In this article, the ways of using econometric modeling and forecasting methods in the analysis of financial reporting indicators based on the data of the pulp and paper enterprise are researched. In particular, information from 2015-2021 served as panel data, and data from 2022-2025 served as a basis for socio-economic forecasting and future forecasting. based on the received information, scientific proposals and practical recommendations were developed for the future development of the enterprise.
Net asset value, Long-term assets, Current assets, Long-term liabilities, Current liabilities, Net income