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Return-Path: <marketing@maeoda.org> Delivered-To: ventas@ifprc.com.pe Received: from pyme91.pymedns.net by pyme91.pymedns.net with LMTP id MOgeHo33kGKeKgAA++YgJQ (envelope-from <marketing@maeoda.org>) for <ventas@ifprc.com.pe>; Fri, 27 May 2022 12:08:45 -0400 Return-path: <marketing@maeoda.org> Envelope-to: ventas@ifprc.com.pe Delivery-date: Fri, 27 May 2022 12:08:45 -0400 Received: from maeoda.org ([128.199.38.250]:41967 helo=vps1.maeoda.org) by pyme91.pymedns.net with esmtps (TLS1.2) tls TLS_ECDHE_RSA_WITH_AES_256_GCM_SHA384 (Exim 4.94.2) (envelope-from <marketing@maeoda.org>) id 1nucVz-0002uA-Gg for ventas@ifprc.com.pe; Fri, 27 May 2022 12:08:45 -0400 Message-ID: <a0bcf55e3f7852faf6a315be7387ae6f652255@maeoda.org> Reply-To: =?utf-8?B?TWnDqXJjb2xlcyAyMi8wNg==?= <info-ae@ambit-customers.com> From: =?utf-8?B?TWnDqXJjb2xlcyAyMi8wNg==?= <marketing@maeoda.org> To: ventas@ifprc.com.pe Subject: Diplomado de Finanzas Date: Fri, 27 May 2022 11:07:54 -0500 MIME-Version: 1.0 Content-Type: multipart/alternative; boundary="218bc2fc8b4fc6e23e6b22b074b353436e6a" X-Spam-Status: No, score=3.3 X-Spam-Score: 33 X-Spam-Bar: +++ X-Ham-Report: Spam detection software, running on the system "pyme91.pymedns.net", has NOT identified this incoming email as spam. The original message has been attached to this so you can view it or label similar future email. If you have any questions, see root\@localhost for details. Content preview: Estimados señores: ventas@ifprc.com.pe lo invitamos a participar del seminario: ESPECIALIZACIÓN - ONLINE DIPLOMADO DE FINANZAS Inicio: Miércoles 22 de Junio Horario de 7:00 pm a 10:00 pm Content analysis details: (3.3 points, 7.0 required) pts rule name description ---- ---------------------- -------------------------------------------------- 0.0 URIBL_BLOCKED ADMINISTRATOR NOTICE: The query to URIBL was blocked. See http://wiki.apache.org/spamassassin/DnsBlocklists#dnsbl-block for more information. [URIs: wa.link] 1.3 RCVD_IN_BL_SPAMCOP_NET RBL: Received via a relay in bl.spamcop.net [Blocked - see <https://www.spamcop.net/bl.shtml?128.199.38.250>] 2.0 BAYES_50 BODY: Bayes spam probability is 40 to 60% [score: 0.5000] -0.0 SPF_PASS SPF: sender matches SPF record 0.0 HTML_MESSAGE BODY: HTML included in message -0.0 T_SCC_BODY_TEXT_LINE No description available. 0.0 KAM_SHORT Use of a URL Shortener for very short URL 0.0 UPPERCASE_75_100 message body is 75-100% uppercase X-Spam-Flag: NO --218bc2fc8b4fc6e23e6b22b074b353436e6a Content-Type: text/plain; charset="utf-8" Content-Transfer-Encoding: quoted-printable Estimados se=C3=B1ores:=C2=A0ventas@ifprc.com.pe lo invitamos a participa= r del seminario: ESPECIALIZACI=C3=93N - ONLINE DIPLOMADO DE FINANZAS Inicio: Mi=C3=A9rcoles 22 de Junio Horario de 7:00 pm a 10:00 pm CONTENIDO: 1. FUNDAMENTOS FINANCIEROS - 6 HORAS VALOR DEL DINERO EN EL TIEMPO. TASA DE INTER=C3=89S: SIMPLE Y COMPUESTA, = NOMINAL Y EFECTIVA, NOMINAL Y REAL, EN MN Y ME, ETC. FLUJO DE FINANCIAMIE= NTO Y SERVICIO DE DEUDA. ANUALIDADES. INDICADORES DE RENTABILIDAD DE PROY= ECTOS DE INVERSI=C3=93N (VAN, TIR, PR, I B/C). 