Annual / Quarterly Financial Statement • Nov 15, 2012
Annual / Quarterly Financial Statement
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| 01.01.2012- 01.01.2011- 30.09.2012 30.09.2011 Denumirea indicatorului {r.rd 2 B A 1 14.530.704 Oifra de afaceri neta (rd. 02 + 03 - 0+ + 05 + 06) 15.732.207 01 1 13.389,454 13.978,1 19 02 P rod uctia vanduta (ct. 7 0 1 +7 02+7 03+7 04+7 05+706+70!) ffirilor(ct.7o7) 1,241,251 1,754,088 03 0 0 04 Reduceri comerciale acordate (ct. 709) Veniiuri dinTobanzi inregistrate de entitatile radiate din Registrul oeneral si care mai au in derulare contracte de leasing (ct.766) 05 frei de afaceri nete (ct 0 0 06 7411\ Venituri aferente costului productiei in curs de executie (d.711+712) 145,955 07 Sold creditor 2. 314,838 0 08 Sold debitor Produatia realirata de'entitate pentru scopurile sale proprii si capitalizata (d.721+722) 0 09 0 3. 117,699 68,691 10 Alte venituri din exploatare rcL.7417+7 58+7815) 4. - lin care venituri din fondul comercial neqativ 11 ffiE- 14.845.350 15.535,068 TOTAL ((RD.01+07 - 08+09+10) 12 @aterialele consumabile (ct. 601 +602' 4,572,424 5.752.732 13 7412\ 5. 165.812 183,639 qne cnenuieti materiale (ct. 603+604+606+608) 14 2,833,725 0) Rtte cheltuieli externe (cu energie siape ct€9!-711!L 2,468,390 15 1,152,309 1 .614,863 16 c) Cheltuieli privind marfurile (ct. 607) 0 0 Reduceri comerciale primite (ct. 609) 17 4.594,870 4,640,456 18 Cheltuieli cu personalul(rd. 1 9+20) ). 3,488,530 3,515,760 19 a) salarii (ct. 641 +642+643+644-7 41 4)^^ 1,124,696 1 ,106,340 20 blTFeftuieli cu asisurarile si protectia sociala (ct. 645-7415) Porale si necorPorale (rd' 794,158 866.691 21 22-23\ 7. 794,158 22 866,691 a.1) Cheltuieli (ct.681 1+681 3) 0 rD Venituri (ct. 7813) 23 0 -127,016 7 SlTluatailde valoare privind activele circulante (rd 25 '26) 24 151,231 577.511 25 b.1 ) Cheltuieli (ct. 654+6814) C 704.527 151,231 26 b.2) Venituri (ct.7 54+7 81 4) 1,028,324 1,065,288 Alte cheltuielide exploatare (rd 28la 31) 27 8. 8.1. Cheltuieli privind prestatiile externe 862,502 kjt.6 1 1 + 6 1 2+6 1 3 + 6 1 4 +621 + 622+ 623 +624 +625 +626 +621j628:ry1 6)- 852,291 28 99,638 129,952 8.2. Cheltuielicu alte impozite, taxe sivarsaminte asimilate (ct. 635) 29 66,184 83,045 30 8.3. Alte cheltuieli (ct. 652+ 658) G-Atuieli-ulobanzile de refi nantare inregistrate de entitatile radiate din Registrul general si care mai au in derulare contracte de leasing (ct.666-) 31 ffi 169,920 pentru riscuri si cheltuieli (rd. 33 - 34) -301,871 32 0 33 0 Cheltuieli (ct. 6812) 169,920 301,871 34 Venituri (ct.7812) ffiE -TorAL (rd.131a16- EE 16.138,957 14.844,687 17+18+21+24+27+321 PNONTUI SAU PIERDEREA DIN EXPLOATARE PTOfit 664 0 ( rd 12-35) 36 603,890 37 Pierdere (rd 35 - 12) 0 0 0 38 Venituri din interese de participare (ct.761 1+7613) 9. 39 |
