資產負債表 |
九十五年十二月三十一日止 |
資 產 |
|
負債、基金及結餘 |
會計科目 |
金額 |
小計 |
|
會計科目 |
金額 |
小計 |
流動資產 |
|
$43,980,334.00 |
|
負債 |
|
$23,017,784.00 |
現 金 |
$255,132.00 |
|
|
應付費用 |
$15,897,285.00 |
|
郵局存款 |
$309,479.00 |
|
|
應付票據 |
$416,650.00 |
|
安泰乙存 |
$13,595,414.00 |
|
|
應付薪資 |
$1,808,930.00 |
|
安泰甲存 |
$1,801,693.00 |
|
|
暫 收 款 |
$4,190,600.00 |
|
台企綜存 |
$599,505.00 |
|
|
代 收 款 |
$87,621.00 |
|
台企甲存 |
$2,568.00 |
|
|
預 收 款 |
$22,619.00 |
|
高銀乙存 |
$1,352,461.00 |
|
|
預收常年會費 |
$219,000.00 |
|
定存-退撫金 |
$1,355,274.00 |
|
|
應納稅額 |
$375,079.00 |
|
定存-高銀 |
$4,500,000.00 |
|
|
|
|
|
零 用 金 |
$14,523.00 |
|
|
其他負債 |
|
$300,000.00 |
應收票據 |
$8,665,247.00 |
|
|
存入保證金 |
$300,000.00 |
|
應收帳款 |
$10,899,247.00 |
|
|
|
|
|
預付費用 |
$544,365.00 |
|
|
|
|
|
暫 付 款 |
$54,101.00 |
|
|
淨值總額 |
|
$23,153,831.00 |
應收退撫利息 |
$26,388.00 |
|
|
基金 |
|
$10,755,169.50 |
應收利息 |
$4,937.00 |
|
|
原始基金 |
$50,000.00 |
|
|
|
|
|
退撫準備基金 |
$1,381,662.00 |
|
|
|
|
|
會務發展基金 |
$9,323,507.50 |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
其他資產 |
|
$1,094,365.00 |
|
結餘 |
|
$12,398,661.50 |
存出保證金 |
$1,094,365.00 |
|
|
上期結餘 |
$15,450,021.50 |
|
|
|
|
|
本月結餘 |
-$3,051,360.00 |
|
固定資產 |
|
$1,396,916.00 |
|
|
|
|
辦公室設備 |
$304,752.00 |
|
|
|
|
|
累計折舊-辦公室設備 |
-$114,886.00 |
|
|
|
|
|
電腦設備 |
$2,766,520.00 |
|
|
|
|
|
累計折舊-電腦設備 |
-$1,559,470.00 |
|
|
|
|
|
|
|
|
|
|
|
|
合 計 |
$46,471,615.00 |
$46,471,615.00 |
|
合 計 |
$46,471,615.00 |
$46,471,615.00 | |