2. CONTABILIDAD GERENCIAL - 6 HORAS LA CONTABILIDAD Y LOS ESTADOS FINANCIEROS. EL BALANCE GENERAL Y EL ESTADO= DE RESULTADOS. AN=C3=81LISIS DE ESTADOS FINANCIEROS. ESTADO DE FLUJO DE = CAJA POR ACTIVIDAD. GESTI=C3=93N DEL CAPITAL DE TRABAJO. COSTOS RELEVANTE= S Y AN=C3=81LISIS DEL MARGEN DE CONTRIBUCI=C3=93N. COSTEO BASADO EN ACTIV= IDADES. 3. GESTI=C3=93N DEL FLUJO DE CAJA EN EXCEL =E2=80=93 6 HORAS =C2=BFQU=C3=89 ES UN FLUJO DE CAJA Y PORQU=C3=89 ES IMPORTANTE? MOTIVOS P= OR LOS CUALES LAS EMPRESAS DESEAR=C3=8DAN CONTAR CON EFECTIVO. OPERACIONE= S; IMPREVISTOS; INVERSIONES INTER TEMPORALES EL FLUJO DE CAJA COMO BASE P= ARA LA FORMULACI=C3=93N DE POL=C3=8DTICAS DE GESTI=C3=93N EMPRESARIAL. CA= PITAL DE TRABAJO; VENTAS; CRXDITOS Y COBRANZAS. NEGOCIACI=C3=93N CON PROV= EEDORES; FINANCIAMIENTO Y OTROS ASPECTOS. DIVERSAS Y SIMULT=C3=81NEAS INT= ERPRETACIONES DEL FLUJO DE CAJA.=C2=A0 PUNTO DE VISTA ADMINISTRATIVO; PUN= TO DE VISTA OPERATIVO; PUNTO DE VISTA FINANCIERO, DE TESORER=C3=8DA Y DE = LAS INVERSIONES. ENTRADAS Y SALIDAS DE EFECTIVO. POL=C3=8DTICA COMERCIAL = DE LA EMPRESA. POL=C3=8DTICA DE NEGOCIACI=C3=93N CON EL PROVEEDOR. DETERM= INACI=C3=93N DEL SALDO O CAJA FINAL. IMPACTO DEL ENDEUDAMIENTO. SENSIBILI= DAD DEL FLUJO DE CAJA. =C2=BFC=C3=93MO ANALIZA EL BANCO SU FLUJO DE CAJA?= DESARROLLO DE CASU=C3=8DSTICA: DIVERSAS SITUACIONES DE NEGOCIOS EN LAS E= MPRESAS, DESARROLLADAS Y ANALIZADAS A LO LARGO DE TODO EL SEMINARIO - TAL= LER. 4. COSTOS, PUNTO DE EQUILIBRIO Y PRESUPUESTOS EN EXCEL =E2=80=93 6 HORAS=C2= =A0 GESTI=C3=93N DE COSTOS CONCEPTO DE COSTOS PARA GESTORES DIFERENCIA ENTRE = COSTO Y GASTO CLASIFICACIONES DE COSTOS ASIGNACI=C3=93N DE COSTOS INDIREC= TOS AN=C3=81LISIS DE PUNTO DE EQUILIBRIO APALANCAMIENTO OPERATIVO GESTI=C3= =93N DE PRESUPUESTOS DEFINICI=C3=93N DE PRESUPUESTOS CARACTER=C3=8DSTICAS= TIPOS DE PRESUPUESTOS PRESUPUESTO DE VENTAS USO DE TENDENCIAS EN EXCEL P= ROMEDIOS M=C3=93VILES MODELO DE REGRESI=C3=93N LINEAL SIMPLE PRESUPUESTOS= OPERATIVOS C=C3=81LCULO DE INVENTARIOS PRESUPUESTO DE MANO DE OBRA DIREC= TA PRESUPUESTO DE COMPRA DE MATERIALES DIRECTOS PRESUPUESTO DE COSTOS IND= IRECTOS DE FABRICACI=C3=93N PRESUPUESTO DE COSTOS DE PRODUCCI=C3=93N PRES= UPUESTO DE COSTO DE VENTAS PRESUPUESTO DE GASTOS OPERATIVOS 5. INSTRUMENTOS Y OPERACIONES FINANCIERAS - 6 HORAS IMPORTANCIA DE LOS MERCADOS FINANCIEROS PARA EL DESARROLLO EMPRESARIAL. A= N=C3=81LISIS DE INSTRUMENTOS DE RENTA FIJA (LETRA, PAGAR=C3=89, PAPELES C= OMERCIALES, BONOS, ETC). OPERACIONES FINANCIERAS (DESCUENTO DE LETRAS, FA= CTORING, DESCUENTO POR PRONTO PAGO, PR=C3=89STAMO BANCARIO VS. LEASING). = AN=C3=81LISIS DE INSTRUMENTOS DE RENTA VARIABLE (ACCIONES, ADR=C2=B4S, ET= C.). INTRODUCCI=C3=93N A LA TITULIZACI=C3=93N DE ACTIVOS Y FIDEICOMISOS. = BONOS TITULIZADOS. INSTRUMENTOS FINANCIEROS DERIVADOS: FORWARDS, FUTUROS,= SWAPS Y OPCIONES. MAYORES INFORMES=C2=A0CLICK AQU=C3=8D. CONSULTAS: =C2=A0+51 96 086 2972=C2=A0 | +51 93 662 3496=20 =E2=80=8A Este correo ventas@ifprc.com.pe ha sido enviado=C2=A0 Darse de baja --218bc2fc8b4fc6e23e6b22b074b353436e6a Content-Type: text/html; charset="utf-8" Content-Transfer-Encoding: quoted-printable <html lang=3Den xmlns:v=3Durn:schemas-microsoft-com:vml xmlns:o=3Durn:sch= emas-microsoft-com:office:office><head> <meta http-equiv=3D"Content-Type" content=3D"text/html; charset=3Dutf-8"> <meta name=3Dviewport content=3D"width=3Ddevice-width,initial-scale=3D1">= <!