版權(quán)說(shuō)明:本文檔由用戶提供并上傳,收益歸屬內(nèi)容提供方,若內(nèi)容存在侵權(quán),請(qǐng)進(jìn)行舉報(bào)或認(rèn)領(lǐng)
文檔簡(jiǎn)介
1、精選優(yōu)質(zhì)文檔-傾情為你奉上標(biāo)準(zhǔn)版的財(cái)務(wù)報(bào)表(中英文版)資產(chǎn)負(fù)債表 Balance Sheet 項(xiàng) 目 ITEM 貨幣資金 Cash 短期投資 Short term investments 應(yīng)收票據(jù) Notes receivable 應(yīng)收股利 Dividend receivable 應(yīng)收利息 Interest receivable 應(yīng)收帳款 Accounts receivable 其他應(yīng)收款 Other receivables 預(yù)付帳款 Accounts prepaid 期貨保證金 Future guarantee 應(yīng)收補(bǔ)貼款 Allowance receivable 應(yīng)收出口退稅 Export
2、 drawback receivable 存貨 Inventories 其中:原材料 Including:Raw materials 產(chǎn)成品(庫(kù)存商品) Finished goods 待攤費(fèi)用 Prepaid and deferred expenses 待處理流動(dòng)資產(chǎn)凈損失 Unsettled G/L on current assets 一年內(nèi)到期的長(zhǎng)期債權(quán)投資 Long-term debenture investment falling due in a yaear 其他流動(dòng)資產(chǎn) Other current assets 流動(dòng)資產(chǎn)合計(jì) Total current assets 長(zhǎng)期投資: L
3、ong-term investment: 其中:長(zhǎng)期股權(quán)投資 Including long term equity investment 長(zhǎng)期債權(quán)投資 Long term securities investment *合并價(jià)差 Incorporating price difference 長(zhǎng)期投資合計(jì) Total long-term investment 固定資產(chǎn)原價(jià) Fixed assets-cost 減:累計(jì)折舊 Less:Accumulated Dpreciation 固定資產(chǎn)凈值 Fixed assets-net value 減:固定資產(chǎn)減值準(zhǔn)備 Less:Impairment of
4、fixed assets 固定資產(chǎn)凈額 Net value of fixed assets 固定資產(chǎn)清理 Disposal of fixed assets 工程物資 Project material 在建工程 Construction in Progress 待處理固定資產(chǎn)凈損失 Unsettled G/L on fixed assets 固定資產(chǎn)合計(jì) Total tangible assets 無(wú)形資產(chǎn) Intangible assets 其中:土地使用權(quán) Including and use rights 遞延資產(chǎn)(長(zhǎng)期待攤費(fèi)用)Deferred assets 其中:固定資產(chǎn)修理 Inclu
5、ding:Fixed assets repair 固定資產(chǎn)改良支出 Improvement expenditure of fixed assets 其他長(zhǎng)期資產(chǎn) Other long term assets 其中:特準(zhǔn)儲(chǔ)備物資 Among it:Specially approved reserving materials 無(wú)形及其他資產(chǎn)合計(jì) Total intangible assets and other assets 遞延稅款借項(xiàng) Deferred assets debits 資 產(chǎn) 總 計(jì) Total Assets 資產(chǎn)負(fù)債表(續(xù)表) Balance Sheet 項(xiàng) 目 ITEM 短期借
6、款 Short-term loans 應(yīng)付票款 Notes payable 應(yīng)付帳款 Accounts payab1e 預(yù)收帳款 Advances from customers 應(yīng)付工資 Accrued payro1l 應(yīng)付福利費(fèi) Welfare payable 應(yīng)付利潤(rùn)(股利) Profits payab1e 應(yīng)交稅金 Taxes payable 其他應(yīng)交款 Other payable to government 其他應(yīng)付款 Other creditors 預(yù)提費(fèi)用 Provision for expenses 預(yù)計(jì)負(fù)債 Accrued liabilities 一年內(nèi)到期的長(zhǎng)期負(fù)債 Long
7、 term liabilities due within one year 其他流動(dòng)負(fù)債 Other current liabilities 流動(dòng)負(fù)債合計(jì) Total current liabilities 長(zhǎng)期借款 Long-term loans payable 應(yīng)付債券 Bonds payable 長(zhǎng)期應(yīng)付款 long-term accounts payable 專項(xiàng)應(yīng)付款 Special accounts payable 其他長(zhǎng)期負(fù)債 Other long-term liabilities 其中:特準(zhǔn)儲(chǔ)備資金 Including:Special reserve fund 長(zhǎng)期負(fù)債合計(jì) T
8、otal long term liabilities 遞延稅款貸項(xiàng) Deferred taxation credit 負(fù) 債 合 計(jì) Total liabilities * 少數(shù)股東權(quán)益 Minority interests 實(shí)收資本(股本) Subscribed Capital 國(guó)家資本 National capital 集體資本 Collective capital 法人資本 Legal person"s capital 其中:國(guó)有法人資本 Including:State-owned legal person"s capital 集體法人資本 Collective le
