Bibliographic citations
Tafur, F., (2019). Flujo de caja y su relación con la liquidez en la empresa de transportes y servicios Virgen de la Puerta S.A. Lima, 2017 [Tesis, Universidad Privada del Norte]. https://hdl.handle.net/11537/21707
Tafur, F., Flujo de caja y su relación con la liquidez en la empresa de transportes y servicios Virgen de la Puerta S.A. Lima, 2017 [Tesis]. PE: Universidad Privada del Norte; 2019. https://hdl.handle.net/11537/21707
@misc{renati/525147,
title = "Flujo de caja y su relación con la liquidez en la empresa de transportes y servicios Virgen de la Puerta S.A. Lima, 2017",
author = "Tafur Reap, Franklin Alberto",
publisher = "Universidad Privada del Norte",
year = "2019"
}
The main objective of this research work is to demonstrate how cash flow relates to liquidity, and specific objectives to establish how cash flow relates to cash control and to demonstrate how cash flow is related to cash flow. of cash is related to the availability of cash in the Company of Transportation and Services Virgen de la Puerta SA Lima, 2017. The research was developed under the descriptive correlational design, it has been taken as a population and shows census to seven employees, the statement of financial position and cash flow. The techniques used were the survey and documentary analysis. In the present investigation, it was concluded that, if there is a relationship between cash flow and liquidity, if there is a relationship between cash flow and cash control, if there is a relationship between cash flow and cash flow. cash availability at the Virgen de la Puerta SA Transportation and Services Company Lima, 2017. As a result, the hypotheses and objectives set out in the investigation were determined.
This item is licensed under a Creative Commons License