ImageVerifierCode 换一换
格式:DOCX , 页数:10 ,大小:17.84KB ,
资源ID:18728307      下载积分:3 金币
快捷下载
登录下载
邮箱/手机:
温馨提示:
快捷下载时,用户名和密码都是您填写的邮箱或者手机号,方便查询和重复下载(系统自动生成)。 如填写123,账号就是123,密码也是123。
特别说明:
请自助下载,系统不会自动发送文件的哦; 如果您已付费,想二次下载,请登录后访问:我的下载记录
支付方式: 支付宝    微信支付   
验证码:   换一换

加入VIP,免费下载
 

温馨提示:由于个人手机设置不同,如果发现不能下载,请复制以下地址【https://www.bdocx.com/down/18728307.html】到电脑端继续下载(重复下载不扣费)。

已注册用户请登录:
账号:
密码:
验证码:   换一换
  忘记密码?
三方登录: 微信登录   QQ登录  

下载须知

1: 本站所有资源如无特殊说明,都需要本地电脑安装OFFICE2007和PDF阅读器。
2: 试题试卷类文档,如果标题没有明确说明有答案则都视为没有答案,请知晓。
3: 文件的所有权益归上传用户所有。
4. 未经权益所有人同意不得将文件中的内容挪作商业或盈利用途。
5. 本站仅提供交流平台,并不能对任何下载内容负责。
6. 下载文件中如有侵权或不适当内容,请与我们联系,我们立即纠正。
7. 本站不保证下载资源的准确性、安全性和完整性, 同时也不承担用户因使用这些下载资源对自己和他人造成任何形式的伤害或损失。

版权提示 | 免责声明

本文(《新会计准则财务报表中英文》Word文档下载推荐.docx)为本站会员(b****6)主动上传,冰豆网仅提供信息存储空间,仅对用户上传内容的表现方式做保护处理,对上载内容本身不做任何修改或编辑。 若此文所含内容侵犯了您的版权或隐私,请立即通知冰豆网(发送邮件至service@bdocx.com或直接QQ联系客服),我们立即给予删除!

《新会计准则财务报表中英文》Word文档下载推荐.docx

1、流动负债:Current Liabilities现金 Cash (and cash equivalent)短期借款 Short term borrowingsAssets:Liabilities交易性金融资产(短期投资)Marketable securities (short-term investments) 交易性金融负债 Marketable Securities (liabilities)Cash +500Marketable securities -500Marketable securities +500 (repo contract)应收票据 Bills receivables应

2、付票据 Bills payables应收账款 Accounts receivables (trade receivables) (A/R)应付账款 Accounts payables (trade payables) (A/P)减:坏账准备 Less: Bad debt provisions预收账款 Advances from customers 应收账款净额 Accounts receivables, net应付职工薪酬 Salary payables预付账款 Prepaid expenses (prepayments) 应交税费 Tax payables其他应收款 Other receiv

3、ables应付股利 Dividend payables存货 Inventories应付利息 Interest payables 其他流动资产 Other current assets其他应付款 Other payables流动资产合计 Total Current Assets 一年内到期的非流动负债 Current portion of non-current liabilities非流动资产: Non-current Assets 其他流动负债 Other current liabilities 可供出售金融资产 Available-for-sale securities流动负债合计 Tot

4、al Current Liabilities 持有至到期投资 Hold-to-maturity securities非流动负债: Non-current Liabilities 长期应收款 Long term receivables长期借款 Long term borrowings长期股权投资 Long term investments应付债券 Bonds payables 投资性房地产 Investment properties长期应付款 Long term payables固定资产原值 Fixed assets, gross 专项应付款 Ear-marked payables 累计折旧 L

5、ess: Accumulated depreciation预计负债 Contingent liabilities固定资产净值 Fixed assets, net递延所得税负债 Deferred tax liabilities固定资产清理 Fixed assets for disposal其他非流动负债 Other non-current liabilities在建工程 Construction in progress (CIP) 非流动负债合计 Total non-current liabilities 无形资产 Intangible assets负债合计 Total Liabilities

