dc.contributorPeña Higuavita, Germán Adolfo
dc.creatorGaitán Zuleta, Lady Johanna
dc.creatorEstrada Villamarín, Leyda Andrea
dc.date.accessioned2024-02-16T15:26:43Z
dc.date.accessioned2024-08-05T16:17:36Z
dc.date.available2024-02-16T15:26:43Z
dc.date.available2024-08-05T16:17:36Z
dc.date.created2024-02-16T15:26:43Z
dc.date.issued2024
dc.identifierhttps://hdl.handle.net/10784/33313
dc.identifier658.155 G144
dc.identifier.urihttps://repositorioslatinoamericanos.uchile.cl/handle/2250/9538387
dc.description.abstractThe BPO services sector has shown significant growth in Colombia given the demand from companies abroad that have established service centers in different regions of the country. From a profitability perspective, this growth is an ideal scenario; however, the capital requirements to maintain these operations have generated significant challenges in the liquidity of companies in the sector. Although it is common to have some sources of resources via credit, through this research we aim to design a methodology for BPOs that allows them to sustain market demands without generating any type of financial stress because of poor liquidity management. This work is just one of the first contributions in the study of the subject, considering that there are no good practices for liquidity risk management in the real sector.
dc.languagespa
dc.publisherUniversidad EAFIT
dc.publisherMaestría en Administración Financiera
dc.publisherEscuela de Finanzas, Economía y Gobierno. Departamento de Finanzas
dc.publisherPereira
dc.rightsinfo:eu-repo/semantics/openAccess
dc.rightsAcceso abierto
dc.rightsTodos los derechos reservados
dc.subjectRiesgo
dc.subjectGestión de activos y pasivos
dc.subjectLiquidez
dc.subjectCrecimientos no esperados
dc.subjectIndicadores
dc.subjectInversiones
dc.titleMetodología para la gestión del riesgo de liquidez en compañías de servicios BPO
dc.typemasterThesis
dc.typeinfo:eu-repo/semantics/masterThesis


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