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Journal : JEMPER%20(Jurnal%20Ekonomi%20Manajemen%20Perbankan)

Pengaruh Akuntabilitas dan Transparansi Terhadap Pengelolaan Keuangan Sekolah Menengah Atas (SMA) Negeri Se-Kota Bandung Anita Syafariah
Jurnal Ekonomi Manajemen Perbankan Vol 2, No 2 (2020): JEMPER Juli - Desember
Publisher : Prodi Manajemen S1 dan D3 Keuangan & Perbankan

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.32897/jemper.v2i2.378

Abstract

Accountability and transparency are an inseparable unit in financial management. Accountability is defined as the ability to show reports or records that can be accounted for. While transparency is openness regarding financial management information that can be accessed by parents, the community and the government. In preparing the School Expenditure Budget Plan (RAPBS) the process of planning, organizing, directing, coordinating, reporting / accountability, and monitoring both internal and external to the school of financial managers and implementing activities is an effort in implementing accountable financial management and transparent. This research was conducted at Bandung City Public High Schools by involving 216 respondents from 540 people. The research method used is descriptive method with sampling technique that is cluster sampling method with multiple linear regression data analysis assisted by SPSS Ver program. 16. Data processing is done through transformation of data from ordinal to intervals and the test data used are the normality test, linearity test, validity test, reliability test, correlation analysis, multiple regression analysis, after research has shown that accountability and transparency affect the management of school finances and has a significant degree both partially and simultaneously.
Analisis Perbandingan Penjualan Online dengan Penjualan Non Online Terhadap Net Profit Margin pada PT. Shout Network Indonesia Periode Januari-Desember 2015 Anita Syafariah
Jurnal Ekonomi Manajemen Perbankan Vol 4, No 1 (2022): JEMPER Januari - Juni
Publisher : Prodi Manajemen S1 dan D3 Keuangan & Perbankan

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.32897/jemper.v4i1.1164

Abstract

Perusahaan Shout Network Indonesia, yaitu perusahaan yang menjual barang accesories yang berupa topi yang dijual secara online melalui website dan dijual secara offline. Profit yang dihasilkan perusahaan selama ini di PT. Shout Network Indonesia mengalami perkembangan secara fluktuatif pada bulan Januari hingga bulan Desember 2015. Profit tertinggi berada pada bulan Oktober 2015 yaitu sebesar Rp. 53.731.969,- dan profit terrendah berada pada bulan September 2015 yaitu sebesar - Rp. 39.177.186,-.Metode yang digunakan dalam penelitian ini adalah metode deskriptif dan metode verifikatif. Metode deskriptif digunakan untuk mengetahui besarnya Net Profit Margin dan penjualan pada PT. Shout Network Indonesia periode Januari-Desember 2015. Metode verifikatif digunakan untuk mengetahui pengaruh atau bentuk kasual Net Profit Margin dan penjualan PT. Shout Network Indonesia periode Januari-Desember 2015.Dari hasil uji hipotesis yang sudah dilakukan, Tingkat signifikasi yang ditunjukkan pada kolom Sig. (2-tailed) pada tabel 1.10 melebihi 0,050 (0,164>0,050). Dapat dikatakan bahwa profitabilitas berdasarkan indicator Net Profit Margin tidak memiliki perbedaan yang signifikan antara penjualan online dengan penjualan non online.
Nilai Perusahaan : Dampak dari Return On Asset (ROA), Return On Equity (ROE) dan Corporate Social Responsibility (CSR) Diah Retno Sulistiyowati; Anita Syafariah
Jurnal Ekonomi Manajemen Perbankan Vol 1, No 1 (2019): JEMPER Januari - Juni
Publisher : Prodi Manajemen S1 dan D3 Keuangan & Perbankan

Show Abstract | Download Original | Original Source | Check in Google Scholar | Full PDF (246.631 KB) | DOI: 10.32897/jemper.v1i1.129

Abstract

This study aims to examine the effect of Return on Assets (ROA), Return on Equity (ROE) and Corporate Social Responsibility (CSR) on firm value. The research method used is descriptive and associative. The population and sample used are all telecommunications companies listed on the Indonesia Stock Exchange (IDX). The analysis technique used is multiple linear regression analysis. Based on the results of the study indicate that Return on Assets (ROA) has a significant positive effect on firm value (P <0.05). Return on Equity (ROE) does not have a significant effect on firm value (P> 0.05). Corporate Social Responsibility (CSR) has no significant effect on firm value (P> 0.05). It is suggested for the next researcher that the company studied not only in the telecommunications sector, but all companies listed on the IDX that have good characteristics to be used as populations, and are advised to examine other financial variables that affect the value of the company.
Analisis Tingkat Keuntungan dan Risiko Sistematis Sebagai Dasar dalam Keputusan Investasi Pada Perusahaan Jakarta Islamic Index (JII) di Bursa Efek Indonesia (BEI) Eva Rachmawati; Anita Syafariah; Rizki Lestari
Jurnal Ekonomi Manajemen Perbankan Vol 4, No 2 (2022): JEMPER Juli - Desember
Publisher : Prodi Manajemen S1 dan D3 Keuangan & Perbankan

Show Abstract | Download Original | Original Source | Check in Google Scholar | DOI: 10.32897/jemper.v4i2.2167

Abstract

Risks that really must be considered are systematic risks, because those risks are faced by all companies. Stock analysis must be done carefully. Investors can choose various alternative options for companies that have high returns with certain risks or choose companies that have the smallest risk with certain benefits. The right investment decision is expected to provide optimal results. The method used in this research is descriptive method using a single index model (single index model).Investors can invest their funds in the basic industrial and chemical business sectors that have the highest level of profit and the Trade and Investment Services sector has the least systematic risk. The lowest value of the risk is owned by the Trade and Investment Service Company, thus investors can invest their funds in the Basic and Chemical Industry or in the Trade Services sector.Keywords: Profit Rate, Systematic Risk, and Investment Decisions.