




版權說明:本文檔由用戶提供并上傳,收益歸屬內容提供方,若內容存在侵權,請進行舉報或認領
文檔簡介
1、、| !_一個人總要走陌生的路,看陌生的風景,聽陌生的歌,然后在某個不經(jīng)意的瞬間,你會發(fā)現(xiàn),原本費盡心機想要忘記的事情真的就這么忘記了. 新會計準則下的英文版的會計報表一、企業(yè)財務會計報表封面 FINANCIAL REPORT COVER報表所屬期間之期末時間點 Period Ended所屬月份 Reporting Period報出日期 Submit Date記賬本位幣幣種 Local Reporting Currency審核人 Verifie
2、r填表人 Preparer二、資產(chǎn)負債表 Balance Sheet資產(chǎn) Assets流動資產(chǎn) Current Assets貨幣資金 Cash and Cash Equivalents 短期投資 Short-term Investment 一年內到期委托貸款 Entrusted Loan Receivable Due within One Year &
3、#160; 減:一年內到期委托貸款減值準備 Deduct: Depreciation Reserve for Entrusted Loan Receivable Due within One Year 減:短期投資跌價準備 Deduct: Falling Price Reserve for Short-term Investment短期投資凈額 Net Value of Short-term Investment 應收票據(jù) Notes Rec
4、eivable 應收股利 Dividends Receivable 應收利息 Interest Receivable 應收賬款 Accounts Receivable 減:應收賬款壞賬準備 Deduct: Bad Debt Reserve for Accounts Receivable 應收賬款凈額 Net Value of Accoun
5、ts Receivable 其他應收款 Other Receivable 減:其他應收款壞賬準備 Deduct: Bad Debt Reserve for Other Receivable 其他應收款凈額 Net Value of Other Receivable 預付賬款 Prepayment 應收補貼款 Subsidy Re
6、ceivable 存貨 Inventory 減:存貨跌價準備 Deduct: Inventory Falling Price Reserve 存貨凈額 Net Value of Inventory 已完工尚未結算款 Amount Due from Customer for Contract Work 待攤費用 Deferred
7、Expense 一年內到期的長期債權投資 Long-term Investment on Bonds Due within One Year 一年內到期的應收融資租賃款 Financial Lease Receivable Due within One Year 其他流動資產(chǎn) Other Current Assets流動資產(chǎn)合計 Total Current Assets長期投資 Long-
8、term Investment 長期股權投資 Long-term Investment on Stocks 委托貸款 Entrusted Loan 長期債權投資 Long-term Investment on Bonds 長期投資合計 Total Long-term Investment 減:長期股權投資減值準備 Deduct: Depreciation
9、 Reserve for Long-term Investment on Stocks 減:長期債權投資減值準備 Deduct: Depreciation Reserve for Long-term Investment on Bonds 減:委托貸款減值準備 Deduct: Depreciation Reserve for Entrusted Loan 長期投資凈額 Net Value of Long-term Investment
10、160;其中:合并價差 Include: Cost-Book Value Differentials固定資產(chǎn) Fixed Assets 固定資產(chǎn)原值 Original Value of Fixed Asset 減:累計折舊 Deduct: Accumulated Depreciation 固定資產(chǎn)凈值 Net Value of Fixed Assets 減:固定資產(chǎn)
11、減值準備 Deduct: Depreciation Reserve for Fixed Assets 固定資產(chǎn)凈額 Net Value of Fixed Assets 工程物資 Project Goods and Material在建工程 Construction in Progress減:在建工程減值準備 Deduct: Depreciation Reserve for Construction in Progr
12、ess在建工程凈額 Net Value of Construction in Progress 固定資產(chǎn)清理 Disposal of Fixed Assets 固定資產(chǎn)合計 Total Fixed Assets無形資產(chǎn)及其他資產(chǎn) Intangible Assets & Other Assets 無形資產(chǎn) Intangible Assets 減:無形資產(chǎn)減值準備&
