Corrida Ecoturismo
Corrida Ecoturismo
Corrida Ecoturismo
Subtotal
TOTAL
Costo de Precio de
PLATILLO Produccion Venta
Mojarra frita $ 45.00 $ 64.00
Mojarra al Mojo de Ajo $ 45.00 $ 64.00
Mojarra a la veracruzana $ 45.00 $ 64.00
Mojarra en caldo $ 45.00 $ 64.00
Mojarra a la diabla $ 45.00 $ 64.00
Pescado frito $ 50.00 $ 74.00
Pescado al mojo de ajo $ 50.00 $ 74.00
Pescado empanizado $ 50.00 $ 74.00
Caldo de Pescado $ 50.00 $ 74.00
Pescado a la diabla $ 50.00 $ 74.00
Caldo de camarn $ 50.00 $ 84.00
Camaron al mojo de ajo $ 50.00 $ 84.00
Camaron empanizado $ 50.00 $ 84.00
Camaron a la diabla $ 50.00 $ 84.00
Camaron a la veracruzana $ 50.00 $ 84.00
Pechuga de pollo frita $ 25.00 $ 38.00
Pechuga asada $ 25.00 $ 38.00
Pechuga a la Mexicana $ 25.00 $ 38.00
Pechuga empanizada $ 25.00 $ 38.00
Bistec de res azada $ 25.00 $ 38.00
Bistes de res a la mexicana $ 25.00 $ 38.00
Bistec de res frita $ 25.00 $ 38.00
Codornis frita $ 25.00 $ 38.00
codornis enchilada $ 25.00 $ 38.00
Botellas de agua chica $ 4.00 $ 8.00
Botella de agua 1 litro $ 5.00 $ 10.00
Jarra de agua $ 15.00 $ 30.00
Refrescos $ 5.00 $ 10.00
UNIDADES VEND
PRESUPUESTO DE
Presupuesto de Egresos
CONCEPTO ENERO FEB MAR
Mojarra frita 900.0 1,125.0 2,025.0
Mojarra al Mojo de Ajo 810.0 810.0 1,125.0
Mojarra a la veracruzana 450.0 450.0 675.0
Mojarra en caldo 675.0 675.0 1,125.0
Mojarra a la diabla 900.0 1,125.0 1,440.0
Pescado frito 1,000.0 1,250.0 1,600.0
Pescado al mojo de ajo 1,000.0 1,250.0 1,500.0
Pescado empanizado 500.0 750.0 1,000.0
Caldo de Pescado 750.0 1,000.0 1,250.0
Pescado a la diabla 500.0 500.0 1,250.0
Caldo de camarn 250.0 250.0 450.0
Camaron al mojo de ajo 250.0 250.0 450.0
Camaron empanizado 750.0 750.0 1,750.0
Camaron a la diabla 350.0 350.0 1,250.0
Camaron a la veracruzana 500.0 500.0 1,050.0
Pechuga de pollo frita 300.0 300.0 500.0
Pechuga asada 250.0 375.0 375.0
Pechuga a la Mexicana 300.0 300.0 300.0
Pechuga empanizada 250.0 250.0 625.0
Bistec de res azada 250.0 250.0 625.0
Bistes de res a la mexicana 250.0 375.0 500.0
Bistec de res frita 250.0 500.0 500.0
Codornis frita 125.0 125.0 450.0
codornis enchilada 250.0 375.0 500.0
Botellas de agua chica 20.0 20.0 72.0
Botella de agua 1 litro 15.0 15.0 75.0
Jarra de agua 120.0 120.0 300.0
Refrescos 50.0 100.0 100.0
Total 12,015.0 14,140.0 22,862.0
UNIDADES VENDIDAS /MES
PRESUPUESTO DE INGRESOS
resupuesto de Egresos
ABR MAY JUN JUL AG SEPT OCT NOV DIC
5,400.0 4,275.0 4,275.0 4,275.0 3,375.0 3,375.0 3,375.0 4,275.0 4,275.0
5,400.0 4,050.0 4,050.0 4,050.0 4,050.0 4,050.0 4,050.0 4,050.0 4,050.0
1,350.0 900.0 900.0 900.0 900.0 900.0 900.0 900.0 900.0
2,925.0 2,250.0 2,250.0 2,250.0 2,250.0 2,250.0 2,250.0 2,250.0 2,250.0
3,375.0 2,250.0 2,250.0 2,250.0 2,250.0 2,250.0 2,250.0 2,250.0 2,250.0
3,750.0 2,500.0 2,500.0 2,500.0 2,500.0 2,500.0 2,500.0 2,500.0 2,500.0
