审计报告资产负债表利润表现金流量表财务表报表附注英文模板.docx
- 文档编号:6280313
- 上传时间:2023-01-05
- 格式:DOCX
- 页数:26
- 大小:83KB
审计报告资产负债表利润表现金流量表财务表报表附注英文模板.docx
《审计报告资产负债表利润表现金流量表财务表报表附注英文模板.docx》由会员分享,可在线阅读,更多相关《审计报告资产负债表利润表现金流量表财务表报表附注英文模板.docx(26页珍藏版)》请在冰豆网上搜索。
审计报告资产负债表利润表现金流量表财务表报表附注英文模板
Exhibit18-b:
ScannedCopiesofAuditReport
BeijingNseerTechnologyCo.,Ltd.
AuditReportof2014
JSLSZ(2015)No.1008
Contents
ProjectContentsNo.
AuditReport1-2
BalanceSheet3
StatementofProfitandProfitDistribution4
CashFlowStatement5
AffiliatedNotestoAccountingStatement6-12
AuditReport
JSLSZ(2015)No.1008
BeijingNseerTechnologyCo.,Ltd.
WehaveauditedtheaccompanyingbalancesheetofBeijingNseerTechnologyCo.,Ltd.,includingthebalancesheetonDec.31,2014,statementofprofitandprofitdistribution,cashflowstatement,andnotestothefanaticalstatements.
I.Management’sResponsibilityfortheFinancialStatements.
ThemanagementisresponsibleforthepreparationandfairpresentationofthesefinancialstatementsinaccordancewiththeAccountingStandardsforBusinessEnterprisesandChinaAccountingSystemforBusinessEnterprises.Thisresponsibilityincludes:
(1)designing,implementingandmaintaininginternalcontrolrelevanttothepreparationandfairpresentationoffinancialstatementsthatarefreefrommaterialmisstatement,whetherduetofraudorerror;
(2)selectingandapplyingappropriateaccountingpolicies;and(3)makingaccountingestimatesthatarereasonableinthecircumstances.
II.Auditor’sResponsibility
Ourresponsibilityistoexpressanopiniononthesefinancialstatementsbasedonouraudit.WeconductedourauditinaccordancewiththeStandardsonAuditingforCertifiedPublicAccountants.Thosestandardsrequirethatwecomplywithethicalrequirementsandplanandperformtheaudittoobtainreasonableassurancewhetherthefinancialstatementsarefreefrommaterialmisstatement.
Anauditinvolvesperformingprocedurestoobtainauditevidenceabouttheamountsanddisclosuresinthefinancialstatements.Theproceduresselecteddependontheauditor’sjudgment,includingtheassessmentoftherisksofmaterialmisstatementofthefinancialstatements,whetherduetofraudorerror.Inmakingthoseriskassessments,theauditorconsidersinternalcontrolrelevanttotheentity’spreparationandfairpresentationofthefinancialstatementsinordertodesignauditproceduresthatareappropriateinthecircumstances,butnotforthepurposeofexpressinganopinionontheeffectivenessoftheentity’sinternalcontrol.Anauditalsoincludesevaluatingtheappropriatenessofaccountingpoliciesusedandthereasonablenessofaccountingestimatesmadebymanagement,aswellasevaluatingtheoverallpresentationofthefinancialstatements.
Webelievethattheauditevidencewehaveobtainedissufficientandappropriatetoprovideabasisforourauditopinion.
III.Auditopinion
Inouropinion,thefinancialstatementsofBeijingNseerTechnologyCo.,Ltd.ispreparedinaccordancewiththeAccountingStandardsforBusinessEnterprises,andgiveatrueandfairviewofthefinancialpositionoftheBeijingNseerTechnologyCo.,Ltd.asofDec.31,2014,andofitsfinancialperformanceanditscashflowsfortheYear2014
Attached:
1.BalanceSheetonDecember31,2014ofBeijingNseerTechnologyCo.,Ltd.
2.StatementofProfitandProfitDistributionTablein2014ofBeijingNseerTechnologyCo.,Ltd.