13、#160; Deduct: Depreciation Reserve for Intangible Assets 無形資產(chǎn)凈額 Net Value of Intangible Assets 長期待攤費用 Long-term Deferred Expense 融資租賃未擔保余值 Financial Lease Unguaranteed Residual Values 融資租賃應收融資租賃款
14、 Financial Lease Financial Lease Receivable 其他長期資產(chǎn) Other Long-term Assets 無形及其他長期資產(chǎn)合計 Total of Intangible Assets & Other Assets遞延稅項 Deferred Tax 遞延稅款借項 Deferred Tax Debits資產(chǎn)總計 Total Assets
15、負債及所有者(或股東)權益 Liability & Owners (Shareholders) Equity 流動負債 Current Liability 短期借款 Short-term Loans 應付票據(jù) Notes Payable 應付賬款 Accounts Payable 已結算尚未完工款Unearned Receivable
16、0; 預收賬款 Deposit Received 應付工資 Payroll Payable 應付福利費 Welfare Payable 應付股利 Dividend Payable 應交稅金 Taxes Payable 其他應交款 Other Fees Payable 其他應付款
17、; Other Payable 預提費用 Accrued Expense 預計負債 Accrued Liabilities遞延收益 Deferred Revenue 一年內到期的長期負債 Long-term Liability Due within One Year 其他流動負債 Other Current Liability 流動負債合計
18、160; Total Current Liability長期負債 Long-term Liability 長期借款 Long-term Loans 應付債券 Bonds Payable 長期應付款 Long-term Payable 專項應付款 Special Payable其他長期負債 Other Long-term Li
19、ability 長期負債合計 Total Long-term Liability遞延稅項 Deferred Tax 遞延稅款貸項 Deferred Tax Liabilities負債合計 Total Liability少數(shù)股東權益 Minority Equity所有者權益(或股東權益) Owners (Shareholders) Equity 實收資本(或股本)
20、0; Paid-in Capital 減;已歸還投資 Deduct: Investment Returned 實收資本(或股本)凈額 Net Value of Paid-in Capital 資本公積 Capital Reserves 盈余公積 Surplus Reserves 其中:法定公益金 Include: Legal Public
21、Welfare Fund 未確認投資損失 Unrealized Investment Losses 未分配利潤 Undistributed Profits 其中:本年利潤 Include: Current Year Profit 外幣報表折算差額 Converted Difference in Foreign Currency Statements所有者(或股東)權益合計 To
22、tal Owners (Shareholders) Equity負債及所有者(或股東)權益合計 Total Liability & Owners (Shareholders) Equity三、利潤及利潤分配表 Profit and Statement of Profit Distribution 主營業(yè)務收入 Prime Operating Revenue 減:主營業(yè)務成本
23、 Deduct: Cost of Prime Operating 主營業(yè)務稅金及附加 Tax and Associated Charge for Prime Operating 主營業(yè)務利潤(虧損以“”填列) Prime Operating Profit ( means loss) 加:其他業(yè)務收入 Add:
24、 Other Operating Revenue 減:其他業(yè)務支出 Deduct: Other Operating Expense 減:營業(yè)費用 Operating Expenses 管理費用 Administrative Expenses
25、60; 財務費用 Finance Charge 營業(yè)利潤(虧損以“”填列) Operating Profit ( - means loss) 加:投資收益(虧損以“”填列) Add: Investment Income 補貼收入
26、160;Subsidize Revenue 營業(yè)外收入 Non-Operating Income 減:營業(yè)外支出 Deduct: Non-Operating Expense 利潤總額(虧損總額以“”填列) Total Profit ( - means loss)
27、0; 減:所得稅 Deduct: Income Tax 少數(shù)股東損益 Minority Gain and Loss 加:未確認投資損失 Add: Unrealized Investment Losses 凈利潤(凈虧損以“”填列)Net Profit ( - mea
28、ns loss) 加:年初未分配利潤 Add: Undistributed Profits at the Beginning of the Year 其他轉入 Other Transfer-in 可供分配的利潤 Profit Available for Distribution (- means loss)&