4,250.0 3,750.0 3,750.0 3,750.0 3,750.0 3,750.0 3,750.0 3,750.0 3,750.0
2,000.0 1,500.0 1,500.0 1,500.0 1,750.0 1,750.0 1,750.0 1,750.0 1,750.0
2,000.0 1,600.0 1,600.0 1,600.0 1,600.0 1,600.0 1,600.0 1,600.0 1,600.0
2,000.0 1,250.0 1,250.0 1,250.0 1,600.0 1,600.0 1,600.0 1,600.0 1,600.0
1,750.0 1,000.0 1,000.0 1,000.0 1,000.0 1,000.0 1,000.0 1,000.0 1,000.0
1,750.0 1,000.0 1,000.0 1,000.0 1,000.0 1,000.0 1,000.0 1,000.0 1,000.0
3,500.0 3,000.0 3,000.0 3,000.0 3,000.0 3,000.0 3,000.0 3,000.0 3,000.0
3,000.0 3,000.0 3,000.0 3,000.0 3,000.0 3,000.0 3,000.0 3,000.0 3,000.0
2,000.0 1,750.0 1,750.0 1,750.0 1,750.0 1,750.0 1,750.0 1,750.0 1,750.0
1,000.0 1,000.0 1,000.0 1,000.0 1,000.0 1,000.0 1,000.0 1,000.0 1,000.0
500.0 625.0 625.0 625.0 625.0 625.0 625.0 625.0 625.0
300.0 750.0 750.0 750.0 300.0 300.0 750.0 750.0 750.0
375.0 1,250.0 1,250.0 1,250.0 1,250.0 1,250.0 1,250.0 1,250.0 1,250.0
375.0 1,250.0 1,250.0 1,250.0 1,250.0 1,250.0 1,250.0 1,250.0 1,250.0
375.0 1,250.0 1,250.0 1,250.0 1,250.0 1,250.0 1,250.0 1,250.0 1,250.0
250.0 1,250.0 1,250.0 1,250.0 1,250.0 1,250.0 1,250.0 1,250.0 1,250.0
200.0 1,000.0 1,000.0 1,000.0 1,000.0 1,000.0 1,000.0 1,000.0 1,000.0
250.0 1,250.0 1,250.0 1,250.0 1,250.0 1,250.0 1,250.0 1,250.0 1,250.0
32.0 160.0 160.0 160.0 160.0 160.0 160.0 160.0 160.0
25.0 150.0 150.0 150.0 150.0 150.0 150.0 150.0 150.0
120.0 600.0 600.0 600.0 600.0 600.0 600.0 600.0 600.0
50.0 200.0 200.0 200.0 200.0 200.0 200.0 200.0 200.0
48,302.0 44,810.0 44,810.0 44,810.0 44,060.0 44,060.0 44,510.0 45,410.0 45,410.0
TOTAL ANUAL
910.0
901.0
225.0
520.0
552.0
552.0
760.0
350.0
356.0
320.0
214.0
214.0
615.0
579.0
361.0
404.0
260.0
252.0
460.0
460.0
460.0
460.0
356.0
455.0
356.0
266.0
364.0
380.0
12362
TOTAL
57,664
14,400
33,280
35,328
40,848
56,240
25,900
26,344
23,680
17,976
17,976
51,660
48,636
30,324
15,352
9,880
9,576
17480
17,480
17,480
17,480
13,528
17,290
2,848
2,660
10,920
3,800
-
636,030
TOTAL
40,950.0
40,545.0
10,125.0
23,400.0
24,840.0
27,600.0
38,000.0
17,500.0
17,800.0
16,000.0
10,700.0
10,700.0
30,750.0
28,950.0
18,050.0
10,100.0
6,500.0
6,300.0
11,500.0
11,500.0
11,500.0
11,500.0
8,900.0
11,375.0
1,424.0
1,330.0
5,460.0
1,900.0
455,199.0
Proyecto Ecoturistico
Total
$ 21,200.00
$ 75,800.00
$ 897,000.00
$ 1,345,500.00
$ 232,000.00
$ 68,000.00
$ 108,000.00
$ 2,747,500.00
Proyecto Ecoturistico
Presupuesto Anual de Ingresos
Proyeccion de ventas
Concepto Ao 1 Ao 2 Ao 3
24,541.65 25,768.73
87,747.98 92,135.37
1,038,389.63 1,090,309.11
1,557,584.44 1,635,463.66
268,569.00 281,997.45
78,718.50 82,654.43
125,023.50 131,274.68
736,284.23 773,098.44
- -
3,916,858.92 4,112,701.86
Proyecto Ecoturistico
Presupuesto Anual de Egresos
Proyeccion de costos
Concepto/Aos Ao 1 Ao 2 Ao 3
Costos Fijos