--><LINK rel=3Dstylesheet type=3Dtext/css href=3D"https://fonts.googlea= pis.com/css?family=3DCabin"><LINK rel=3Dstylesheet type=3Dtext/css href=3D= "https://fonts.googleapis.com/css?family=3DLato"><LINK rel=3Dstylesheet t= ype=3Dtext/css href=3D"https://fonts.googleapis.com/css?family=3DMontserr= at"><LINK rel=3Dstylesheet type=3Dtext/css href=3D"https://fonts.googleap= is.com/css?family=3DAbril+Fatface"><LINK rel=3Dstylesheet type=3Dtext/css= href=3D"https://fonts.googleapis.com/css?family=3DRoboto"><LINK rel=3Dst= ylesheet type=3Dtext/css href=3D"https://fonts.googleapis.com/css?family=3D= Bitter"><!--<![endif]--> <style>* { BOX-SIZING: border-box } BODY { PADDING-BOTTOM: 0px; PADDING-TOP: 0px; PADDING-LEFT: 0px; MARGIN: 0px; P= ADDING-RIGHT: 0px } A[x-apple-data-detectors] { COLOR: !important } #MessageViewBody A { TEXT-DECORATION: none; COLOR:=20 } P { =09 } .desktop_hide { OVERFLOW: hidden; DISPLAY: none; MAX-HEIGHT: 0px; mso-hide: all } .desktop_hide TABLE { OVERFLOW: hidden; DISPLAY: none; MAX-HEIGHT: 0px; mso-hide: all } @media Unknown =20 { .row-content { WIDTH: 100% !important } .column .border { DISPLAY: none } .mobile_hide { DISPLAY: none } TABLE { TABLE-LAYOUT: fixed !important } .stack .column { WIDTH: 100%; DISPLAY: block } .mobile_hide { OVERFLOW: hidden; FONT-SIZE: 0px; MAX-WIDTH: 0px; MIN-HEIGHT: 0px; MAX-H= EIGHT: 0px } .desktop_hide { DISPLAY: table !important; MAX-HEIGHT: none !important } .desktop_hide TABLE { DISPLAY: table !important; MAX-HEIGHT: none !important } .reverse { WIDTH: 100%; DISPLAY: table } .reverse .column { DISPLAY: table-header-group !important } .row-1 TD.column > TABLE { PADDING-LEFT: 0px; PADDING-RIGHT: 0px } } </style> <meta name=3DGENERATOR content=3D"-[OUTLOOK_VER]-"></head> <body style=3D"PADDING-BOTTOM: 0px; PADDING-TOP: 0px; PADDING-LEFT: 0px; = MARGIN: 0px; PADDING-RIGHT: 0px; BACKGROUND-COLOR: #fff; -webkit-text-siz= e-adjust: none; text-size-adjust: none"> <table role=3Dpresentation class=3Dnl-container style=3D"BACKGROUND-COLOR= : #fff; mso-table-lspace: 0; mso-table-rspace: 0" cellSpacing=3D0 cellPad= ding=3D0 width=3D"100%" border=3D0> <tbody> <tr> <td> <table role=3Dpresentation class=3D"row row-1" style=3D"mso-table-lspace:= 0; mso-table-rspace: 0" cellSpacing=3D0 cellPadding=3D0 width=3D"100%" a= lign=3Dcenter border=3D0> <tbody> <tr> <td> <table role=3Dpresentation class=3D"row-content stack" style=3D"WIDTH: 73= 5px; COLOR: #000; BACKGROUND-COLOR: #fff; mso-table-lspace: 0; mso-table-= rspace: 0" cellSpacing=3D0 cellPadding=3D0 width=3D735 align=3Dcenter bor= der=3D0> <tbody> <tr class=3Dreverse> <td class=3D"column column-1 last" style=3D"BORDER-LEFT-WIDTH: 0px; BORDE= R-RIGHT-WIDTH: 0px; VERTICAL-ALIGN: top; BORDER-BOTTOM-WIDTH: 0px; FONT-W= EIGHT: 400; PADDING-BOTTOM: 0px; TEXT-ALIGN: left; PADDING-TOP: 0px; BORD= ER-TOP-WIDTH: 0px; mso-table-lspace: 0; mso-table-rspace: 0" width=3D"100= %"> <table role=3Dpresentation class=3Dtext_block style=3D"mso-table-lspace: = 0; mso-table-rspace: 0" cellSpacing=3D0 cellPadding=3D10 width=3D"100%" b= order=3D0> <tbody> <tr> <td> <div style=3D"FONT-FAMILY: Arial,sans-serif"> <div class=3DtxtTinyMce-wrapper style=3D"FONT-SIZE: 12px; FONT-FAMILY: Ar= ial,'Helvetica Neue',Helvetica,sans-serif; COLOR: #000; LINE-HEIGHT: 1.5;= mso-line-height-alt: 18px"> <p style=3D"FONT-SIZE: 16px; TEXT-ALIGN: center; MARGIN: 0px; mso-line-he= ight-alt: 21px"><span style=3D"FONT-SIZE: 14px">Estimados se=C3=B1ores:&n= bsp;ventas@ifprc.com.pe lo invitamos a participar del seminario:</span><b= r> </p> <p style=3D"FONT-SIZE: 16px; TEXT-ALIGN: center; MARGIN: 0px; mso-line-he= ight-alt: 21px"><span style=3D"FONT-SIZE: 14px"><strong>ESPECIALIZACI=C3=93= N - ONLINE</strong></span></p> <p style=3D"FONT-SIZE: 16px; TEXT-ALIGN: center; MARGIN: 0px; mso-line-he= ight-alt: 18px"> </p> <p style=3D"FONT-SIZE: 16px; TEXT-ALIGN: center; MARGIN: 0px"><span style= =3D"COLOR: #3971fd"><span style=3D"FONT-SIZE: 28px"><strong><span>DIPLOMA= DO DE FINANZAS<br><span style=3D"FONT-SIZE: 20px">Inicio: Mi=C3=A9rcoles = 22 de Junio</span><br><span style=3D"FONT-SIZE: 20px">Horario de 7:00 pm = a 10:00 pm</span></span></strong></span></span></p> <p style=3D"FONT-SIZE: 16px; TEXT-ALIGN: center; MARGIN: 0px; mso-line-he= ight-alt: 18px"> </p> <p style=3D"FONT-SIZE: 16px; TEXT-ALIGN: center; MARGIN: 0px; mso-line-he= ight-alt: 18px"> </p> <p style=3D"FONT-SIZE: 16px; MARGIN: 0px; mso-line-height-alt: 33px"><spa= n style=3D"FONT-SIZE: 22px; COLOR: #3971fd"><strong><span><u><span>CONTEN= IDO:</span></u></span></strong></span></p> <p style=3D"FONT-SIZE: 16px; MARGIN: 0px; mso-line-height-alt: 18px">&nbs= p;</p> <p style=3D"FONT-SIZE: 16px; MARGIN: 0px"><strong><span style=3D"FONT-SIZ= E: 16px">1. FUNDAMENTOS FINANCIEROS - 6 HORAS</span></strong></p></div></= div></td></tr></tbody></table> <table role=3Dpresentation class=3Dlist_block style=3D"mso-table-lspace: = 0; mso-table-rspace: 0" cellSpacing=3D0 cellPadding=3D10 width=3D"100%" b= order=3D0> <tbody> <tr> <td> <ul style=3D"FONT-SIZE: 16px; FONT-FAMILY: Arial,Helvetica Neue,Helvetica= ,sans-serif; FONT-WEIGHT: 400; COLOR: #393d47; PADDING-BOTTOM: 0px; DIREC= TION: ltr; TEXT-ALIGN: left; PADDING-TOP: 0px; PADDING-LEFT: 0px; MARGIN:= 0px 0px 0px 20px; LETTER-SPACING: 0px; LINE-HEIGHT: 150%; PADDING-RIGHT:= 0px"> <li style=3D"LIST-STYLE-TYPE: none"> <ul style=3D"PADDING-BOTTOM: 0px; PADDING-TOP: 0px; PADDING-LEFT: 0px; MA= RGIN: 0px; PADDING-RIGHT: 0px"> <li style=3D"MARGIN-BOTTOM: 0px; MARGIN-LEFT: 40px">VALOR DEL DINERO EN E= L TIEMPO.=20 <li style=3D"MARGIN-BOTTOM: 0px; MARGIN-LEFT: 40px">TASA DE INTER=C3=89S:= SIMPLE Y COMPUESTA, NOMINAL Y EFECTIVA, NOMINAL Y REAL, EN MN Y ME, ETC.= =20 <li style=3D"MARGIN-BOTTOM: 0px; MARGIN-LEFT: 40px">FLUJO DE FINANCIAMIEN= TO Y SERVICIO DE DEUDA.=20 <li style=3D"MARGIN-BOTTOM: 0px; MARGIN-LEFT: 40px">ANUALIDADES.=20 <li style=3D"MARGIN-LEFT: 40px">INDICADORES DE RENTABILIDAD DE PROYECTOS = DE INVERSI=C3=93N (VAN, TIR, PR, I B/C).