29、#160; 減:提取法定盈余公積 Deduct: Withdrawal Legal Surplus 提取法定公益金 Withdrawal Legal Public Welfare Fund 提取職工獎勵及福利基金 Withdrawal Stuff and
30、Workers Bonus and Welfare Fund 提取儲備基金 Withdrawal Reserve Fund 提取企業(yè)發(fā)展基金 Withdrawal Reserve for Business Expansion 利潤歸還投資
31、160; Profit Capitalized on Return of Investment 可供投資者分配的利潤 Profit Available for Owners Distribution 減:應付優(yōu)先股股利 Deduct: Preferred Stock Dividends Payable 提取任意盈余公積&
32、#160; Withdrawal Other Common Accumulation Fund 應付普通股股利 Common Stock Dividends Payable 轉作資本(或股本)的普通股股利 Common Stock Dividends Change to Assets (or Stock)未分配利潤
33、Undistributed Profit補充資料: Supplementary Information:1 出售、處置部門或被投資單位收益 Gains on Disposal of Operating Divisions or Investments2 自然災害發(fā)生損失 Losses from Natural Disaster3 會計政策變更增加(或減少)利潤總額 Increase (Decrease) in Profit Due to Changes of Accounting Polic
34、ies4 會計估計變更增加(或減少)利潤總額 Increase (Decrease) in Profit Due to Changes of Accounting Estimates5 債務重組損失 Losses from Debt Restructuring現(xiàn)金流量表 Cash Flow Statement一、經(jīng)營活動產(chǎn)生的現(xiàn)金流量: Cash Flow from Operating Activities: 銷售商品、提供勞務收到的現(xiàn)金Cash Received fro
35、m Sales of Goods or Rendering Services 收到的稅費返還 Refunds of Taxes and Levies 收到的其他與經(jīng)營活動有關的現(xiàn)金 Other Cash Received Relating to Operating Activities 現(xiàn)金流入小計 Sub-Total of Cash Inflows 購買商品
36、、接受勞務支付的現(xiàn)金 Cash Paid for Commodities and Services 支付給職工以及為職工支付的現(xiàn)金 Cash Paid to and on Behalf of Employees 支付的各項稅費 Payments of All Types of Taxes 支付的其他與經(jīng)營活動有關的現(xiàn)金 Other Cash Paid Rel
37、ating to Operating Activities 現(xiàn)金流出小計 Sub-Total of Cash Outflows 經(jīng)營活動產(chǎn)生的現(xiàn)金流量凈額 Net Cash Flows from Operating Activities二、投資活動產(chǎn)生的現(xiàn)金流量: Cash Flow from Investment Activities: 收回投資所收到的現(xiàn)金 Cash Re
38、ceived from Disposal of Investments 處置子公司和其他經(jīng)營單位收到的現(xiàn)金 Cash Received from Disposal of Subsidiary or Other Operating Business Units 取得投資收益所收到的現(xiàn)金 Cash Received from Returns on Investments 處置固定資產(chǎn)、無形資產(chǎn)和其他長期資產(chǎn)而收到的現(xiàn)金凈額 Net Cash R
39、eceived from Disposal of Fixed Assets, Intangible Assets and Other Long-term Assets 購買子公司所收到的現(xiàn)金 Cash Received by Acquisition of Subsidiary 收到的其他與投資活動有關的現(xiàn)金 Other Cash Received Relating to Investment Activities 現(xiàn)金流入小計
40、; Sub-Total of Cash Inflows 購建固定資產(chǎn)、無形資產(chǎn)和其他長期資產(chǎn)所支付的現(xiàn)金 Cash Paid to Acquire Fixed Assets, Intangible Assets and Other Long-term Assets 投資所支付的現(xiàn)金 Cash Paid to Acquire Investments 支付的其他與投資活動有關的現(xiàn)金 Other Cash Payments Relating to In