Administrador 72,000.00 75,600.00 79,380.00
Secretaria 86,400.00 90,720.00 95,256.00
Contabilidad 18,000.00 18,900.00 19,845.00
Papeleria 18,000.00 18,900.00 19,845.00
Internet satelital 24,000.00 25,200.00 26,460.00
Electricidad 7,200.00 7,560.00 7,938.00
Agua 6,000.00 6,300.00 6,615.00
Velador 43,200.00 45,360.00 47,628.00
Encargado de ventas 86,400.00 90,720.00 95,256.00
Publicidad y mercadotecnia 30,000.00 31,500.00 33,075.00
Subtotal 391,200.00 410,760.00 431,298.00
Costos Variables
Cocineros 86,400.00 90,720.00 95,256.00
Ayundante de cocina 103,680.00 108,864.00 114,307.20
Recepcionista de entrada 69,120.00 72,576.00 76,204.80
Encargado de estacionamient 34,560.00 36,288.00 38,102.40
Encargado de tirolesa 34,560.00 36,288.00 38,102.40
Encargado de bicicletas 34,560.00 36,288.00 38,102.40
Encargado de alberca 34,560.00 36,288.00 38,102.40
Encargado de rapel 34,560.00 36,288.00 38,102.40
Encargado de auditorio y sala 34,560.00 36,288.00 38,102.40
Chofer 86,400.00 90,720.00 95,256.00
Ayudante general 172,800.00 181,440.00 190,512.00
Combustibles 38,880.00 40,824.00 42,865.20
Insumos y materias primas de 455,199.00 477,958.95 501,856.90
Subtotal 1,219,839.00 1,280,830.95 1,344,872.50
Costos de ventas
Concepto Cantidad Precio Unitario Frecuencia
Encargado de ventas 2 150 24
Publicidad y mercadotecnia 1 2500 1
Costos de operacin
Costo de insumos
83,349.00 87,516.45
100,018.80 105,019.74
20,837.25 21,879.11
20,837.25 21,879.11
27,783.00 29,172.15
8,334.90 8,751.65
6,945.75 7,293.04
50,009.40 52,509.87
100,018.80 105,019.74
34,728.75 36,465.19
452,862.90 475,506.05
100,018.80 105,019.74
120,022.56 126,023.69
80,015.04 84,015.79
40,007.52 42,007.90
40,007.52 42,007.90
40,007.52 42,007.90
40,007.52 42,007.90
40,007.52 42,007.90
40,007.52 42,007.90
100,018.80 105,019.74
200,037.60 210,039.48
45,008.46 47,258.88
526,949.74 553,297.23
1,412,116.12 1,482,721.93
1,864,979.02 1,958,227.97
Subtotal Depreciaciones
TOTAL
Aos de Vida Depreciacion Drepreciacio Valor
Costo Total
Util Anual n en 5 aos Residual
AMORTIZACION
3,916,858.92 4,112,701.86
1,412,116.12 1,482,721.93
2,504,742.79 2,629,979.93
318,115.35 334,021.12
134,747.55 141,484.93
2,051,879.89 2,154,473.89
2,051,879.89 2,154,473.89
615,563.97 646,342.17
205,187.99 215,447.39
1,231,127.94 1,292,684.33
2,685,730.98 2,820,017.53
Proyecto Ecoturistico
PUNTO DE EQUILIBRIO
Concepto Ao 1 Ao 2 Ao 3
3,916,859 4,112,702
452,863 475,506
1,412,116 1,482,722
708,177 743,585
Flujo de
Efectivo -134,253.25 171,823.58 171,738.74 171,653.05 171,566.51
Efectivo Acumulado -134,253.25 37,570.33 209,309.08 380,962.13 552,528.64
MESES PRIMER AO
Mes 6 Mes 7 Mes 8 Mes 9 Mes 10 Mes 11
281,960.83 3,101,569.17
101,653.25 1,219,839.00
0.00 67,048.44
101,653.25 1,286,887.44
180,307.58 1,814,681.72
1,814,681.72
ANALISIS FINANCIERO
INDICADORES FINANCIEROS