9、gal person"s capital 個(gè)人資本 Personal capital 外商資本 Foreign businessmen"s capital 資本公積 Capital surplus 盈余公積 surplus reserve 其中:法定盈余公積 Including:statutory surplus reserve 公益金 public welfare fund 補(bǔ)充流動(dòng)資本 Supplermentary current capital * 未確認(rèn)的投資損失(以“-”號(hào)填列) Unaffirmed investment loss 未分配利潤(rùn) Retained
10、earnings 外幣報(bào)表折算差額 Converted difference in Foreign Currency Statements 所有者權(quán)益合計(jì) Total shareholder"s equity 負(fù)債及所有者權(quán)益總計(jì) Total Liabilities & Equity =利潤(rùn)表 INCOME STATEMENT 項(xiàng) 目 ITEMS 產(chǎn)品銷售收入Sales of products 其中:出口產(chǎn)品銷 售收入 Including:Export sales 減:銷售折扣與折讓 Less:Sales discount and allowances 產(chǎn)品銷售凈額Net s
11、ales of products 減:產(chǎn)品銷售稅金Less:Sales tax 產(chǎn)品銷售成本 Cost of sales 其中:出口產(chǎn)品銷售成本Including:Cost of export sales 產(chǎn)品銷售毛利 Gross profit on sales 減:銷售費(fèi)用 Less:Selling expenses 管理費(fèi)用General and administrative expenses 財(cái)務(wù)費(fèi)用Financial expenses 其中:利息支出(減利息收入) Including:Interest expenses (minusinterest ihcome) 匯兌損失(減匯兌收益
12、)Exchange losses(minus exchange gains) 產(chǎn)品銷售利潤(rùn)Profit on sales 加:其他業(yè)務(wù)利潤(rùn)Add:profit from other operations 營(yíng)業(yè)利潤(rùn)Operating profit 加:投資收益Add:Income on investment 加:營(yíng)業(yè)外收入Add:Non-operating income 減:營(yíng)業(yè)外支出Less:Non-operating expenses 加:以前年度損益調(diào)整Add:adjustment of loss and gain for previous years 利潤(rùn)總額 Total profit
13、減:所得稅 Less:Income tax 凈利潤(rùn) Net profit =現(xiàn)金流量表Cash Flows Statement Prepared by:Period: Unit: Items 1.Cash Flows from Operating Activities: 01)Cash received from sales of goods or rendering of services 02)Rental received Value added tax on sales received and ref
14、unds of value 03)added tax paid 04)Refund of other taxes and levy other than value added tax 07)Other cash received relating to operating activities 08)Sub-total of cash inflows 09)Cash paid for goods and services 10)Cash paid for operating leases 11)Cash paid to and on behalf of employees 12)Value
15、added tax on purchases paid 13)Income tax paid 14)Taxes paid other than value added tax and income tax 17)Other cash paid relating to operating activities 18)Sub-total of cash outflows 19)Net cash flows from operating activities 2.Cash Flows from Investing Activities: 20)Cash received from return of
16、 investments 21)Cash received from distribution of dividends or profits 22)Cash received from bond interest income Net cash received from disposal of fixed assets,intangible 23)assets and other long-term assets 26)Other cash received relating to investing activities 27)Sub-total of cash inflows Cash
17、 paid to acquire fixed assets,intangible assets 28)and other long-term assets 29)Cash paid to acquire equity investments 30)Cash paid to acquire debt investments 33)Other cash paid relating to investing activities 34)Sub-total of cash outflows 35)Net cash flows from investing activities 3.Cash Flows
18、 from Financing Activities: 36)Proceeds from issuing shares 37)Proceeds from issuing bonds 38)Proceeds from borrowings 41)Other proceeds relating to financing activities 42)Sub-total of cash inflows 43)Cash repayments of amounts borrowed 44)Cash payments of expenses on any financing activities 45)Ca
19、sh payments for distribution of dividends or profits 46)Cash payments of interest expenses 47)Cash payments for finance leases 48)Cash payments for reduction of registered capital 51)Other cash payments relating to financing activities 52)Sub-total of cash outflows 53)Net cash flows from financing a
