Copia de Copia de PLAN FINANCIERO GUARDERIA
Copia de Copia de PLAN FINANCIERO GUARDERIA
Copia de Copia de PLAN FINANCIERO GUARDERIA
CANTIDA
TOTAL DE FORMA DE FINANCIAMIENTO
VALOR D
RUBRO INVERSION
UNITARIO S/. NECESARI APORTE PROPIO PRESTAMO
REQUERIDA
A
INFRAESTRUCTURA S/. 8,800.00
Acondicionamiento de Local S/. 6,500.00 1 S/. 6,500.00
Instalaciones Eléctricas S/. 2,300.00 1 S/. 2,300.00
MAQUINARIA Y EQUIPO S/. 230,400.00
Maquina remalladora industrial marca SIRUBA S/. 2,800.00 2 S/. 5,600.00
Maquina recubridora industrial marca SIRUBA S/. 3,500.00 2 S/. 7,000.00
Maquina línia recta industrial marca SIRUBA S/. 2,000.00 2 S/. 4,000.00
Maquina ojalera industrial S/. 2,500.00 2 S/. 5,000.00
Maquina corta cinta S/. 2,000.00 2 S/. 4,000.00
Cortadora de tela S/. 450.00 2 S/. 900.00
plancha de sublimacion polos enteros S/. 30,000.00 1 S/. 30,000.00
impresora para sublimacion de polos enteros S/. 35,000.00 1 S/. 35,000.00
impresora pequeña para sublimación S/. 1,500.00 1 S/. 1,500.00
Maquina industrial para serigrafia S/. 3,000.00 1 S/. 3,000.00
Impresora multifuncional marca EPSON S/. 1,500.00 2 S/. 3,000.00
Lapto lenovo de 15" S/. 1,800.00 2 S/. 3,600.00
Computadora de mesa S/. 2,000.00 3 S/. 6,000.00
Bordadora 6 cabezales S/. 40,000.00 1 S/. 40,000.00
Camioneta 4x4 hilux S/. 80,000.00 1 S/. 80,000.00
plancha transfer 40x50 S/. 1,800.00 1 S/. 1,800.00
MUEBLES Y ENSERES S/. 12,110.00
Juego de sala S/. 1,600.00 1 S/. 1,600.00
Mesas S/. 350.00 3 S/. 1,050.00
Mesas de oficina S/. 1,200.00 1 S/. 1,200.00
Mesa de corte S/. 2,035.00 2 S/. 4,070.00
Mostrador de oficina S/. 2,000.00 1 S/. 2,000.00
Silla giratoria S/. 270.00 7 S/. 1,890.00
Sillas S/. 25.00 12 S/. 300.00
TV smart 55" pulgadas S/. 1,300.00 2 S/. 2,600.00
Aire acondicinado S/. 1,500.00 1 S/. 1,500.00
Ventiladores S/. 130.00 10 S/. 1,300.00
HERRAMIENTAS - S/. 13,610.00
Tinta para sublimado 1 litro S/. 500.00 12 S/. 6,000.00
Papel de sublimación rollo de 100 mtrs S/. 230.00 12 S/. 2,760.00
Material para serigrafia(estampado) S/. 2,400.00 1 S/. 2,400.00
Hilos de aguja (variedad de colores) S/. 4.00 250 S/. 1,000.00
Hilos de remalle (variedad de colores) S/. 5.00 200 S/. 1,000.00
Cintas de buzo(variedad de colores) S/. 3.50 100 S/. 350.00
Embudos de remalladora (2.5cm) S/. 25.00 2 S/. 50.00
Embudo de recubridora (2cm) S/. 25.00 2 S/. 50.00
Embudo recubridora doble dobles (3.5cm) S/. 30.00 2 S/. 60.00
Embudo recubridora doble dobles (5cm) S/. 35.00 2 S/. 70.00
Juegos de moldes completos S/. 800.00 2 S/. 1,600.00
Agujas de remalladora N°9,10,11 S/. 45.00 4 S/. 180.00
Agujas de recubridora N°9,10,11 S/. 45.00 4 S/. 180.00
Agujas de linea recta N°9.10.11 S/. 20.00 4 S/. 80.00
Elastico de 3.5 y 4cm S/. 28.00 12 S/. 336.00
Tijeras S/. 25.00 6 S/. 150.00