FLUJO NETO DE EFECTIVO
Inversiones para el proyecto
Ao de Ingresos Egresos Fija Diferida
operacin totales totales
0 - 0 1,525,708.00 90,000.00
1 3,383,530.00 2,320,035.40
2 3,552,706.50 2,436,037.17
3 3,730,341.83 2,557,839.03
4 3,916,858.92 2,685,730.98
5 4,112,701.86 2,820,017.53
CALCULO DEL VAN, R B/C Y TIR CON UNA TASA DE DESCUENTO DEL 10%
Ao Costos Beneficios Factor de Costos
de totales totales actualizacin actualizados
operacin ($) ($) 10.0% ($)
0 1,749,961 0 1.000 1,749,961.25
1 2,320,035 3,383,530 0.909 2,109,123.09
2 2,436,037 3,552,707 0.826 2,013,253.86
3 2,557,839 3,730,342 0.751 1,921,742.32
4 2,685,731 3,916,859 0.683 1,834,390.40
5 2,820,018 4,864,437 0.621 1,751,009.02
Total 14,569,621 19,447,874 11,379,479.93
INANCIEROS
CALCULO DEL VAN, R B/C Y TIR CON UNA TASA DE DESCUENTO DEL 15%
Ao Costos Beneficios Factor de Costos
de totales totales actualizacin actualizados
operacin ($) ($) 15.0% ($)
0 1,749,961 0 1.000 1,749,961.25
1 2,436,037 3,383,530 0.870 2,118,293.19
2 2,557,839 3,552,707 0.756 1,934,093.78
3 2,685,731 3,730,342 0.658 1,765,911.72
4 2,820,018 3,916,859 0.572 1,612,354.17
5 2,961,018 4,112,702 0.497 1,472,149.46
Total 15,210,604 18,696,139 10,652,763.58
CALCULO DEL VAN, R B/C Y TIR CON UNA TASA DE DESCUENTO DEL 15%
Ao Costos Beneficios Factor de Costos
de totales totales actualizacin actualizados
operacin ($) ($) 15.0% ($)
0 1,749,961 0 1.000 1,749,961.25
1 2,320,035 3,222,410 0.870 2,017,422.09
2 2,436,037 3,383,530 0.756 1,841,994.08
3 2,557,839 3,552,707 0.658 1,681,820.68
4 2,685,731 3,730,342 0.572 1,535,575.40
5 2,820,018 3,916,859 0.497 1,402,047.11
Total 14,569,621 17,805,847 10,228,820.61
O DEL 15%
Beneficios Flujo neto de
actualizados efectivo act.
($) ($)
0.00 -1,749,961.25
2,942,200.00 823,906.81
2,686,356.52 752,262.74
2,452,760.30 686,848.59
2,239,476.80 627,122.62
2,044,739.69 572,590.22
12,365,533.31 1,712,769.73
O DEL 15%
Beneficios Flujo neto de
actualizados efectivo act.
($) ($)
0.00 -1,749,961.25
2,802,095.24 784,673.15
2,558,434.78 716,440.70
2,335,962.19 654,141.51
2,132,835.05 597,259.64
1,947,371.13 545,324.02
11,776,698.39 1,547,877.78
PERODO DE RECUPERACIN
0 1 2 3 4
FLUJO ACT. - 1,749,961.25 966,813.27 922,867.21 880,918.71 840,876.95
SALDO - 1,749,961.25 - 783,147.98 139,719.24 1,020,637.94 1,861,514.89
Periodo de recuperacion
1.00 aos
5
1,269,423.35
3,130,938.24
BALANCE GENERAL
1,525,708.00
ACTIVO DIFERIDO
Constitucion de la empresa 30,000.00
Permisos 5,000.00
Instalacion electrica 10,000.00
Instalacion hidraulica 25,000.00
Instalacion sanitaria 20,000.00 Capital de trabajo
1,262,200.00
1,749,961.25
A g r o p r o y e c t o s S. C.
s corridas? Promociones:
financieras: $1,000.00
financieras:$2,000.00
financieras: $3,000.00
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