20、ctivities 4.Effect of Foreign Exchange Rate Changes on Cash 5.Net Increase in Cash and Cash Equivalents Supplemental Information1.Investing and Financing Activities that do not Involve in Cash Receipts and Payments 56)Repayment of debts by the transfer of fixed assets 57)Repayment of debts by the tr
21、ansfer of investments 58)Investments in the form of fixed assets 59)Repayments of debts by the transfer of investories 2.Reconciliation of Net Profit to Cash Flows from Operating Activities 62)Net profit 63)Add provision for bad debt or bad debt written off 64)Depreciation of fixed assets 65)Amortiz
22、ation of intangible assets Losses on disposal of fixed assets,intangible assets 66)and other long-term assets (or deduct:gains) 67)Losses on scrapping of fixed assets 68)Financial expenses 69)Losses arising from investments (or deduct:gains) 70)Defered tax credit (or deduct:debit) 71)Decrease in inv
23、entories (or deduct:increase) 72)Decrease in operating receivables (or deduct:increase) 73)Increase in operating payables (or deduct:decrease) 74)Net payment on value added tax (or deduct:net receipts 75)Net cash flows from operating activities 3.Net Increase in Cash and Cash Equivalents 76)cash at
24、the end of the period 77)Less:cash at the beginning of the period 78)Plus:cash equivalents at the end of the period 79)Less:cash equivalents at the beginning of the period 80)Net increase in cash and cash equivalents現(xiàn)金流量表Cash Flows Statement Prepared by:Period: Unit: Items 1.Cash Flows from Operatin
25、g Activities: 01)Cash received from sales of goods or rendering of services 02)Rental received Value added tax on sales received and refunds of value 03)added tax paid 04)Refund of other taxes and levy other than value added tax 07)Other cash received relating to operating activities 08)Sub-total of
26、 cash inflows 09)Cash paid for goods and services 10)Cash paid for operating leases 11)Cash paid to and on behalf of employees 12)Value added tax on purchases paid 13)Income tax paid 14)Taxes paid other than value added tax and income tax 17)Other cash paid relating to operating activities 18)Sub-to
27、tal of cash outflows 19)Net cash flows from operating activities 2.Cash Flows from Investing Activities: 20)Cash received from return of investments 21)Cash received from distribution of dividends or profits 22)Cash received from bond interest income Net cash received from disposal of fixed assets,i
28、ntangible 23)assets and other long-term assets 26)Other cash received relating to investing activities 27)Sub-total of cash inflows Cash paid to acquire fixed assets,intangible assets 28)and other long-term assets 29)Cash paid to acquire equity investments 30)Cash paid to acquire debt investments 33
29、)Other cash paid relating to investing activities 34)Sub-total of cash outflows 35)Net cash flows from investing activities 3.Cash Flows from Financing Activities: 36)Proceeds from issuing shares 37)Proceeds from issuing bonds 38)Proceeds from borrowings 41)Other proceeds relating to financing activ
30、ities 42)Sub-total of cash inflows 43)Cash repayments of amounts borrowed 44)Cash payments of expenses on any financing activities 45)Cash payments for distribution of dividends or profits 46)Cash payments of interest expenses 47)Cash payments for finance leases 48)Cash payments for reduction of reg
