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Sinteza S.A.

Annual / Quarterly Financial Statement Feb 17, 2014

2331_er_2014-02-17_439791fd-d524-4ed3-a114-bfeed194af99.pdf

Annual / Quarterly Financial Statement

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S.C. Sinteza S.A.

Oradea

Situatia pozitiei financiare, individuala si consolidata - preliminata
la 31.12.2013

Indicator Individual Consolidat
31.12.2013 31.12.2012 31.12.2013 31.12.2012
Imobilizari corporale
Terenuri si amenajari la terenuri 17.665.100 17.665.100 17.665.100 17.665.100
Constructii 18.837.911 16.839.240 18.837.911 16.839.240
Instalatii tehnice si mijloace de transport 16.715.521 4.417.820 16.918.521 4.642.175
Mobilier, aparatură birotica [] 9.632 11.596 9.632 11.596
Imobilizari corporale in curs de executie 4.208.053 16.946.330 4.208.053 16.946.330
Imobilizari necorporale $\mathbf{0}$ 0 $\mathbf 0$ 0
Cheltuieli de dezvoltare $\pmb{0}$ 0 0 $\pmb{0}$
Concesiuni, brevete, licențe, mărci comerciale,
drepturi și active similare
$\bf{0}$ 0 0 0
Alte imobilizări necorporale 257.358 257.358 174.007 171.108
Imobilizari necorporale in curs de executie 573.590 $\Omega$ 573.590 $\Omega$
Total Active Imobilizate 58.267.165 56.137.444 58.386.814 56.275.549
Active Curente
Stocuri 6.461.404 5.308.152 6.806.519 5.702.245
Creante comerciale si alte creante 19.016.452 20.778.541 17.591.181 19.163.881
Cheltuieli inregistrate in avans 747.469 917.510 747.469 917.510
Numerar si echivalente de numerar 630.701 68.881 634.209 69.759
Active clasificate ca detinute pentru vanzare 24.489.000 22.706.000 24.489.000 22.706.000
Total Active Curente 51.345.026 49.779.084 50.268.378 48.559.395
Total Active 109.612.191 105.916.528 108.655.192 104.834.944
Capitaluri Proprii
Capital social 9.916.889 9.916.889 9.920.639 9.920.639
Prime de capital 0 $\Omega$ $\mathbf 0$ 0
Rezerve 157.087.652 157.076.477 158.429.963 158.418.788
Rezultatul exercituilui 56.087 1.102.075 76.805 1.049.478
Rezultatul reportat $-80.851.784$ $-80.716.308$ $-83.327.218$ $-83.139.144$
Alte elemente de capitaluri proprii $-11.714$ $-69.809$ $-11.714$ $-69.809$
Total Capitaluri Proprii 86.197.130 87.309.324 85.088.475 86.179.952
Datorii pe Termen Lung
Imprumuturi pe termen lung și alte datorii 6.507.728 7.025.101 6.507.728 7.025.101
Venituri inregistrate in avans 0 0 0 0
Provizioane 0 $\Omega$ $\mathbf 0$ $\Omega$
Datorii privind impozitul amanat $\mathbf 0$ $\Omega$ $\Omega$ 0
Total Datorii pe Termen Lung 6.507.728 7.025.101 6.507.728 7.025.101
Datorii Curente
Imprumuturi pe termen scurt 10.854.213 4.462.390 10.854.213 4.462.390
Datorii comerciale si alte datorii, inclusiv
instrumente financiare derivate 6.053.120 7.119.712 6.204.776 7.167.501
Venituri inregistrate in avans 0 0 0 0
Provizioane 0 0 $\mathbf 0$ 0
Datorii clasificate ca detinute pentru vanzare 0 0
Total Datorii Curente 16.907.333 11.582.102 17.058.989 11.629.891
Total Datorii 23.415.061 18.607.203 23.566.717 18.654.992
Total Capitaluri Proprii si Datorii 109.612.191 105.916.527 108.655.192 104.834.944

Director General A CO Sorin Pasula

ŭ.

S.A. $29$ mpre

Director Financiar Mircea Bonta

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