</li></ul></li></ul></td></tr></t= body></table> <table role=3Dpresentation class=3Dtext_block style=3D"mso-table-lspace: = 0; mso-table-rspace: 0" cellSpacing=3D0 cellPadding=3D10 width=3D"100%" b= order=3D0> <tbody> <tr> <td> <div style=3D"FONT-FAMILY: Arial,sans-serif"> <div class=3DtxtTinyMce-wrapper style=3D"FONT-SIZE: 12px; FONT-FAMILY: Ar= ial,'Helvetica Neue',Helvetica,sans-serif; COLOR: #000; LINE-HEIGHT: 1.5;= mso-line-height-alt: 18px"> <p style=3D"FONT-SIZE: 16px; MARGIN: 0px; mso-line-height-alt: 24px"><spa= n style=3D"FONT-SIZE: 16px"> </span><strong><span style=3D"FONT-SIZE= : 16px">2. CONTABILIDAD GERENCIAL - 6 HORAS</span></strong></p></div></di= v></td></tr></tbody></table> <table role=3Dpresentation class=3Dlist_block style=3D"mso-table-lspace: = 0; mso-table-rspace: 0" cellSpacing=3D0 cellPadding=3D10 width=3D"100%" b= order=3D0> <tbody> <tr> <td> <ul style=3D"FONT-SIZE: 16px; FONT-FAMILY: Arial,Helvetica Neue,Helvetica= ,sans-serif; FONT-WEIGHT: 400; COLOR: #393d47; PADDING-BOTTOM: 0px; DIREC= TION: ltr; TEXT-ALIGN: left; PADDING-TOP: 0px; PADDING-LEFT: 0px; MARGIN:= 0px 0px 0px 20px; LETTER-SPACING: 0px; LINE-HEIGHT: 150%; PADDING-RIGHT:= 0px"> <li style=3D"LIST-STYLE-TYPE: none"> <ul style=3D"PADDING-BOTTOM: 0px; PADDING-TOP: 0px; PADDING-LEFT: 0px; MA= RGIN: 0px; PADDING-RIGHT: 0px"> <li style=3D"MARGIN-BOTTOM: 0px; MARGIN-LEFT: 40px">LA CONTABILIDAD Y LOS= ESTADOS FINANCIEROS.=20 <li style=3D"MARGIN-BOTTOM: 0px; MARGIN-LEFT: 40px">EL BALANCE GENERAL Y = EL ESTADO DE RESULTADOS.=20 <li style=3D"MARGIN-BOTTOM: 0px; MARGIN-LEFT: 40px">AN=C3=81LISIS DE ESTA= DOS FINANCIEROS.=20 <li style=3D"MARGIN-BOTTOM: 0px; MARGIN-LEFT: 40px">ESTADO DE FLUJO DE CA= JA POR ACTIVIDAD.=20 <li style=3D"MARGIN-BOTTOM: 0px; MARGIN-LEFT: 40px">GESTI=C3=93N DEL CAPI= TAL DE TRABAJO.=20 <li style=3D"MARGIN-BOTTOM: 0px; MARGIN-LEFT: 40px">COSTOS RELEVANTES Y A= N=C3=81LISIS DEL MARGEN DE CONTRIBUCI=C3=93N.=20 <li style=3D"MARGIN-LEFT: 40px">COSTEO BASADO EN ACTIVIDADES.</li></ul></= li></ul></td></tr></tbody></table> <table role=3Dpresentation class=3Dtext_block style=3D"mso-table-lspace: = 0; mso-table-rspace: 0" cellSpacing=3D0 cellPadding=3D10 width=3D"100%" b= order=3D0> <tbody> <tr> <td> <div style=3D"FONT-FAMILY: Arial,sans-serif"> <div class=3DtxtTinyMce-wrapper style=3D"FONT-SIZE: 12px; FONT-FAMILY: Ar= ial,'Helvetica Neue',Helvetica,sans-serif; COLOR: #000; LINE-HEIGHT: 1.5;= mso-line-height-alt: 18px"> <p style=3D"FONT-SIZE: 16px; MARGIN: 0px; mso-line-height-alt: 24px"><spa= n style=3D"FONT-SIZE: 16px"> </span><strong><span style=3D"FONT-SIZE= : 16px">3. GESTI=C3=93N DEL FLUJO DE CAJA EN EXCEL =E2=80=93 6 HORAS</spa= n></strong></p></div></div></td></tr></tbody></table> <table role=3Dpresentation class=3Dlist_block style=3D"mso-table-lspace: = 0; mso-table-rspace: 0" cellSpacing=3D0 cellPadding=3D10 width=3D"100%" b= order=3D0> <tbody> <tr> <td> <ul style=3D"FONT-SIZE: 16px; FONT-FAMILY: Arial,Helvetica Neue,Helvetica= ,sans-serif; FONT-WEIGHT: 400; COLOR: #393d47; PADDING-BOTTOM: 0px; DIREC= TION: ltr; TEXT-ALIGN: left; PADDING-TOP: 0px; PADDING-LEFT: 0px; MARGIN:= 0px 0px 0px 20px; LETTER-SPACING: 0px; LINE-HEIGHT: 150%; PADDING-RIGHT:= 0px"> <li style=3D"LIST-STYLE-TYPE: none"> <ul style=3D"PADDING-BOTTOM: 0px; PADDING-TOP: 0px; PADDING-LEFT: 0px; MA= RGIN: 0px; PADDING-RIGHT: 0px"> <li style=3D"MARGIN-BOTTOM: 0px; MARGIN-LEFT: 40px">=C2=BFQU=C3=89 ES UN = FLUJO DE CAJA Y PORQU=C3=89 ES IMPORTANTE?=20 <li style=3D"MARGIN-BOTTOM: 0px; MARGIN-LEFT: 40px">MOTIVOS POR LOS CUALE= S LAS EMPRESAS DESEAR=C3=8DAN CONTAR CON EFECTIVO.