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Uztel S.A.

Annual / Quarterly Financial Statement May 11, 2012

2352_10-q_2012-05-11_afc75cf7-84c8-410d-bae2-e56352d592c9.pdf

Annual / Quarterly Financial Statement

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UZTEL S.A.

OILFIELD EQUIPMENT MANUFACTURING AND REPAIRS

St MIHAI BRAVU 243, code 100410, PLOIESII, PRAHOVA-ROMANIA

Phone: +40 (0) 244 / 541399, 523455; 0372441111; Fax: 544531; 521181

E-mail: office@uztel ro; financiar@uztel ro

FISCAL CODE RO1352846, R.C PLOIESII NO J29/48/1991

IN INSOLVENIA

EN PROCEDURE COLLECTIVE IN INSOLVENCY

CONTUL DE PROFIT SI PIERDERE LA DATA DE 31.03.2012

Formular 20
$-LE$ l -
Denumirea indicatorului Exercitiul financiar
31.03.2011 31.03.2012
1. Cifra de afaceri neta (rd02+03-04+05+06) 01 14,895,869 13,532,892
Productia vanduta (ct. 701+702+703+704+705+706+708) 02 14,791,995 13,510,295
Venituri din vanzarea marfurilor (ct707) 03 109,535 22,597
Reduceri comerciale acordate ( ct. 709 ) 04 5,661 0
Venituri din dobinzi inregistrate de entitatile radiate din registrul general 05 0 0
si care mai au in derulare contracte de leasing (ct. 766*)
Venituri din subventii de exploatare aferente cifrei de afaceri neta 7411 06 0 0
2. Venituri aferente costului productiei in curs de executie (ct 711+712)
sold C 07 10,582,077 9,422,195
sold D 08 0 U
3 Productia realizata de entitate pentru scopuriler sale proprii si 09 0 0
capitalizata (ct. 721+722)
4. alte venituri din exploatare (ct 758+7417+7815) 10 76,083 85,893
din care, venituri din fondul comercial negativ 11 0 0.
TOTAL VENITURI DIN EXPLOATARE (rd.01+07-08+09+10) 12 25,554,029 23,040,980
5. Cheltuieli cu materiile prime si materiale consumabile (ct 601+602-7412) 13 16,942,808 12,846,466
Alte cheltuieli materiale (ct. 603+604+606+608) 14 296,019 241,739
Alte cheltuieli din afara (cu energia si apa) (ct. 605-7413) 15 1,411,424 1,697,743
Cheltuieli privind marfurile (ct.607) 16 73,638 19,604
Reduceri comerciale primite ( ct. 609) 17 4,097
6. CHELTUIELI CU PERSONALUL (rd. 19+20), din care: 18 4,851,515 4,676,028
a) Salarii si indemnizatii (ct 641+642+643+644-7414) 19 3,779,410 3,626,756
b) Cheltuieli cu asigurarile si protectia sociala (ct.645-7415) 20 1,072,105 1,049,272
7.a) Ajustarea valorii imobilizarilor corporale si necorporale (rd.22+23) 21 1,396,199 1,066,268
a.1) Cheltuieli ( ct.6811+6813) 22 1 396 199 1,066,268
a.2) Venituri ( ct.7813 ) 23 0 0
7.b) Ajustari de valoare privind activele circulante (rd. 25-26) 24 0 0
b.1) Cheltuieli (ct.654+6814) 25 0 0
b.2) Venituri ( ct. 754+7814 ) 26 0 0
8 1 Cheltuieli privind prestatiile externe (ct 611+612+613+614+621+622+
727,837
28
2,176,584
623+624+625+626+627+628-7416)
8.2. Cheltuieli cu alte impozite, taxe si varsaminte asimilate (ct 635)
29
1,563,612
25,144