Exercitiul financiar | |||
|---|---|---|---|---|
| aln car{veniturile obtinute de la entitatile afiliate |
| Ventturi din alte investitii financiare si creante care fac parte din activele | 0 | ||||||
|---|---|---|---|---|---|---|---|
| 10. | imobilizate(ct. 763) | 40 | 0 | ||||
| din care, veniturile obtinute de la entitatile afiliate | 41 | 18,467 | |||||
| 1 | Venituridin dobanzi (ct. 766) | 42 | 20,178.00 | ||||
| din care, veniturile obtinute de la entitatile aflliate | 43 | 872.248 | |||||
| Alte venituri fi nanciare (ct. 7 62+7 64+7 65+7 67 +7 68) | 44 | 1,458,359 | 890,715 | ||||
| vENITUR! FINANCIARE - TOTAL (RD. 38+40+42+441 | 45 | 1.478.537 | |||||
| Ajustari de valoare privind imobilizarile financiare si a investltille | 0 | ||||||
| 12. | financiare detinute ca active circulante (rd.47 '48) | 46 | 0 | 0 | |||
| 3heltuieli (ct.686) | 47 | 0 | |||||
| Venituri (ct.786) | 48 | 0 | 0 | ||||
| tJ. | -hEliuieli oiiUnd dobanzile (ct. 666.-7418) | 49 | 524,580 | 489,759 | |||
| iin-ere;ahettuietite obtinute de la entitatile afiliate | 5C | ||||||
| Alte cheltuieli financiare (ct. 663+664+665+667+668) | 51 | 1,808,147 | 1,987,396 | ||||
| eH eLnl tEt-t FINANCIARE - TOTAL (RD. 46+49+51 ) | 52 | 2,332,727 | 2,477,155 | ||||
| Ro F ITU L SAU P I ERDE REA F I NAN C IAR(A) | |||||||
| Profit ( rd 45-52) | 53 | 0 | 0 | ||||
| -P Pierdere (rd 52 - 45) |
54 | 854.190 | 1,586,440 | ||||
| 14 PRoTITUI SAU PIERDEREA CURENT(A) | |||||||
| Profit I rcl 1?+45-35-52\ | 55 | 0 | 0 | ||||
| Pierdere 0d 35+ 52- 1 2-4 5\ | 55 | 1,458,079 | 1.585.776 | ||||
| 15. | y'enituri extraordinare (ct. 77 1) | 57 | 0 | 0 | |||
| 16. | 3heltuieli extraordinare (ct.67 1 | 58 | 0 | 0 | |||
| 17 PROFITUL SAU PIERDEREA DIN ACTIVITATEA EXTRAORIJINAT <a< td=""> | </a<> | ||||||
| Profit ( rd 57 - 58) | 59 | 0 | 0 | ||||
| Pierdere (rd 58 - 57) | 60 | 0 | 0 | ||||
| VENITUR! TOTALE (rd 12+45+571 | 61 | 17.013,605 | 15.736.065 | ||||
| cHELTUIELI TOTALE (rd. 35+52+58) | 62 | 18.471.685 | 17.321.842 | ||||
| 18 PRoFITULSAUTIERoEREI BRUT(A) Prorit |
|||||||
| (rr1 61 -62\ | 63 | 0 | 0 | ||||
| Pierdere ftd 62-61 | 64 | 1,458,079 | 1,585,776 | ||||
| 19. IMPOZITUL PE PROFIT (Ct. 691) | 65 | 0 | 0 | ||||
| elementele de mai sus (ct' | |||||||
| 20. | 698) | 66 | 0 | 0 | |||
| 21 | ) A EXERCITIULU! FINANCIAR | ||||||
| Profit (rd. 63-64-65-66) | 67 | 0 | 0 | ||||
| Pierdere (64+65+66-63) | 68 | 1.458,079 | 1.585.776 |
Ec. Bunea Diana Florentina \$ef Birou Financiar Contabilitate
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