國立屏東高級中學校務基金
平衡表
中華民國114年12月31日          單位:新臺幣元
科 目 本年度決算數 上次決算數 比較增減 科 目 本年度決算數 上年度決算數 比較增減
金 額 金 額 金 額 金 額 金 額 金 額
資產 935,719,024.00 100.00 681,705,122.00 100.00 254,013,902.00 37.26 負債 68,185,804.00 7.29 31,000,073.00 4.55 37,185,731.00 119.95
流動資產 208,557,685.00 22.29 203,062,654.00 29.79 5,495,031.00 2.71 流動負債 63,983,554.00 6.84 26,998,145.00 3.96 36,985,409.00 136.99
 現金 192,259,058.00 20.55 186,692,990.00 27.39 5,566,068.00 2.98  應付款項 6,726,799.00 0.72 7,365,830.00 1.08 -639,031.00 -8.68
  銀行存款 192,259,058.00 20.55 186,692,990.00 27.39 5,566,068.00 2.98   應付代收款 6,533,492.00 0.70 6,986,801.00 1.02 -453,309.00 -6.49
 應收款項 271,838.00 0.03 117,207.00 0.02 154,631.00 131.93   應付費用 193,307.00 0.02 379,029.00 0.06 -185,722.00 -49.00
  其他應收款 271,838.00 0.03 117,207.00 0.02 154,631.00 131.93  預收款項 57,256,755.00 6.12 19,632,315.00 2.88 37,624,440.00 191.65
 預付款項 11,205,183.00 1.20 11,093,286.00 1.63 111,897.00 1.01   預收收入 57,256,755.00 6.12 19,632,315.00 2.88 37,624,440.00 191.65
  預付費用 11,205,183.00 1.20 11,093,286.00 1.63 111,897.00 1.01 其他負債 4,202,250.00 0.45 4,001,928.00 0.59 200,322.00 5.01
 短期貸墊款 4,821,606.00 0.52 5,159,171.00 0.76 -337,565.00 -6.54  遞延負債 2,103,616.00 0.22 2,631,766.00 0.39 -528,150.00 -20.07
  短期墊款 4,821,606.00 0.52 5,159,171.00 0.76 -337,565.00 -6.54   遞延收入 2,103,616.00 0.22 2,631,766.00 0.39 -528,150.00 -20.07
投資、長期應收款、貸墊款及準備金 9,983,309.00 1.07 11,843,113.00 1.74 -1,859,804.00 -15.70  什項負債 2,098,634.00 0.22 1,370,162.00 0.20 728,472.00 53.17
 準備金 9,983,309.00 1.07 11,843,113.00 1.74 -1,859,804.00 -15.70   存入保證金 2,098,634.00 0.22 1,370,162.00 0.20 728,472.00 53.17
  其他準備金 9,983,309.00 1.07 11,843,113.00 1.74 -1,859,804.00 -15.70 淨值 867,533,220.00 92.71 650,705,049.00 95.45 216,828,171.00 33.32
不動產、廠房及設備 634,538,590.00 67.81 403,487,482.00 59.19 231,051,108.00 57.26 基金 866,092,511.00 92.56 681,264,630.00 99.94 184,827,881.00 27.13
 土地改良物 17,024,141.00 1.82 20,878,637.00 3.06 -3,854,496.00 -18.46  基金 866,092,511.00 92.56 681,264,630.00 99.94 184,827,881.00 27.13
  土地改良物 39,958,134.00 4.27 39,958,134.00 5.86 0.00 0.00   基金 866,092,511.00 92.56 681,264,630.00 99.94 184,827,881.00 27.13
  累計折舊-土地改良物 -22,933,993.00 -2.45 -19,079,497.00 -2.80 -3,854,496.00 20.20 公積 12,404,258.00 1.33 34,034,762.00 4.99 -21,630,504.00 -63.55
 房屋及建築 72,496,577.00 7.75 74,432,957.00 10.92 -1,936,380.00 -2.60  資本公積 12,404,258.00 1.33 34,034,762.00 4.99 -21,630,504.00 -63.55
  房屋及建築 94,680,649.00 10.12 94,680,649.00 13.89 0.00 0.00   受贈公積 12,404,258.00 1.33 34,034,762.00 4.99 -21,630,504.00 -63.55
