2020-01-202020-01-202020-01-202019-11-30http://localhost:8080/handle/prefix/824The purpose of this module project is to analyze the Cash Flow Statement of a real company and the possible risks involved in the business. These units taught in this module are based on assisting in the analyzes that are indicators of outputs and inputs, and also investments, all of them made in a company. We will understand the aspects of risk management, and the fundamental requirements for implementing a safe supply chain, and the variable impacts.Acesso AbertoGestão FinanceiraFinanças Corporativas: ControladoriaGestão de Investimentos : RiscosCNPQ::CIENCIAS SOCIAIS APLICADASRisco e Fluxo de CaixaNaturaRelatório de Pesquisa