Piquetera 2.00 12 24.00
Telas (variedad de colores - 20Fardos) 400.00 20 8,000.00
TOTAL ACTIVO FIJO S/. 264,920.00 S/. 264,920.00
GASTOS PRE OPERATIVOS
Gestion de registro de Marca S/. 400.00 1 400.00
Licencia de Funcionamiento S/. 1,500.00 1 1,500.00
Notario e Inscripcion en SUNARP S/. 400.00 1 400.00
TOTAL DE GASTOS PREOPERATIVOS S/. 2,300.00 S/. 2,300.00
CAPITAL DE TRABAJO
Otros materiales S/. 3,000.00 1 3,000.00
mano de obra S/. 930.00 6 5,580.00
Servicio de Terceros S/. 3,000.00 1 3,000.00
Gastos Administrativos S/. 800.00 1 800.00
Gastos de Ventas S/. 400.00 1 400.00
TOTAL DE CAPITAL DE TRABAJO S/. S/. 12,780.00 S/. 12,780.00
TOTAL INVERSION Y FINANCIAMIENTO S/. 280,000.00 S/. 280,000.00
DEPRECIACIÓN
TOTAL
N° BIEN VALOR % MENSUAL TOTAL ANUAL 5 AÑOS
CANTID COSTO
RUBRO VALOR UNITARIO TOTAL
AD FIJO VARIABLE
COSTOS DIRECTOS S/. 6,314.29
MATERIALES S/. 3,000.00
Botones 24 S/. 1.00 S/. 24.00
Juego de reglas 2 S/. 15.00 S/. 30.00
Bolsas de brillo 200 S/. 5.00 S/. 1,000.00
Centimetros 6 S/. 2.00 S/. 12.00
Llaves de agujas 12 S/. 5.00 S/. 60.00
Aceite de máquina industrial 4 ltrs 12 S/. 40.00 S/. 480.00
Mostradores 5 S/. 250.00 S/. 1,250.00
Colgadores de madera 24 S/. 6.00 S/. 144.00
MANO DE OBRA DIRECTA S/. 5,580.00
Trabajadores 6 S/. 930.00 5,580.00 S/. 5,580.00
SERVICIOS DE TERCEROS
EN PRODUCCION S/. 423.00
Energía 1 S/ 400.00 S/ 400.00 S/. 400.00
Agua 1 S/ 23.00 S/ 23.00 S/. 23.00
DEPRECIACIÓN S/. 311.29 S/. 311.29
Activo Fijo S/ 311.29
COSTOS INDIRECTOS S/. 1,270.00
GASTOS ADMINISTRATIVOS S/. 800.00 S/. 800.00
Honorario 1 S/. 390.00 S/. 390.00
Combustible 12 S/. 15.00 S/. 180.00
Utiles de Escritorio 1 S/. 230.00 S/. 230.00
GASTOS DE VENTAS S/. 470.00 S/. 470.00
Publicidad radial S/. 350.00
Otros S/. 120.00
COSTO TOTAL S/. 7,584.29 S/. 2,004.29 S/. 5,580.00
CALCULADOS DEL COSTO UNITARIO INCLUYENDO COSTO
DIRECTOS Y COSTOS INDIRECTOS
Costo Total
Costo Unitario =
Cantidad de productos
7,584.29
Costo Unitario =
195
Este costo es en relacion solo el primer producto que ofreceremos que es los juegos recreativos
AÑO 2019 AÑO 2020 AÑO 2021 AÑO 2022 AÑO 2023
N° RUBRO P.U. CANT
Enero Febrero Marzo Abril Enero Febrero Marzo Abril Enero Febrero Marzo Abril Enero Febrero Marzo Abril Enero Febrero Marzo Abril
1 CHALECOS 55.00 80 4,400 4,400 4,400 4,400 2,750 2,750 2,750 2,750 3,850 3,850 3,850 3,850 4,950 4,950 4,950 4,950 6,050 6,050 6,050 6,050
2 CALSETINES 15.00 30 450.00 450 450 450 750 750 750 750 1,050 1,050 1,050 1,050 1,350 1,350 1,350 1,350 1,650 1,650 1,650 1,650
3 GORRAS 25.00 100 2,500 2,500 2,500 2,500 1,750 1,750 1,750 1,750 2,250 2,250 2,250 2,250 2,750 2,750 2,750 2,750 3,250 3,250 3,250 3,250
4 MALETINES DEPORTIVOS 55.00 90 4,950 4,950 4,950 4,950 3,300 3,300 3,300 3,300 4,400 4,400 4,400 4,400 5,500 5,500 5,500 5,500 6,600 6,600 6,600 6,600
