ImageVerifierCode 换一换
格式:DOCX , 页数:14 ,大小:16.76KB ,
资源ID:23637052      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/23637052.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(财务报表英文.docx)为本站会员(b****7)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!

财务报表英文.docx

1、财务报表英文财务报表-英文版 作者: 日期: Balance SheetDecember 31, 2015KQ 01Enterprise name: XX Co., Ltd.Unit: RMB YuanAssetNote No.Ending amountBeginning amountLiabilities and owners equityNote No.Ending amountBeginning amountCurrent assets: Current liabilities: Monetary funds Short-term borrowingsFinancial assets m

2、easured at fair value and its changes included in the current profit and lossFinancial liabilities measured at fair value and its changes included in the current profit and lossDerivative financial assetsDerivative financial liabilities Notes receivableNotes payableAccount receivableAccount payableA

3、ccount paid in advanceAccount received in advanceInterest receivableEmployees compensation payableDividend receivableTax payableOther accounts receivableInterest payableInventoryDividend payableAssets divided as available assets for saleOther accounts payableNon-current assets due within 1 yearLiabi

4、lities divided as available liabilities for saleOther current assetsNon-current liabilities due within 1 yearTotal current assetsOther current liabilitiesTotal current liabilitiesNon-current liabilities: Long-term borrowingsBonds payableIncluding: Preferred sharesPerpetual capital securitiesLong-ter

5、m account payableLong-term employees compensation payableNon-current assets: Special payablesAvailable for sale financial assetsAccrued liabilitiesHeld-to-maturity investmentsDeferred incomeLong-term account receivableDeferred tax liabilitiesLong-term equity investmentOther non-current liabilitiesIn

6、vesting real estateTotal non-current liabilitiesFixed asset7Total liabilitiesProject in constructionOwners equity (or shareholders equity)Engineering materialPaid-in capital (or share capital)16Fixed asset disposalOther equity instrumentsProduction biological assetsIncluding: Preferred sharesOil and

7、 gas assetsPerpetual capital securitiesIntangible assets8Capital surplus17Development expenseMinus: Treasury stockGoodwillOther comprehensive incomesLong-term expense to be apportionedSpecial reserveDeferred tax assets9Earned surplusOther non-current assets Undistributed earnings18Total non-current

8、assetsTotal owners equityTotal assetsTotal liabilities and owners equity2Income StatementYear of 2015KQ 02Enterprise name: XX Co., Ltd.Unit: RMB YuanItemNote No.Amount at current periodAmount at same period in last yearI. Operating income1Minus: Operating cost1Business tax and surcharges2Selling exp

9、ensesAdministrative expensesFinancial expenses3Asset impairment loss4Plus: Gain from change in fair value (loss with “-”)Gain from investment (loss with “-”)Including: Income from investment in affiliated enterprise and joint enterpriseII. Operating profit (loss with “-”)Plus: Non-business income5In

10、cluding: Gain from non-current asset disposalMinus: Non-business expenditure6Including: Loss from non-current asset disposalIII. Total profit (total loss with “-”)Minus: Income tax expense7IV. Net profit (net loss with “-”)V. Net after-tax amount of other comprehensive incomes(i) Other comprehensive

11、 incomes not reclassified into profit and loss in future1. Changes for net liability or net asset of remeasured and reset benefit plan2. Shares enjoyed in other comprehensive incomes not reclassified into profit and loss by the invested unit(ii) Other comprehensive incomes reclassified into profit a

12、nd loss in future1. Shares enjoyed in other comprehensive incomes reclassified into profit and loss by the invested unit in future2. Profit and loss from fair value change of financial assets available for sale3. Profit and loss from held-to-maturity investment reclassified to financial assets avail

13、able for sale4. Effective part for hedging profit and loss of cash flow5. Translation balance of foreign currency financial statements6. OthersVI. Total comprehensive incomesVII. Earnings per share(i) Basic earnings per share (Yuan/ Share)(ii) Diluted earnings per share (Yuan/ Share)4Cash Flow State

14、mentYear of 2015KQ 03Enterprise name: XX Co., Ltd.Unit: RMB YuanItemNote No.Amount at current periodAmount at same period in last yearI. Cash flow from operating activities: Cash received from sale of goods or rendering of servicesRefund of tax and leviesOther cash received relating to operating act

15、ivitiesSub-total of cash inflows from operating activitiesCash paid for goods and servicesCash paid to and on behalf of employeesPayments of all types of taxesOther cash paid relating to operating activitiesSub-total of cash outflows from operating activitiesNet cash flows from operating activitiesI

16、I. Cash flow from investing activities:Cash flow from disposal of investmentsCash received from returns of investmentsCash received from incomes on investmentsNet cash received from disposal of fixed assets, intangible assets and other long-term assetsOther cash received relating to investing activi

17、tiesSub-total of cash inflows from investing activitiesCash paid to acquire fixed assets, intangible assets and other long-term assetsCash paid to acquire investmentsNet cash received from the subsidiary company and other business unitsOther cash payments relating to investing activitiesSub-total of

18、 cash outflows from investing activitiesNet cash flows from investing activitiesIII. Cash flows from financing activities:Cash received from capital contributionCash received from borrowingsOther cash received relating to financing activitiesSub-total of cash inflows from financing activitiesCash re

19、payments of amounts borrowedCash payments for interest expenses and distribution of dividends or profitOther cash payments relating to financing activitiesSub-total of cash outflows from financing activitiesNet cash flows from financing activitiesIV. Effect of foreign exchange rate changes on cash and cash equivalentsV. Net increase in cash and cash equivalentsPlus: Balance of beginning cash and cash equivalentsVI. Balance of ending cash and cash equivalents5

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