6、开发支出 Development costs所有者权益:Shareholders Equity 商誉 Goodwill实收资本(或股本) Paid-in capital 长期待摊费用 Expenses for long term amortization资本公积 Capital reserve递延所得税资产 Deferred tax 减:库存股 Less: Treasury stocks其他非流动资产 Other non-current assets盈余公积 Earnings reserve 非流动资产合计 Total Non-current Assets未分配利润 Retained earn

7、ings资产合计 Total Assets所有者权益合计 Total shareholders equity负债与所有者权益合计 Total Liabilities and Shareholders Equity利润表 Income Statement会企02表 编制单位: 年 月 日 单位:Company Name: At December of 2010 Unit:项目Items一、营业收入 Operating Revenue营业成本 Less: Cost of goods sold营业税金及附加 Sales taxes and surcharges 销售费用 Selling expens

8、es 管理费用 G & A expenses 财务费用 Financial cost 资产减值损失 Assets impairments 加:公允价值变动收益(+、)Add: Gains/losses on fair value changes 投资收益(+、)Income from investments二、主营业务利润 Operating Profit加:营业外收入 Add: Non-operating income营业外支出 Less: Non-operating expenses 其中:非流动资产处置损失 Of which: Losses on non-current assets d

9、isposal三、利润总额 Profit Before Tax所得税 Less: Income tax四、净利润 Net Profit现金流量表 Cash Flow Statement会企03表编制单位: 年 月 日 单位: At December of 2010 Unit:聞創沟燴鐺險爱氇谴净祸測樅锯鳗鲮詣鋃陉蛮苎覺藍驳驂签拋敘睑绑鵪壺嗫龄呓骣頂濺锇慪柠圖虬辏獨鰷濱賺钓崳輦诗贻颂縐檉脱睑篮狯謹桠馑慘臥榉愠棧辯儔叙氣两贿澤笕伧閱蛎鹑呖莴煩挠鋼痈綿摇蔼閎簡缝餡紕蓠齿戔猎谚厕。项 目Items2010一、经营活动产生的现金流量 Cash flows from operating activitie

10、s收到销售商品、提供劳务受到的现金 Cash received from sale of products and services收到的税费返还 Cash received from tax rebate收到其他与经营活动相关的现金 Cash received from other operating activities经营活动现金流入小计 Total cash inflows from operating activities购买商品、接受劳务支付的现金Purchase of raw materials and services支付各项税费Payments of taxes and su

11、rcharges支付其他与经营活动相关的现金 Payments for other operating activities现金流出小计 Total cash outflows 经营活动产生的现金流量净额 Net cash flows from operating activities二、投资活动产生的现金流量 Cash flows from investment activities收回投资收到的现金 Proceeds from disposal of investments取得投资收益收到的现金 Cash received from investments处置固定资产、无形资产、其他资产所

12、收到的现金净额 Proceeds from disposal of fixed assets, intangible assets and other assets收到的其他与投资活动相关的现金 Cash received from other investment activities投资活动现金流入小计 Total cash inflows from investment activities购建固定资产、无形资产、其他资产支付的现金 Purchase of fixed assets, intangible assets and other assets投资支付的现金 Increase i

13、n investments支付的其他与投资活动相关的现金 Payments for other investment activities投资活动现金流出小计 Total cash outflows from investment activities投资活动产生的现金流量净额 Net cash flows from investment activities三、筹资活动产生的现金流量 Cash flows from financing activities吸收投资收到的现金 Capital contributions from investors取得借款收到的现金 Proceeds from

14、 interest-bearing loans (borrowings)收到的其他与筹资活动相关的现金 Proceeds from other financing activities筹资活动现金流入小计 Total cash inflows from financing activities偿还债务所支付的现金 Repayments of interest-bearing loans (borrowings)分配股利利润或偿还利息支付的现金 Dividend paid or interest paid支付的其他与筹资活动相关的现金 Payments for other financing a

15、ctivities筹资活动现金流出小计 Total cash outflows from financing activities筹资活动产生的现金流量净额 Net cash flows from financing activities四、汇率变动对现金的影响 Effect of changes in foreign exchange rate五、现金及现金等价物增加净额 Net increase in cash and cash equivalents期初现金及现金等价物余额 Add: Cash and cash equivalents at beginning of year六、期末现金及现金等价物余额 Cash and cash equivalents at end of year

copyright@ 2008-2022 冰豆网网站版权所有

经营许可证编号:鄂ICP备2022015515号-1