GESTÃO FINANCEIRA E FLUXO DE CAIXA
GESTÃO FINANCEIRA E FLUXO DE CAIXA
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DOI: https://doi.org/10.22533/at.ed.149112522046
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Palavras-chave: fluxo de caixa; gestão financeira; planejamento estratégico; sustentabilidade organizacional; desafios financeiros.
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Keywords: cash flow; financial management; strategic planning; organizational sustainability; financial challenges.
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Abstract: This study addresses the importance of cash flow as a strategic tool for financial management, highlighting its relevance to organizational sustainability and data-driven decision-making. Cash flow plays an essential role in analyzing financial movements, assisting in scenario projections and short-, medium-, and long-term planning. Despite its importance, managing cash flow presents significant challenges, such as a lack of technical knowledge, the absence of technological tools, and economic uncertainties. The objective of this study was to analyze the main challenges in cash flow management and propose strategies for its optimization, based on specialized literature. The methodology employed consisted of a qualitative bibliographic review, conducted from scientific articles, books, and journals published in the last ten years, allowing a descriptive and interpretative analysis of the topic. The results showed that efficient cash flow management depends on adopting strategies such as financial projections, process automation, team training, and strict control over accounts payable and receivable. These practices were identified as crucial to overcoming challenges and strengthening financial management, ensuring greater organizational resilience. It is concluded that cash flow goes beyond being a simple accounting instrument, as it is essential for strategic planning and the financial sustainability of organizations, especially in uncertain scenarios.
- Cristiene Barbosa Dias Teixeira
- Osvaldo Daniel dos Santos Pinheiro
- Adailton João Silva
- Dyego Fellype Penna Carvalho
- Cleidir José Furlani