Abstract

The article considers the possibility of making managerial decisions to achieve targets based on the analysis of the financial condition. The author, based on the analysis of the financial condition of the organization, assessing the importance of the liquidity and solvency of the enterprise and its positive impact on the achievement of production plans, determines the directions of a qualitative assessment of the current situation, the possibility of timely identification of resource management problems, including the effectiveness of their use and placement. The stability of the financial condition and its stability depend on the results of financial activity. As a result of the use of forecasting methods, a forecast of the values of liquidity coefficients is presented on the example of LLC «Techprogress».

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