8.3. Alte cheltuieli (ct 652+658)
30
339
15,306
Cheltuieli cu dobinzile de refinantare inregistrate de entitatile radiate din
31
0
0
Registrul general si care mai au in derulare contracte de leasing (ct 666)
Ajustari privind provizioanele (rd.33-34)
32 °
0
0
Cheltuieli (ct.6812)
33
0
0
Venituri ( ct. 7812 )
34
0
0
TOTAL CHELTUIELI DE EXPLOATARE (rd13 la 16-17+18+21+24+27+32)
35
27,259,294
22,764,881
REZULTATUL DIN EXPLOATARE
36
- Profit (rd. 12-35)
276,098
0
$-$ Pierdere ( $rd.35-12$ )
37
1,705,265
0
38
9. Venituri din interese de participare (ct.7611+7613)
0
0
-Din care, veniturile obtinute de la entitatile afiliate
39
0
0
10 Venuturi din alte investitii si imprumuturi creante ce fac parte din
40
0
0
activele imobilizate (ct.763)
-Din care, venituri obtinute de la entitatile afiliate
41
0
0
11 Venituri din dobinzi (ct.766
)
42
18,156
183,662
-Din care, venituri obtinute de la entitatile afiliate
43
$\mathbf{0}$
0
Alte venituri financiare (ct. 762+764+765+767+768)
44
303,581
423,391
TOTAL VENITURI FINANCIARE (rd.38+40+42+44)
45
321,737
607,053
12 Ajustari de valoare privind imobilizarilor financiare si a investitiile
46
0
0
financiare detinute ca active circulante (rd.47-48)
Cheltuieli ct.686)
47
0
0
Venituri ( ct.786 )
48
0
0
13 Cheltuieli privind dobinzile (ct.666*-7418)
49
259,807
242,593
-Din care, cheltuieli in relatia cu entitatile afiliate
50
0
0
Alte cheltuieli financiare (ct 663+664+665+667+668)
51
975,397
666,126
TOTAL CHELTUIELI FINANCIARE (rd. 46+49+51)
52
1,235,204
908,719
PROFITUL SAU PIERDEREA FINANCIAR(A):
53
- Profit (rd 45-52)
0
0
- Pierdere (rd.52-45)
54
913,467
301,666
PROFITUL SAU PIERDEREA CURENT(A):
55
- Profit (rd.12+45-35-52))
0
0
'- Pierdere (rd. 35+52-12-45)
56
2,618,732
25,568
15. Venituri extraordinare (ct 771)
57
0
0
16. Cheltuieli extraordinare (ct 671)
58
0
0
17. PROFITUL SAU PIERDEREA DIN ACTIVITATEA EXTRAORDINARA :
59
- Profit (rd.57-58)
0
0
'- Pierdere (rd.58-57)
60
0
0
61
25,875,766
23,648,033
8. Alte cheltuieli (rd 28 la 31) 27 ° 2,291,788 2,217,033
VENITURI TOTALE (rd.12+45+57)
CHELTUIELI TOTALE (rd.35+52+58) 62 28,494,498 23,673,601

$\sim$ $\sim$

PROFIT SAU PIERDEREA BRUT(A)
- Profit (rd.61-62) urgap
63
0
- Pierdere (rd.62-61 64 2,618,732 25,568
18 IMPOZITUL PE PROFIT (CT.691) 65 0 54,412
19. Alte impozite neprezentate la elementele de mai sus (ct. 698) 66 0
20. PROFITUL SAU PIERDEREA NET(A) A EXERCITIULUI FINANCIAR
- Profit (rd.63-64-65-66) 67 0
$-$ Pierdere (rd.64+65+66-63) shmati
68
2,618,732 79,980

ADMINISTRATOR JUDICIAR ADMINISTRATOR JUDICIAR EUROINSOL CONSULTING SPRL EURO INSOL SPRL Prin Asociat Coordonator Prin Practician Coordonator Maer Alina Mariana Av Borza Remus Adrian 7 C.R ረ ዓ IENCY ÈRŬ/CIU OONTABILITATE
∖∑∕Ec. Iµ@Marian DIRECTOR-ECONOMIC Ec Popescu Ileana

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