  累計折舊-房屋及建築 -22,184,072.00 -2.37 -20,247,692.00 -2.97 -1,936,380.00 9.56 累積餘絀 -10,963,549.00 -1.17 -64,594,343.00 -9.48 53,630,794.00 -83.03
 機械及設備 15,102,138.00 1.61 14,297,608.00 2.10 804,530.00 5.63  累積短絀 -10,963,549.00 -1.17 -64,594,343.00 -9.48 53,630,794.00 -83.03
  機械及設備 54,803,336.00 5.86 53,680,503.00 7.87 1,122,833.00 2.09   累積短絀 -10,963,549.00 -1.17 -64,594,343.00 -9.48 53,630,794.00 -83.03
  累計折舊-機械及設備 -39,701,198.00 -4.24 -39,382,895.00 -5.78 -318,303.00 0.81 0.00 0.00 0.00 0.00 0.00
 交通及運輸設備 1,161,132.00 0.12 1,128,095.00 0.17 33,037.00 2.93 0.00 0.00 0.00 0.00 0.00
  交通及運輸設備 5,381,359.00 0.58 5,245,024.00 0.77 136,335.00 2.60 0.00 0.00 0.00 0.00 0.00
  累計折舊-交通及運輸設備 -4,220,227.00 -0.45 -4,116,929.00 -0.60 -103,298.00 2.51 0.00 0.00 0.00 0.00 0.00
 什項設備 25,121,943.00 2.68 28,035,375.00 4.11 -2,913,432.00 -10.39 0.00 0.00 0.00 0.00 0.00
  什項設備 105,003,210.00 11.22 106,945,859.00 15.69 -1,942,649.00 -1.82 0.00 0.00 0.00 0.00 0.00
  累計折舊-什項設備 -79,881,267.00 -8.54 -78,910,484.00 -11.58 -970,783.00 1.23 0.00 0.00 0.00 0.00 0.00
 購建中固定資產 503,632,659.00 53.82 264,714,810.00 38.83 238,917,849.00 90.25 0.00 0.00 0.00 0.00 0.00
  未完工程 503,632,659.00 53.82 264,714,810.00 38.83 238,917,849.00 90.25 0.00 0.00 0.00 0.00 0.00
無形資產 829,501.00 0.09 1,420,119.00 0.21 -590,618.00 -41.59 0.00 0.00 0.00 0.00 0.00
 無形資產 829,501.00 0.09 1,420,119.00 0.21 -590,618.00 -41.59 0.00 0.00 0.00 0.00 0.00
  電腦軟體 829,501.00 0.09 1,420,119.00 0.21 -590,618.00 -41.59 0.00 0.00 0.00 0.00 0.00
其他資產 81,809,939.00 8.74 61,891,754.00 9.08 19,918,185.00 32.18 0.00 0.00 0.00 0.00 0.00
 遞延資產 6,786,671.00 0.73 14,100,990.00 2.07 -7,314,319.00 -51.87 0.00 0.00 0.00 0.00 0.00
  遞延費用 6,786,671.00 0.73 14,100,990.00 2.07 -7,314,319.00 -51.87 0.00 0.00 0.00 0.00 0.00
 什項資產 75,023,268.00 8.02 47,790,764.00 7.01 27,232,504.00 56.98 0.00 0.00 0.00 0.00 0.00
  存出保證金 0.00 0.00 10,000.00 0.00 -10,000.00 -100.00 0.00 0.00 0.00 0.00 0.00
  暫付及待結轉帳項 75,023,268.00 8.02 47,780,764.00 7.01 27,242,504.00 57.02 0.00 0.00 0.00 0.00 0.00
  代管資產 534,344,470.00 57.11 534,344,470.00 78.38 0.00 0.00 0.00 0.00 0.00 0.00 0.00
  累計折舊-代管資產 -98,908,356.00 -10.57 -92,698,860.00 -13.60 -6,209,496.00 6.70 0.00 0.00 0.00 0.00 0.00
  應付代管資產 -435,436,114.00 -46.53 -441,645,610.00 -64.79 6,209,496.00 -1.41 0.00 0.00 0.00 0.00 0.00
合 計 935,719,024.00 100.00 681,705,122.00 100.00 254,013,902.00 37.26 合 計 935,719,024.00 100.00 681,705,122.00 100.00 254,013,902.00 37.26
附 註:
1.信託代理與保證資產科目,本年度決算數為 $2,201,580 及上年度決算數為 $1,619,420
2.信託代理與保證負債科目,本年度決算數為 $2,201,580 及上年度決算數為 $1,619,420