5 ZAPATILLAS 220.00 120 26,400 26,400 26,400 26,400 14,300 14,300 14,300 14,300 18,700 18,700 18,700 18,700 23,100 23,100 23,100 23,100 27,500 27,500 27,500 27,500
AÑOS
N° RUBRO TOTAL
2019 2020 2021 2022 2023
1 Chalecos 52,800.00 33,000.00 46,200.00 59,400.00 72,600.00 264,000.00
2 Calsetines 5,400.00 9,000.00 12,600.00 16,200.00 19,800.00 63,000.00
3 gorras 30,000.00 21,000.00 27,000.00 33,000.00 39,000.00 150,000.00
4 maletines depotivos 59,400.00 39,600.00 52,800.00 66,000.00 79,200.00 297,000.00
5 zapatillas 316,800.00 171,600.00 224,400.00 277,200.00 330,000.00 1,320,000.00
TOTAL 464,400.00 274,200.00 363,000.00 451,800.00 540,600.00 2,094,000.00
RESUMEN POR AÑOS
AÑOS
N° RUBRO TOTAL
1 2 3 4 5
464,400.00 274,200.00 363,000.00 451,800.00 540,600.00 2,094,000.00
1 5,00 unidades de aguajina
464,400.00 274,200.00 363,000.00 451,800.00 540,600.00 2,094,000.00
FLUJO DE CAJA PROYECTADO PLAN DE NEGOCIOS
CONFECCIONES AMAZONAS SPORT SAC
SA=A + F
A.- CAJA INICIAL S/. 280,000.00 S/. 653,388.52 S/. 813,240.76 S/. 1,023,777.09 S/. 1,264,473.54
INGRESOS
VENTAS S/. 464,400.00 S/. 274,200.00 S/. 363,000.00 S/. 451,800.00 S/. 540,600.00
OTROS INGRESOS
B.- TOTAL DE INGRESOS S/. 464,400.00 S/. 274,200.00 S/. 363,000.00 S/. 451,800.00 S/. 540,600.00
Acondicionamiento para el taller S/. 8,800.00
Maquinaria y Equipo S/. 230,400.00
Herramientas S/. 12,110.00
Muebles y Enseres S/. 13,610.00
Gastos Pre Operativos S/. 2,300.00
Materiales S/. 3,000.00
Mano de Obra S/. 5,580.00 S/. 66,960.00 S/. 84,129.23 S/. 112,172.31 S/. 155,315.50 S/. 223,017.13
Servicios de Terceros S/. 3,000.00 S/. 5,076.00 S/. 6,377.54 S/. 8,503.38 S/. 11,773.92 S/. 16,906.14
Depreciación S/. - S/. 3,735.48 S/. 4,693.30 S/. 6,257.73 S/. 8,664.55 S/. 12,441.40
Gastos Administrativos S/. 800.00 S/. 9,600.00 S/. 12,061.54 S/. 16,082.05 S/. 22,267.46 S/. 31,973.78
Gastos de Ventas S/. 400.00 S/. 5,640.00 S/. 7,086.15 S/. 9,448.21 S/. 13,082.13 S/. 18,784.60
C.- TOTAL DE EGRESOS S/. 280,000.00 S/. 91,011.48 S/. 114,347.76 S/. 152,463.68 S/. 211,103.55 S/. 303,123.05
D.- SALDO ECONOMICO S/. 280,000.00 S/. 373,388.52 S/. 159,852.24 S/. 210,536.32 S/. 240,696.45 S/. 237,476.95
F.- SALDO NETO S/. 280,000.00 S/. 373,388.52 S/. 159,852.24 S/. 210,536.32 S/. 240,696.45 S/. 237,476.95
SALDO ACUMULADO S/. 280,000.00 S/. 653,388.52 S/. 813,240.76 S/. 1,023,777.09 S/. 1,264,473.54 S/. 1,501,950.49
CALCULO DEL PUNTO DE EQUILIBRIO
1,860
CVU. =
= 9.54
195
20 0.92
P.E. = 105 19.08
TENEMOS:
COSTO FIJO TOTAL = TOTAL INVERSION - COSTO VARIABLE TOTAL
APLICAMOS LA FORMULA:
S/. 14,382.60
ESTADO DE RESULTADOS INGRESO MENSUAL
CONFECCIONES AMAZONAS SPORT SAC
EXPRESADOS EN SOLES
AÑOS PROYECTADOS
RUBRO
ANO 1 AÑO 2 AÑO 3 AÑO 4 AÑO 5
