,872.00 2.90%
RESULT.ACUMULADOS 245,365.00 51.88% 270,433.00 53.23% 305,120.00 55.70%
PATRIMONIO NETO 362,920.00 76.74% 387,988.00 76.37% 422,675.00 77.16%
Otras cuentas por cobrar Largo Plazo 363.00 0.83% 366.00 -100.00% 0.00 0.00%
IMMUEBLE MAQUINARIA EQUIPO 157,643.00 8.08% 170,379.00 17.10% 199,521.00 5.87%
INTANGIBLES 12,948.00 -10.81% 11,548.00 -12.12% 10,148.00 -13.80%
TOTAL ACTIVO NO CORRIENTE 170,954.00 6.63% 182,293.00 15.02% 209,669.00 4.92%
ANALISIS HORIZONTAL
CAPITAL y PATRIMONIO
CAPITAL SOCIAL 79,361.00 0.00% 79,361.00 0.00% 79,361.00 0.00%
Acciones de Inversion 22,322.00 0.00% 22,322.00 0.00% 22,322.00 0.00%
RESERVA LEGAL 15,872.00 0.00% 15,872.00 0.00% 15,872.00 0.00%
RESULT.ACUMULADOS 245,365.00 10.22% 270,433.00 12.83% 305,120.00 7.68%
PATRIMONIO NETO 362,920.00 6.91% 387,988.00 8.94% 422,675.00 5.55%
15,594.00 2.81%
11,658.00 2.10%
243,359.00 43.85%
7,762.00 1.40%
56,150.00 10.12%
504.00 0.09%
335,027.00 60.36%
0.00 0.00%
211,230.00 38.06%
8,748.00 1.58%
219,978.00 39.64%
555,005.00 100.00%
2014 %
45,953.00 8.28%
13,818.00 2.49%
2,370.00 0.43%
13,340.00 2.40%
7,089.00 1.28%
82,570.00 14.88%
26,322.00 4.74%
26,322.00 4.74%
108,892.00 19.62%
79,361.00 14.30%
22,322.00 4.02%
15,872.00 2.86%
328,558.00 59.20%
446,113.00 80.38%
555,005.00 100.00%
0.00%
2014
15,594.00
11,658.00
243,359.00
7,762.00
56,150.00
504.00
335,027.00
0.00
211,230.00
8,748.00
219,978.00
555,005.00
2014
45,953.00
13,818.00
2,370.00
13,340.00
7,089.00
82,570.00
26,322.00
26,322.00
108,892.00
79,361.00
22,322.00
15,872.00
328,558.00
446,113.00
555,005.00
-
ESTADO DE RESULTADOS
ANALISIS VERTICAL
DETALLE 2011 % 2012 % 2013 %
VENTAS 455,829.00 100.00% 456,009.00 100.00% 453,429.00 100.00%
COSTO DE VENTAS (368,891.00) -80.93% (357,705.00) -78.44% (338,740.00) -74.71%
UTILIDAD BRUTA 86,938.00 19.07% 98,304.00 21.56% 114,689.00 25.29%
(12,340.00) -2.98%
(26,192.00) -6.33%
540.00 0.13%
(10,389.00) -2.51%
(48,381.00) -11.70%
43,084.00 10.42%
7,810.00 1.89%
(976.00) -0.24%
820.00 0.20%
7,654.00 1.85%
50,738.00 12.27%
(16,256.00) -3.93%
34,482.00 8.34%
2014
413,600.00
(322,135.00)
91,465.00
(12,340.00)
(26,192.00)
540.00
(10,389.00)
(48,381.00)
43,084.00
7,810.00
(976.00)
820.00
7,654.00
50,738.00
-16,256.00
34,482.00
CURSO: CONTABILIDAD FINANCIERA GERENCIAL
NOMBRE................................................................................................
Otras cuentas por cobrar Largo Plazo 0 Otras cuentas por cobrar Largo Plazo 0
IMMUEBLE MAQUINARIA EQUIPO 211,230 IMMUEBLE MAQUINARIA EQUIPO 199,521
INTANGIBLES 8,748 INTANGIBLES 10,148
TOTAL ACTIVO NO CORRIENTE 219,978 TOTAL ACTIVO NO CORRIENTE 209,669
FECHA:..............................
0
410751
18896
(6845)
(5681)
(816)
601
(583)
(2893)
0
0
0
23438
Total
GRAFICO CIRCULAR
ANALISIS DE RATIOS
RATIOS DE LIQUIDEZ
2011 2012 2013
ACT CTE - GTOS PAG x ANT - EXISTENCIAS- CTAS x COB 43,864.00 45,160.00 15,594.00
PASIVO CORRIENTE 79,939.00 90,721.00 95,894.00
RATIOS DE LIQUIDEZ
4.00
3.50
3.00
2.50
2.00
1.50
1.00
0.50
0.00
2011 2012 2013 2014
ROTACION DE INVENTARIOS 39 41 62
ds ds ds
COSTO DE VENTAS 368,891.00 357,705.00 338,740.00
PROM INVENTARIOS 39,721.00 40,967.00 58,673.00
CICLO EFECTIVO
RATIOS DE GESTION
80
70
60
50
40
30
20
10
(10)
2011 2012 2013 2014
RATIOS DE ENDEUDAMIENTO
100.00%
80.00%
60.00%
40.00%
20.00%
0.00%
2011 2012 2013 2014
ENDEUDAMIENTO PATRIMONIAL
40.00%
30.00%
20.00%
10.00%
0.00%
2011 2012 2013 2
ENDEUDAMIENTO PATRIMO
RATIOS DE RENTABILIDAD 2011 2012 2013
RATIOS DE RENTABILIDAD
100.00%
80.00%
60.00%
40.00%
20.00%
0.00%
2011 2012 2013 2014
COSTO DE VENTAS GASTOS OPERATIVOS GASTOS FINANCIEROS
RATIOS DE RENTABILIDAD 2011 2012 2013
14.00%
12.00%
10.00%
8.00%
6.00%
4.00%
2.00%
0.00%
2011 2012 2013 2014
UTILIDAD OPERATIVA/ ACTIVO TOTAL (ROA) UTILIDAD NETA / ACTIVO TOTAL (ROA)