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Sinteza S.A. — Audit Report / Information 2013
Feb 17, 2014
2331_er_2014-02-17_439791fd-d524-4ed3-a114-bfeed194af99.pdf
Audit Report / Information
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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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