3.CashFlowStatementin2014ofBeijingNseerTechnologyCo.,Ltd.
4.AffiliatedNotestoAccountingStatementin2014ofBeijingNseerTechnologyCo.,Ltd.
BeijingShoulvCPAs(LLP)ChineseCertifiedPublicAccountant:
JianhuaHu(Seal)
BeijingChinaChineseCertifiedPublicAccountant:
FujunYan(Seal)
January15,2015
BalanceSheet
Dec.31,2014
PreparationUnit:
BeijingNseerTechnologyCo.,Ltd.Unit:
Yuan
Assets
Number
ATBEG.OFPERIOD
ATENDOFPERIOD
Liabilitiesandowner‘sequity
Number
ATBEG.OFPERIOD
ATENDOFPERIOD
Currentassets:
Currentliabilities:
Cash
1
8,795,371.89
6,423.603.36
Short-termborrowing
68
5,000,000.00
Short-terminvestment
2
Notespayable
69
Notesreceivable
3
Accountpayable
70
2,089,792.28
2,780,850.80
Dividendsreceivable
4
Depositreceived
71
11,872,740.01
5,290,517.72
Interestreceivable
5
Wagespayable
72
Receivables
6
1,695,735.67
9,685,647.71
Welfarepayable
73
Otherreceivables
7
567,592.27
3,511,700.72
Dividendspayable
74
Advancepayment
8
6.771,252.00
6.556,171.74
Taxpayable
75
256,750.26
Allowancereceivable
9
-
Otherfeespayable
80
Inventory
10
4,827,849.02
6,021.269.21
otherpayables
81
4,723,177.26
2,178,433.80
Deferredandprepaidexpenses
11
3,148,551.67
1,418,218.67
Unpaidprofits
76
Long-termbondinvestmentsduewithinoneyear
21
Drawingexpenseinadvance
82
Othercurrentassets
24
Anticipationliabilities
83
long-termdebtduewithinoneyear
86
Totalcurrentassets
31
25.806,352.52
33,616,611.41
Othercurrentliability
90
Long-terminvestment:
Totalcurrentliability
100
18,685.709.55
15,506,552.58
Long-termequityinvestment
32
Long-termliabilities
Long-termdebtinvestment
34
Long-termloan
101
Totalforlong-terminvestment
38
-
-
Bondspayable
102
Fixedassets:
long-termpayable
103
Originalvalueoffixedassets
39
33,496,225.52
35,248,378.11
Specialpayable
106
Less:
accumulateddepreciation
40
3,230,930.08
6,003,029.44
Otherlong-termliabilities
108
Netvalueoffixedassets
41
30,265,295.44
29.245.348.67
Totallong-termliabilities
110
Less;fixedassetsdepreciationreserves
42
Deferredtax:
Netfixedassets
43
30,265,295.44
29,245,348.67
Deferredtaxcredit
111
Engineeringmaterial
44
TotalLiabilities
114
18,685.709.55
15,506,552.58
Constructioninprogress
45
Minoritystockholder'sinterest
Disposaloffixedassets
46
Owner'sequity(stockholdersequity)
Totalfixedassets
50
30,265.295.44
29,245,348.67
Paid-upcapital(ordividends)
115
9,200,000.00
9,200,000.00
Intangibleassetsandotherassets:
Less:
investmentreturned
116
Intangibleassets
51
6,881,000.00
6,164,000.00
Netpaid-upcapital(dividends)
117
9,200,000.00
9,200,000.00
Long-termdeferredandprepaidexpenses
52
Capitalreserve
118
Otherlong-termassets
53
Surplusreserve
119
Intangibleassetsandtotalotherassets
60
6,884,000.00
6,164,000.00
Among:
statutorypublicwelfarefund
120
Deferredtax:
Undistributedprofit
121
35,069,938.41
44,319,407.50
Deferredtaxesdebit
61
Totalowner'sequity(stockholdersequity)
122
44,269,938.41
53,519,407.50