=20 <li style=3D"MARGIN-BOTTOM: 0px; MARGIN-LEFT: 40px">OPERACIONES; IMPREVIS= TOS; INVERSIONES INTER TEMPORALES=20 <li style=3D"MARGIN-BOTTOM: 0px; MARGIN-LEFT: 40px">EL FLUJO DE CAJA COMO= BASE PARA LA FORMULACI=C3=93N DE POL=C3=8DTICAS DE GESTI=C3=93N EMPRESAR= IAL.=20 <li style=3D"MARGIN-BOTTOM: 0px; MARGIN-LEFT: 40px">CAPITAL DE TRABAJO; V= ENTAS; CRXDITOS Y COBRANZAS.=20 <li style=3D"MARGIN-BOTTOM: 0px; MARGIN-LEFT: 40px">NEGOCIACI=C3=93N CON = PROVEEDORES; FINANCIAMIENTO Y OTROS ASPECTOS.=20 <li style=3D"MARGIN-BOTTOM: 0px; MARGIN-LEFT: 40px">DIVERSAS Y SIMULT=C3=81= NEAS INTERPRETACIONES DEL FLUJO DE CAJA. =20 <li style=3D"MARGIN-BOTTOM: 0px; MARGIN-LEFT: 40px">PUNTO DE VISTA ADMINI= STRATIVO; PUNTO DE VISTA OPERATIVO; PUNTO DE VISTA FINANCIERO, DE TESORER= =C3=8DA Y DE LAS INVERSIONES.=20 <li style=3D"MARGIN-BOTTOM: 0px; MARGIN-LEFT: 40px">ENTRADAS Y SALIDAS DE= EFECTIVO. POL=C3=8DTICA COMERCIAL DE LA EMPRESA. POL=C3=8DTICA DE NEGOCI= ACI=C3=93N CON EL PROVEEDOR.=20 <li style=3D"MARGIN-BOTTOM: 0px; MARGIN-LEFT: 40px">DETERMINACI=C3=93N DE= L SALDO O CAJA FINAL. IMPACTO DEL ENDEUDAMIENTO.=20 <li style=3D"MARGIN-BOTTOM: 0px; MARGIN-LEFT: 40px">SENSIBILIDAD DEL FLUJ= O DE CAJA. =C2=BFC=C3=93MO ANALIZA EL BANCO SU FLUJO DE CAJA?=20 <li style=3D"MARGIN-LEFT: 40px">DESARROLLO DE CASU=C3=8DSTICA: DIVERSAS S= ITUACIONES DE NEGOCIOS EN LAS EMPRESAS, DESARROLLADAS Y ANALIZADAS A LO L= ARGO DE TODO EL SEMINARIO - TALLER.</li></ul></li></ul></td></tr></tbody>= </table> <table role=3Dpresentation class=3Dtext_block style=3D"mso-table-lspace: = 0; mso-table-rspace: 0" cellSpacing=3D0 cellPadding=3D10 width=3D"100%" b= order=3D0> <tbody> <tr> <td> <div style=3D"FONT-FAMILY: Arial,sans-serif"> <div class=3DtxtTinyMce-wrapper style=3D"FONT-SIZE: 12px; FONT-FAMILY: Ar= ial,'Helvetica Neue',Helvetica,sans-serif; COLOR: #000; LINE-HEIGHT: 1.5;= mso-line-height-alt: 18px"> <p style=3D"FONT-SIZE: 16px; MARGIN: 0px; mso-line-height-alt: 24px"><spa= n style=3D"FONT-SIZE: 16px"> </span><strong><span style=3D"FONT-SIZE= : 16px">4. COSTOS, PUNTO DE EQUILIBRIO Y PRESUPUESTOS EN EXCEL =E2=80=93 = 6 HORAS </span></strong></p></div></div></td></tr></tbody></table> <table role=3Dpresentation class=3Dlist_block style=3D"mso-table-lspace: = 0; mso-table-rspace: 0" cellSpacing=3D0 cellPadding=3D10 width=3D"100%" b= order=3D0> <tbody> <tr> <td> <ul style=3D"FONT-SIZE: 16px; FONT-FAMILY: Arial,Helvetica Neue,Helvetica= ,sans-serif; FONT-WEIGHT: 400; COLOR: #393d47; PADDING-BOTTOM: 0px; DIREC= TION: ltr; TEXT-ALIGN: left; PADDING-TOP: 0px; PADDING-LEFT: 0px; MARGIN:= 0px 0px 0px 20px; LETTER-SPACING: 0px; LINE-HEIGHT: 150%; PADDING-RIGHT:= 0px"> <li style=3D"LIST-STYLE-TYPE: none"> <ul style=3D"PADDING-BOTTOM: 0px; PADDING-TOP: 0px; PADDING-LEFT: 0px; MA= RGIN: 0px; PADDING-RIGHT: 0px"> <li style=3D"MARGIN-BOTTOM: 0px; MARGIN-LEFT: 40px">GESTI=C3=93N DE COSTO= S=20 <li style=3D"MARGIN-BOTTOM: 0px; MARGIN-LEFT: 40px">CONCEPTO DE COSTOS PA= RA GESTORES=20 <li style=3D"MARGIN-BOTTOM: 0px; MARGIN-LEFT: 40px">DIFERENCIA ENTRE COST= O Y GASTO=20 <li style=3D"MARGIN-BOTTOM: 0px; MARGIN-LEFT: 40px">CLASIFICACIONES DE CO= STOS=20 <li style=3D"MARGIN-BOTTOM: 0px; MARGIN-LEFT: 40px">ASIGNACI=C3=93N DE CO= STOS