31、istered capital 51)Other cash payments relating to financing activities 52)Sub-total of cash outflows 53)Net cash flows from financing activities 4.Effect of Foreign Exchange Rate Changes on Cash 5.Net Increase in Cash and Cash Equivalents Supplemental Information 1.Investing and Financing Activitie
32、s that do not Involve in Cash Receipts and Payments 56)Repayment of debts by the transfer of fixed assets 57)Repayment of debts by the transfer of investments 58)Investments in the form of fixed assets 59)Repayments of debts by the transfer of investories 2.Reconciliation of Net Profit to Cash Flows
33、 from Operating Activities 62)Net profit 63)Add provision for bad debt or bad debt written off 64)Depreciation of fixed assets 65)Amortization of intangible assets Losses on disposal of fixed assets,intangible assets 66)and other long-term assets (or deduct:gains) 67)Losses on scrapping of fixed ass
34、ets 68)Financial expenses 69)Losses arising from investments (or deduct:gains) 70)Defered tax credit (or deduct:debit) 71)Decrease in inventories (or deduct:increase) 72)Decrease in operating receivables (or deduct:increase) 73)Increase in operating payables (or deduct:decrease) 74)Net payment on va
35、lue added tax (or deduct:net receipts 75)Net cash flows from operating activities 3.Net Increase in Cash and Cash Equivalents 76)cash at the end of the period 77)Less:cash at the beginning of the period 78)Plus:cash equivalents at the end of the period 79)Less:cash equivalents at the beginning of the period 80)Net increase in cash and cash equivalents 現(xiàn)金流量表的現(xiàn)金流量聲明 擬制人:時(shí)間:?jiǎn)挝唬?項(xiàng)目 1.cash流量從經(jīng)營(yíng)活動(dòng): 01 )所收到的現(xiàn)金從銷售貨物或提供勞務(wù) 02 )收到的
溫馨提示
- 1. 本站所有資源如無(wú)特殊說(shuō)明,都需要本地電腦安裝OFFICE2007和PDF閱讀器。圖紙軟件為CAD,CAXA,PROE,UG,SolidWorks等.壓縮文件請(qǐng)下載最新的WinRAR軟件解壓。
- 2. 本站的文檔不包含任何第三方提供的附件圖紙等,如果需要附件,請(qǐng)聯(lián)系上傳者。文件的所有權(quán)益歸上傳用戶所有。
- 3. 本站RAR壓縮包中若帶圖紙,網(wǎng)頁(yè)內(nèi)容里面會(huì)有圖紙預(yù)覽,若沒(méi)有圖紙預(yù)覽就沒(méi)有圖紙。
- 4. 未經(jīng)權(quán)益所有人同意不得將文件中的內(nèi)容挪作商業(yè)或盈利用途。
- 5. 人人文庫(kù)網(wǎng)僅提供信息存儲(chǔ)空間,僅對(duì)用戶上傳內(nèi)容的表現(xiàn)方式做保護(hù)處理,對(duì)用戶上傳分享的文檔內(nèi)容本身不做任何修改或編輯,并不能對(duì)任何下載內(nèi)容負(fù)責(zé)。
- 6. 下載文件中如有侵權(quán)或不適當(dāng)內(nèi)容,請(qǐng)與我們聯(lián)系,我們立即糾正。
- 7. 本站不保證下載資源的準(zhǔn)確性、安全性和完整性, 同時(shí)也不承擔(dān)用戶因使用這些下載資源對(duì)自己和他人造成任何形式的傷害或損失。
最新文檔
- 2025版教育信用借款合同范本助力學(xué)子圓夢(mèng)3篇
- 2024年甲乙雙方關(guān)于文化旅游項(xiàng)目投資與合作協(xié)議
- 2025版航空航天發(fā)動(dòng)機(jī)研發(fā)中心建筑工程一切險(xiǎn)及知識(shí)產(chǎn)權(quán)保護(hù)合同3篇
- 2025版跨境電商業(yè)務(wù)培訓(xùn)與市場(chǎng)拓展代理服務(wù)合同模板3篇
- 2024年高品質(zhì)豬場(chǎng)租賃服務(wù)合同書2篇
- 2025版科技創(chuàng)新型企業(yè)勞動(dòng)合同全解析百問(wèn)百答3篇
- 二零二五年企業(yè)簽約落戶保障與服務(wù)協(xié)議3篇
- 課題申報(bào)書:大學(xué)生“社恐”現(xiàn)象的心理機(jī)制與應(yīng)對(duì)策略研究
- 2024影像資源數(shù)字化與版權(quán)管理服務(wù)合同3篇
- 2024年礦產(chǎn)資源國(guó)際貿(mào)易與合作合同
- 304焊接工藝參數(shù)
- 交感神經(jīng)相關(guān)性疼痛及其治療通用課件
- 工裝夾具項(xiàng)目開(kāi)發(fā)計(jì)劃書
- 中小學(xué)生研學(xué)旅行 投標(biāo)方案(技術(shù)方案)
- 文創(chuàng)產(chǎn)品市場(chǎng)營(yíng)銷策略
- 社區(qū)生鮮可行性報(bào)告
- 6款課堂活動(dòng)隨機(jī)點(diǎn)名-抽獎(jiǎng)模板(可編輯)兩套
- 2023新兵集訓(xùn)總結(jié)發(fā)言
- 《輻射安全許可證》申請(qǐng)條件核查表
- 《財(cái)務(wù)管理》課程教學(xué)成果創(chuàng)新報(bào)告
- DB15-T 2537-2022 涉路工程安全性評(píng)價(jià)報(bào)告編制指南
評(píng)論
0/150
提交評(píng)論