Caso 2 - Practicas Pre Ii
Caso 2 - Practicas Pre Ii
Caso 2 - Practicas Pre Ii
Grupo 3
Ataupillco Munsibayes Veronica
Canales Apaza Coraly
Carhuachin Romero Karyme
De la Cruz Pinedo Yadira
Novoa Taboada Leyla
Lima, 2022
PRESUPUESTO DE INGRESOS, COSTOS Y GASTOS
ENERO FEBRERO MARZO ABRIL MAYO JUNIO TOTAL
VENTAS 115,000.00 138,000.00 165,600.00 198,720.00 238,464.00 286,156.80 1,141,940.80
COSTO DE VENTAS (38,000.00) (41,800.00) (45,980.00) (50,578.00) (55,635.80) (61,199.38) (293,193.18)
UTILIDAD BRUTA 77,000.00 96,200.00 119,620.00 148,142.00 182,828.20 224,957.42 848,747.62
GASTOS DE OPERACIÓN
SUELDOS (10,919.54) (12,011.49) (13,212.64) (14,533.91) (15,987.30) (17,586.03) (84,250.91)
ESSALUD (982.76) (1,081.03) (1,189.14) (1,308.05) (1,438.86) (1,582.74) (7,582.58)
CTS (958.57) (1,049.57) (1,149.66) (4,400.82) (1,380.89) (1,514.11) (10,453.62)
GRATIFICACION (1,983.72) (2,182.09) (2,400.30) (2,640.33) (2,904.36) (7,057.98) (19,168.77)
HONORARIOS (8,444.44) (9,288.89) (10,217.78) (11,239.56) (12,363.51) (13,599.86) (14,959.85)
LUZ, AGUA , TELEF. (1,500.00) (1,650.00) (1,815.00) (1,996.50) (2,196.15) (2,415.77) (11,573.42)
UTILIDAD OPERATIVA 52,210.97 68,936.92 89,635.48 112,022.84 146,557.14 181,200.92 700,758.47
OTROS INGRESOS Y EGRESOS
INGRESOS FINANCIEROS 2,000.00 2,400.00 2,880.00 3,456.00 4,147.20 4,976.64 19,859.84
GASTOS FINANCIEROS (500.00) (550.00) (605.00) (665.50) (732.05) (805.26) (3,857.81)
UTILIDAD ANTES DE IMP. 53,710.97 70,786.92 91,910.48 114,813.34 149,972.29 185,372.31 716,760.50
I.R. 29.5% (15,844.74) (20,882.14) (27,113.59) (33,869.93) (44,241.82) (54,684.83) (211,444.35)
UTILIDAD NETA 37,866.23 49,904.78 64,796.89 80,943.40 105,730.46 130,687.48 505,316.16
FLUJO DE CAJA
ENERO FEBRERO MARZO ABRIL MAYO JUNIO TOTAL
SALDO INICIAL 5,000.00 69,946.11 115,222.48 176,431.83 257,382.30 355,286.28 5,000.00
INGRESOS
VENTAS 83,300.00 136,850.00 164,220.00 197,064.00 236,476.80 283,772.16 1,101,682.96
INGRESOS FINANCIEROS 2,000.00 2,400.00 2,880.00 3,456.00 4,147.20 4,976.64 19,859.84
TOTAL INGRESOS 85,300.00 139,250.00 167,100.00 200,520.00 240,624.00 288,748.80 1,121,542.80
EGRESOS
TRIBUTOS POR PAGAR (800.00) -27,244.35 -32,488.44 -38,827.10 -46,344.73 -55,341.11 (201,045.74)
SUELDOS (9,500.00) (10,450.00) (11,495.00) (12,644.50) (13,908.95) (15,299.85) (73,298.30)
CTS (7,558.62) (7,558.62)
PROVEEDOR MERCADERIA (45,220.00) (49,742.00) (54,716.20) (60,187.82) (66,206.60) (276,072.62)
PROVEEDOR SERVICIOS (1,785.00) (1,963.50) (2,159.85) (2,375.84) (2,613.42) (2,874.76) (13,772.36)
HONORARIOS (7,768.89) (8,545.78) (9,400.36) (10,340.39) (11,374.43) (12,511.87) (13,763.06)
GASTOS FINANCIEROS (500.00) (550.00) (605.00) (665.50) (732.05) (805.26) (3,857.81)
TOTAL EGRESOS (20,353.89) (93,973.63) (105,890.65) (119,569.53) (142,720.02) (153,039.45) (589,368.51)
FLUJO NETO DEL MES 64,946.11 45,276.37 61,209.35 80,950.47 97,903.98 135,709.35 532,174.29
SALDO FINAL 69,946.11 115,222.48 176,431.83 257,382.30 355,286.28 490,995.63 537,174.29
ANEXOS
ENERO FEBRERO MARZO ABRIL MAYO
IGV:
VENTAS 20,700.00 24,840.00 29,808.00 35,769.60 42,923.52
COMPRAS:
MERCADERIAS -6,840.00 -7,524.00 -8,276.40 -9,104.04 -10,014.44
SERVICIOS -270.00 -297.00 -326.70 -359.37 -395.31
TOTAL IGV 13,590.00 17,019.00 21,204.90 26,306.19 32,513.77
CALCULO GRATIFICACION