INDIRECTOS=20 <li style=3D"MARGIN-BOTTOM: 0px; MARGIN-LEFT: 40px">AN=C3=81LISIS DE PUNT= O DE EQUILIBRIO=20 <li style=3D"MARGIN-BOTTOM: 0px; MARGIN-LEFT: 40px">APALANCAMIENTO OPERAT= IVO=20 <li style=3D"MARGIN-BOTTOM: 0px; MARGIN-LEFT: 40px">GESTI=C3=93N DE PRESU= PUESTOS=20 <li style=3D"MARGIN-BOTTOM: 0px; MARGIN-LEFT: 40px">DEFINICI=C3=93N DE PR= ESUPUESTOS=20 <li style=3D"MARGIN-BOTTOM: 0px; MARGIN-LEFT: 40px">CARACTER=C3=8DSTICAS=20 <li style=3D"MARGIN-BOTTOM: 0px; MARGIN-LEFT: 40px">TIPOS DE PRESUPUESTOS= =20 <li style=3D"MARGIN-BOTTOM: 0px; MARGIN-LEFT: 40px">PRESUPUESTO DE VENTAS= =20 <li style=3D"MARGIN-BOTTOM: 0px; MARGIN-LEFT: 40px">USO DE TENDENCIAS EN = EXCEL=20 <li style=3D"MARGIN-BOTTOM: 0px; MARGIN-LEFT: 40px">PROMEDIOS M=C3=93VILE= S=20 <li style=3D"MARGIN-BOTTOM: 0px; MARGIN-LEFT: 40px">MODELO DE REGRESI=C3=93= N LINEAL SIMPLE=20 <li style=3D"MARGIN-BOTTOM: 0px; MARGIN-LEFT: 40px">PRESUPUESTOS OPERATIV= OS=20 <li style=3D"MARGIN-BOTTOM: 0px; MARGIN-LEFT: 40px">C=C3=81LCULO DE INVEN= TARIOS=20 <li style=3D"MARGIN-BOTTOM: 0px; MARGIN-LEFT: 40px">PRESUPUESTO DE MANO D= E OBRA DIRECTA=20 <li style=3D"MARGIN-BOTTOM: 0px; MARGIN-LEFT: 40px">PRESUPUESTO DE COMPRA= DE MATERIALES DIRECTOS=20 <li style=3D"MARGIN-BOTTOM: 0px; MARGIN-LEFT: 40px">PRESUPUESTO DE COSTOS= INDIRECTOS DE FABRICACI=C3=93N=20 <li style=3D"MARGIN-BOTTOM: 0px; MARGIN-LEFT: 40px">PRESUPUESTO DE COSTOS= DE PRODUCCI=C3=93N=20 <li style=3D"MARGIN-BOTTOM: 0px; MARGIN-LEFT: 40px">PRESUPUESTO DE COSTO = DE VENTAS=20 <li style=3D"MARGIN-LEFT: 40px">PRESUPUESTO DE GASTOS OPERATIVOS</li></ul= ></li></ul></td></tr></tbody></table> <table role=3Dpresentation class=3Dtext_block style=3D"mso-table-lspace: = 0; mso-table-rspace: 0" cellSpacing=3D0 cellPadding=3D10 width=3D"100%" b= order=3D0> <tbody> <tr> <td> <div style=3D"FONT-FAMILY: Arial,sans-serif"> <div class=3DtxtTinyMce-wrapper style=3D"FONT-SIZE: 12px; FONT-FAMILY: Ar= ial,'Helvetica Neue',Helvetica,sans-serif; COLOR: #000; LINE-HEIGHT: 1.5;= mso-line-height-alt: 18px"> <p style=3D"FONT-SIZE: 16px; MARGIN: 0px; mso-line-height-alt: 24px"><spa= n style=3D"FONT-SIZE: 16px"> </span><strong><span style=3D"FONT-SIZE= : 16px">5. INSTRUMENTOS Y OPERACIONES FINANCIERAS - 6 HORAS</span></stron= g></p></div></div></td></tr></tbody></table> <table role=3Dpresentation class=3Dlist_block style=3D"mso-table-lspace: = 0; mso-table-rspace: 0" cellSpacing=3D0 cellPadding=3D10 width=3D"100%" b= order=3D0> <tbody> <tr> <td> <ul style=3D"FONT-SIZE: 16px; FONT-FAMILY: Arial,Helvetica Neue,Helvetica= ,sans-serif; FONT-WEIGHT: 400; COLOR: #393d47; PADDING-BOTTOM: 0px; DIREC= TION: ltr; TEXT-ALIGN: left; PADDING-TOP: 0px; PADDING-LEFT: 0px; MARGIN:= 0px 0px 0px 20px; LETTER-SPACING: 0px; LINE-HEIGHT: 150%; PADDING-RIGHT:= 0px"> <li style=3D"LIST-STYLE-TYPE: none"> <ul style=3D"PADDING-BOTTOM: 0px; PADDING-TOP: 0px; PADDING-LEFT: 0px; MA= RGIN: 0px; PADDING-RIGHT: 0px"> <li style=3D"MARGIN-BOTTOM: 0px; MARGIN-LEFT: 40px">IMPORTANCIA DE LOS ME= RCADOS FINANCIEROS PARA EL DESARROLLO EMPRESARIAL.=20 <li style=3D"MARGIN-BOTTOM: 0px; MARGIN-LEFT: 40px">AN=C3=81LISIS DE INST= RUMENTOS DE RENTA FIJA (LETRA, PAGAR=C3=89, PAPELES COMERCIALES, BONOS, E= TC).