Totalassets
67
62,955,647.96
69,025,960.08
Totalliabilitiesandowner'sequity(orshareholder'sequity)
135
62,955,647.96
69,025,960.08
ProfitStatement
PreparationUnit:
BeijingNseerTechnologyCo.,Ltd.2014Unit:
Yuan
Items
Number
ThisYearCumulativeAmount
Last-termAmount
I.Mainoperationrevenue
1
83,101,574.86
83,101,574.86
Less:
mainoperatingcosts
2
53,429,923.73
53,429,923.73
Mainoperatingtaxandadditions
3
1,958,608.31
1,958,608.31
II.Mainoperatingprofits(fillby“-”forlosses)
4
27,713,042.82
27,713,042.82
Add:
otheroperatingprofits(fillby“-”forlosses)
5
-
Less:
operatingcosts
6
11,360,387,.19
11,360,387,.19
Managementcosts
7
5,216,791.17
5,216,791.17
Financialcosts
8
254,136.12
254,136.12
III.Operatingprofit(fillby“-”fortotallosses)
9
10,881,728.34
10,881.728.34
Add:
incomefrominvestment(fillby“-”fortotallosses)
10
-
Subsidyrevenue
11
-
Non-operatingrevenue
12
-
Less:
non-operatingexpenses
14
-
IV.Totalprofit(fillby“-”fornetlosses)
15
10,881,728.34
10,881,728.34
Less:
incometax
16
1,632,259.25
1,632,259.25
Minoritystockholder'sinterest
17
-
V.Netprofits(fillby“-”fortotallosses)
18
9,249,469.09
9,249,469.09
CashFlowStatement
PreparationUnit:
BeijingNseerTechnologyCo.,Ltd.2014Unit:
Yuan
Items
Number
Amount
SupplementalInformation
Number
Amount
I.Cashflowsfromoperatingactivities:
1.Reconciliationofnetprofittocashflowsfromoperatingactivities
Cashreceivedfromsalesofgoodsorrendingofservices
1
66,219,463.68
Netprofit
57
9,249,469.09
Refundoftaxandlevy
3
Plus:
Provisionforassets
58
Othercashreceivedrelatingtooperatingactivities
8
1,658,893.37
Depreciationoffixedassets
59
2,772,099.36
Sub-totalofcashinflows
9
67,878,357.05
Amortizationofintangibleassets
60
720,000.00
Cashpaidforgoodsandservices
10
46,219,217.11
Amortizationoflong-termdeferredexpenses
61
-
Cashpaidtoandbehalfofemployees
12
10,970,060.81
Decreaseofdeferredexpenses(Less:
addition)
64
1,730,333.00
Cashpaidtotaxesandexpenses
13
2,770,854.20
Additionofaccruedexpense(Less:
decrease)
65
Othercashpaidrelatingtooperatingactivities
18
8,537,840.54
Lossesondisposaloffixedassets,intangibleassetsandotherlong-termassets(ordeduct:
gain)
66
Sub-totalofcashoutflows
20
68,497,972.99
Lossesonscrappingoffixedassets
67
Netcashflowsfromoperatingactivities
21
-619,615.94
FinanceExpense
68
II.Cashflowsfrominvestingactivities
Lossesarisingfrominvestment(ordeduct:
gain)
69
Cashreceivedfromreturnofinvestment
22
Deferredtaxcredit(ordeduct:
debit)
70
Cashreceivedfrominvestments
23
Decreaseininventories(ordeduct:
increase)
71
-1,193,420.19
Netcashreceivedfromdisposaloffixedassets,intangibleassetsandotherlong-termassets
25
Decreaseinoperatingreceivables(ordeduct:
increase)
72
-10,718,940.23
O
- 配套讲稿:
如PPT文件的首页显示word图标,表示该PPT已包含配套word讲稿。双击word图标可打开word文档。
- 特殊限制:
部分文档作品中含有的国旗、国徽等图片,仅作为作品整体效果示例展示,禁止商用。设计者仅对作品中独创性部分享有著作权。
- 关 键 词:
- 审计报告 资产负债表 利润 表现 流量表 财务 表报 附注 英文 模板