10年专业笔译品牌
10年数万场口译
专业留学移民翻译
多语言网站翻译
89种语言服务
资产 负 债 表
二OO八年十二月三十一日
Balance Sheet
For the Year Ended December 31, 2008
金额单位:人民币元
----------------------------------------------------------------------------------------
附 注 2008-12-31 2007-12-31
------- -------------------- --------------------
资产:
流动资产
货币资金 3 RMB 133,364.00 RMB 284,268.00
其他应收款 4 4,617,459.09 3,932,702.62
存货 5 1,574,880.84 1,831,481.42
应收帐款 1,017,016.23 388,243.92
预付帐款 --- 243,049.92
待摊费用 6 1,980,880.88 2,031,246.08
待处理财产损溢 (58,915.60) 290,327.82
-------------------- --------------------
流动资产合计 9,264,685.44 9,001,319.78
-------------------- --------------------
固定资产
固定资产原值 7 1,022,580.00 1,022,580.00
减:累计折旧 7 197,277.95 197,277.95
固定资产净值 7 825,302.05 825,302.05
-------------------- --------------------
固定资产合计 825,302.05 825,302.05
-------------------- --------------------
资产总计 RMB 10,089,987.49 9,826,621.83
==================== ====================
(所附注释系会计报表组成部分)
Unit: Yuan
----------------------------------------------------------------------------------------------------------------------------------------
|
Note |
|
|
|
------- |
-------------------- |
-------------------- |
Assets: |
|
|
|
Current Assets |
|
|
|
Cash and cash equivalents |
3 |
RMB 133,364.00 |
RMB 284,268.00 |
Other notes receivable |
4 |
4,617,459.09 |
3,932,702.62 |
Inventories |
5 |
1,574,880.84 |
1,831,481.42 |
Account receivable |
|
1,017,016.23388,243.92 |
|
Advance money |
|
------ |
243,049.92 |
Deferred and prepaid expenses |
6 |
1,980,880.88 |
2,031,246.08 |
Wait deal assets loss or income |
|
(58,915.60) |
290,327.82 |
|
|
-------------------- |
-------------------- |
Total current assets |
|
9,264,685.44 |
9,001,319.78 |
|
|
------------------------- |
|
Fixed assets |
|
|
|
Fixed assets-cost |
7 |
1,022,580.00 |
1,022,580.00 |
Less: Accumulated depreciation |
7 |
197,277.95 |
197,277.95 |
Fixed assets-net value |
7 |
825,302.05 |
825,302.05 |
Total fixed assets |
|
------------------ |
------------------ |
|
|
825,302.05 |
825,302.05 |
Total assets |
RMB |
10,089,987.49 |
9,826,621.83 |
|
|
=============== |
================ |
(The accompanying notes form an integral part for these financial statements.)