INGRESOS (A)
Ventas S/. 464,400.00 S/. 274,200.00 S/. 363,000.00 S/. 451,800.00 S/. 540,600.00
TOTAL INGRESOS S/. 464,400.00 S/. 274,200.00 S/. 363,000.00 S/. 451,800.00 S/. 540,600.00
EGRESOS (B)
Mano de Obra Directa S/. 66,960.00 S/. 84,129.23 S/. 112,172.31 S/. 155,315.50 S/. 223,017.13
Servicios de Terceros en Produccion S/. 5,076.00 S/. 6,377.54 S/. 8,503.38 S/. 11,773.92 S/. 16,906.14
Gastos Administrativos S/. 9,600.00 S/. 12,061.54 S/. 16,082.05 S/. 22,267.46 S/. 31,973.78
Gastos de Ventas S/. 5,640.00 S/. 7,086.15 S/. 9,448.21 S/. 13,082.13 S/. 18,784.60
Depreciación S/. 3,735.48 S/. 4,693.30 S/. 6,257.73 S/. 8,664.55 S/. 12,441.40
TOTAL EGRESOS S/. 91,011.48 S/. 114,347.76 S/. 152,463.68 S/. 211,103.55 S/. 303,123.05
UTILIDAD BRUTA S/. 373,388.52 S/. 159,852.24 S/. 210,536.32 S/. 240,696.45 S/. 237,476.95
Impuesto a la Renta S/. 37,338.85 S/. 15,985.22 S/. 21,053.63 S/. 24,069.64 S/. 23,747.70
UTILIDAD NETA S/. 336,049.67 S/. 143,867.02 S/. 189,482.69 S/. 216,626.80 S/. 213,729.26
MICROEMPRESA DE GUARDERIA CANINA "LA CASITA AZUL" SAC
ESTADO DE RESULTADOS DE INGRESOS - EGRESOS MENSUAL
MESES
RUBRO
ENERO FEBRERO MARZO ABRIL MAYO JUNIO JULIO AGOSTO SEPTIEMBRE OCTUBRE NOVIEMBRE
INGRESOS S/. 38,700.00 S/. 38,700.00 S/. 38,700.00 S/. 38,700.00 S/. 38,700.00 S/. 38,700.00 S/. 38,700.00 S/. 38,700.00 S/. 38,700.00 S/. 38,700.00 S/. 38,700.00
EGRESOS S/. 7,584.29 S/. 7,584.29 S/. 7,584.29 S/. 7,584.29 S/. 7,584.29 S/. 7,584.29 S/. 7,584.29 S/. 7,584.29 S/. 7,584.29 S/. 7,584.29 S/. 7,584.29
SALDO S/. 31,115.71 S/. 31,115.71 S/. 31,115.71 S/. 31,115.71 S/. 31,115.71 S/. 31,115.71 S/. 31,115.71 S/. 31,115.71 S/. 31,115.71 S/. 31,115.71 S/. 31,115.71
IMPUESTO S/. 3,111.57 S/. 3,111.57 S/. 3,111.57 S/. 3,111.57 S/. 3,111.57 S/. 3,111.57 S/. 3,111.57 S/. 3,111.57 S/. 3,111.57 S/. 3,111.57 S/. 3,111.57
SALDO S/. 28,004.14 S/. 28,004.14 S/. 28,004.14 S/. 28,004.14 S/. 28,004.14 S/. 28,004.14 S/. 28,004.14 S/. 28,004.14 S/. 28,004.14 S/. 28,004.14 S/. 28,004.14
DICIEMBRE TOTAL
S/. 38,700.00 S/. 464,400.00
S/. 7,584.29 S/. 91,011.48
S/. 31,115.71 S/. 373,388.52
S/. 3,111.57 S/. 37,338.85
S/. 28,004.14 S/. 336,049.67
VALOR ACTUAL NETO
AÑO 0 1 2 3 4 5
FLUJO NETO DE FONDOS S/. 373,388.52 S/. 159,852.24 S/. 210,536.32 S/. 240,696.45 S/. 237,476.95
TASA DE DESCUENTO 0.00 0.00 0.00 0.00 0.00
FLUJOS ACTUALIZADOS S/. 373,388.52 S/. 159,852.24 S/. 210,536.32 S/. 240,696.45 S/. 237,476.95 S/. 1,221,950.49
(-) INVERSION INICIAL 280,000.00
VAN DE INVERSIONISTA S/.1,501,950.49
INVERSION 1 2 3 4 5
280,000.00 S/. 373,388.52 S/. 159,852.24 S/. 210,536.32 S/. 240,696.45 S/. 237,476.95
VAN S/.1,790,049.23
RBC= 2.05
El valor de S/. 2.17 soles significa que por cada sol que se invierta se recuperará S/.1.17 soles.