=20 <li style=3D"MARGIN-BOTTOM: 0px; MARGIN-LEFT: 40px">OPERACIONES FINANCIER= AS (DESCUENTO DE LETRAS, FACTORING, DESCUENTO POR PRONTO PAGO, PR=C3=89ST= AMO BANCARIO VS. LEASING).=20 <li style=3D"MARGIN-BOTTOM: 0px; MARGIN-LEFT: 40px">AN=C3=81LISIS DE INST= RUMENTOS DE RENTA VARIABLE (ACCIONES, ADR=C2=B4S, ETC.).=20 <li style=3D"MARGIN-BOTTOM: 0px; MARGIN-LEFT: 40px">INTRODUCCI=C3=93N A L= A TITULIZACI=C3=93N DE ACTIVOS Y FIDEICOMISOS. BONOS TITULIZADOS.=20 <li style=3D"MARGIN-LEFT: 40px">INSTRUMENTOS FINANCIEROS DERIVADOS: FORWA= RDS, FUTUROS, SWAPS Y OPCIONES.</li></ul></li></ul></td></tr></tbody></ta= ble> <table role=3Dpresentation class=3Dtext_block style=3D"mso-table-lspace: = 0; mso-table-rspace: 0" cellSpacing=3D0 cellPadding=3D10 width=3D"100%" b= order=3D0> <tbody> <tr> <td> <div style=3D"FONT-FAMILY: Arial,sans-serif"> <div class=3DtxtTinyMce-wrapper style=3D"FONT-SIZE: 12px; FONT-FAMILY: Ar= ial,'Helvetica Neue',Helvetica,sans-serif; COLOR: #000; LINE-HEIGHT: 1.5;= mso-line-height-alt: 18px"> <p style=3D"FONT-SIZE: 16px; MARGIN: 0px"><strong></strong> </p> <p style=3D"FONT-SIZE: 16px; MARGIN: 0px; mso-line-height-alt: 30px"><spa= n style=3D"FONT-SIZE: 20px; COLOR: #0d77be"><strong><span style=3D"COLOR:= #3971fd">MAYORES INFORM<span>ES</span></span><span><span style=3D"COLOR:= #3d2da4"> </span><a style=3D"TEXT-DECORATION: underline; COLOR: #e1= 200e" href=3D"https://wa.link/roj1a3" rel=3Dnoopener target=3D_blank>CLIC= K AQU=C3=8D.</a></span></strong></span><br><span style=3D"FONT-SIZE: 20px= ; COLOR: #0d77be"><strong><span><span style=3D"COLOR: #3d2da4"><span styl= e=3D"COLOR: #3971fd">CONSULTAS:</span> </span> <span style=3D"COLOR:= #cf0d0d"><a title=3Dtel:960862972 style=3D"TEXT-DECORATION: underline; C= OLOR: #e1200e" href=3Dtel:960862972 rel=3Dnoopener target=3D_blank>+51 96= 086 2972</a> | <a title=3D936623496 style=3D"TEXT-DECORATION: unde= rline; COLOR: #e1200e" href=3Dtel:936623496 rel=3Dnoopener target=3D_blan= k>+51 93 662 3496</a></span></span></strong></span> </p></div></div></td>= </tr></tbody></table></td></tr></tbody></table></td></tr></tbody></table> <table role=3Dpresentation class=3D"row row-2" style=3D"mso-table-lspace:= 0; mso-table-rspace: 0" cellSpacing=3D0 cellPadding=3D0 width=3D"100%" a= lign=3Dcenter border=3D0> <tbody> <tr> <td> <table role=3Dpresentation class=3D"row-content stack" style=3D"COLOR: #0= 00; mso-table-lspace: 0; mso-table-rspace: 0" cellSpacing=3D0 cellPadding= =3D0 width=3D735 align=3Dcenter border=3D0> <tbody> <tr> <td class=3D"column column-1" style=3D"BORDER-LEFT-WIDTH: 0px; BORDER-RIG= HT-WIDTH: 0px; VERTICAL-ALIGN: top; BORDER-BOTTOM-WIDTH: 0px; FONT-WEIGHT= : 400; PADDING-BOTTOM: 0px; TEXT-ALIGN: left; PADDING-TOP: 0px; BORDER-TO= P-WIDTH: 0px; mso-table-lspace: 0; mso-table-rspace: 0" width=3D"100%"> <div class=3Dspacer_block style=3D"FONT-SIZE: 1px; HEIGHT: 20px; LINE-HEI= GHT: 20px">=E2=80=8A</div> <div align=3Dcenter><font size=3D1 face=3DTahoma>Este correo ventas@ifprc= .com.pe ha sido enviado <br><a href=3D"mailto:remover@banareply.com= ?subject=3DDarse%20de%20baja">Darse de baja</a></font></div></td></tr></t= body></table></td></tr></tbody></table></td></tr></tbody></table><!-- End= --></body></html> --218bc2fc8b4fc6e23e6b22b074b353436e6a--