41、vestment Activities 現(xiàn)金流出小計 Sub-Total of Cash Outflows 投資活動產(chǎn)生的現(xiàn)金流量凈額 Net Cash Flow from Investment Activities三、籌資活動產(chǎn)生的現(xiàn)金流量: Cash Flow from Financing Activities: 吸收投資所收到的現(xiàn)金 Cash Received by I
42、nvestors 借款所收到的現(xiàn)金 Cash Received from Borrowings 其中:從金融機構借款所收到的現(xiàn)金 Include: Cash Received from Financial Institution Borrowings 收到的其他與籌資活動有關的現(xiàn)金 Cash Received Relating to Other Financing Activities 現(xiàn)金流入小計
43、 Sub-Total of Cash Inflows 償還債務所支付的現(xiàn)金 Cash Repayments of Amount Borrowed 其中:償還金融機構債務所支付的現(xiàn)金 Include: Repayments of Financial Institution Borrowings 分配股利、利潤和償付利息所支付的現(xiàn)金 Dividends Paid, Profit Distributed or Inter
44、est Paid 支付的其他與籌資活動有關的現(xiàn)金 Other Cash Payments Relating to Financing Activities 現(xiàn)金流出小計 Sub-Total of Cash Outflows 籌資活動產(chǎn)生的現(xiàn)金流量凈額 Net Cash Flow from Financing Activities四、匯率變動對現(xiàn)金的影響額 Effect of F
45、oreign Exchange Rate Changes on Cash五、現(xiàn)金及現(xiàn)金等價物凈增加額 Net Increase (Decrease) in Cash and Cash Equivalents現(xiàn)金流量附表: Supplementary Information:1.將凈利潤調節(jié)為經(jīng)營活動的現(xiàn)金流量: Reconciliation of Net Profit to Cash Flow from Operating Activities: 凈利潤 Net P
46、rofit 加:少數(shù)股東損益 Add: Minority Interest 加:計提的資產(chǎn)減值準備 Add: Provision of Asset Impairment 固定資產(chǎn)折舊 Depreciation of Fixed Assets 無形資產(chǎn)攤銷 Amortization of Int
47、angible Assets 長期待攤費用攤銷 Amortization of Long-term Deferred Expenses 待攤費用減少(減:增加) Decrease in Deferred Expenses (deduct: increase) 預提費用增加(減:減少) Increas
48、e in Accrued Expenses (deduct: decrease) 處置固定資產(chǎn)、無形資產(chǎn)和其他長期資產(chǎn)的損失(減、收益) Losses on Disposal of Fixed Assets, Intangible Assets and Other Long-term Assets (Deduct: Gains) 固定資產(chǎn)報廢損失 Losses on Disposal of Fixed Assets 財務費用 Financial Expens
溫馨提示
- 1. 本站所有資源如無特殊說明,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,請聯(lián)系上傳者。文件的所有權益歸上傳用戶所有。
- 3. 本站RAR壓縮包中若帶圖紙,網(wǎng)頁內容里面會有圖紙預覽,若沒有圖紙預覽就沒有圖紙。
- 4. 未經(jīng)權益所有人同意不得將文件中的內容挪作商業(yè)或盈利用途。
- 5. 人人文庫網(wǎng)僅提供信息存儲空間,僅對用戶上傳內容的表現(xiàn)方式做保護處理,對用戶上傳分享的文檔內容本身不做任何修改或編輯,并不能對任何下載內容負責。
- 6. 下載文件中如有侵權或不適當內容,請與我們聯(lián)系,我們立即糾正。
- 7. 本站不保證下載資源的準確性、安全性和完整性, 同時也不承擔用戶因使用這些下載資源對自己和他人造成任何形式的傷害或損失。
最新文檔
- 2025年度生態(tài)養(yǎng)殖用地長期租賃合同書
- 二零二五年度吊車過戶與設備安全評估合同
- 2025年度旅游產(chǎn)業(yè)資金入股合作協(xié)議書
- 二零二五年度藝術涂料定制加工勞務合同
- 2025年度豬場租賃與養(yǎng)殖保險服務合同
- 2025年度瓷磚行業(yè)廣告宣傳采購合同范本
- 2025年度智能穿戴設備專利申請代理專項合同
- 產(chǎn)品定制合同范本
- 合租互助交流協(xié)議
- 建筑安裝勞務合同
- 化學基礎課程標準
- RBA社會責任商業(yè)聯(lián)盟準則(管理手冊+程序+記錄+培訓)
- 2022-2023學年遼寧省名校聯(lián)盟高二(下)聯(lián)考語文試卷(3月份)及答案解析
- 附表耶魯抽動程度綜合量表
- 貨物驗收單表格模板
- 北京高考大綱詞匯3500
- Word-A4信紙(老信紙格式)
- 4.四川能投集團匯報PPT(V3.01)-1
- 教學設計 心字底寫法
- 幼兒園入園體檢表新表
- 健身氣功易筋經(jīng)
評論
0/150
提交評論