PROYECCION DE UTILIDADES 2019-2023
CONFECCIONES AMAZ0NAS SPORT SAC
EXPRESADOS EN SOLES
AÑOS PROYECTADOS
RUBRO
ANO 1 AÑO 2 AÑO 3 AÑO 4 AÑO 5
INGRESOS (A)
Ventas S/. 464,400.00 S/. 274,200.00 S/. 363,000.00 S/. 451,800.00 S/. 540,600.00
TOTAL INGRESOS S/. 464,400.00 S/. 274,200.00 S/. 363,000.00 S/. 451,800.00 S/. 540,600.00
EGRESOS (B)
Mano de Obra Directa S/. 66,960.00 S/. 84,129.23 S/. 112,172.31 S/. 155,315.50 S/. 223,017.13
Servicios de Terceros en Produccion S/. 5,076.00 S/. 6,377.54 S/. 8,503.38 S/. 11,773.92 S/. 16,906.14
Gastos Administrativos S/. 9,600.00 S/. 12,061.54 S/. 16,082.05 S/. 22,267.46 S/. 31,973.78
Gastos de Ventas S/. 5,640.00 S/. 7,086.15 S/. 9,448.21 S/. 13,082.13 S/. 18,784.60
Depreciación S/. 3,735.48 S/. 4,693.30 S/. 6,257.73 S/. 8,664.55 S/. 12,441.40
TOTAL EGRESOS S/. 91,011.48 S/. 114,347.76 S/. 152,463.68 S/. 211,103.55 S/. 303,123.05
UTILIDAD BRUTA S/. 373,388.52 S/. 159,852.24 S/. 210,536.32 S/. 240,696.45 S/. 237,476.95
Impuesto a la Renta S/. 37,338.85 S/. 15,985.22 S/. 21,053.63 S/. 24,069.64 S/. 23,747.70
UTILIDAD NETA S/. 336,049.67 S/. 143,867.02 S/. 189,482.69 S/. 216,626.80 S/. 213,729.26
PROYECCION DE INGRESOS Y EGRESOS 2019 - 2023
S/. 600,000.00 1 2 3 4 5
S/. 500,000.00
5
S/. 400,000.00
4
S/. 300,000.00
3
S/. 200,000.00
2
S/. 100,000.00
1
S/. -
TOTAL INGRESOS TOTAL EGRESOS
AÑO 1 2
TOTAL INGRESOS S/. 464,400.00 S/. 274,200.00
TOTAL EGRESOS S/. 91,011.48 S/. 114,347.76
En el presente gráfico indica que los ingresos por año son mayores a los egresos; lleg
es rentable dicho plan de negocios, y que si se debe invertir
3 4 5
S/. 363,000.00 S/. 451,800.00 S/. 540,600.00
S/. 152,463.68 S/. 211,103.55 S/. 303,123.05
Año 5
S/. 350,000.00
S/. 300,000.00 Año 4
S/. 250,000.00
S/. 200,000.00
Año 3
S/. 150,000.00
Año 2
S/. 100,000.00
S/. 50,000.00
Año 1
S/. -
Año 4 Año 5
S/. 216,626.80 S/. 213,729.26
Año 5
Año 4
Año 3
Año 2
Año 1
REMUNERACION DEL PERSONAL FIJO
RESIDENCIA CANINA 30 S/. 20.00 S/. 50.00 S/. 600.00 S/. 1,500.00 S/. 900.00
EDUCACION CANINA 30 S/. 25.00 S/. 45.00 S/. 750.00 S/. 1,350.00 S/. 600.00
BAÑO Y PELUQUERIA 50 S/. 15.00 S/. 30.00 S/. 750.00 S/. 1,500.00 S/. 750.00
CONSULTA 40 S/. 15.00 S/. 35.00 S/. 600.00 S/. 1,400.00 S/. 800.00
VACUNAS 45 S/. 12.00 S/. 20.00 S/. 540.00 S/. 900.00 S/. 360.00
195 S/. 6,650.00 S/. 3,410.00
Rentabilidad
Anual
S/. 10,800.00
S/. 7,200.00
S/. 9,000.00
S/. 9,600.00
S/. 4,320.00
S/. 40,920.00