正 味 財 産 増 減 計 算 書 |
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平成29年4月1日から平成30年3月31日まで |
単位:円 |
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科 目 |
当年度 |
前年度 |
増 減 |
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T 一般正味財産増減の部 |
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1.経常増減の部 |
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(1)経常収益 |
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@事業収益 |
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物資販売事業収益 |
863,371,532 |
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866,359,833 |
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△ 2,988,301 |
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A受取補助金等 |
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受取民間助成金 |
3,341,430 |
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3,774,090 |
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△ 432,660 |
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B雑収益 |
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受取利息 |
16,538 |
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26,644 |
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△ 10,106 |
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雑収益 |
4,741 |
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7,084 |
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△ 2,343 |
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経常収益計 |
866,734,241 |
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870,167,651 |
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△ 3,433,410 |
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(2)経常費用 |
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@事業費 |
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物資買入 |
655,064,277 |
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645,208,135 |
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9,856,142 |
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加工賃 |
75,077,567 |
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100,488,358 |
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△ 25,410,791 |
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職員給与 |
31,019,538 |
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33,597,563 |
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△ 2,578,025 |
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賃金 |
18,146,952 |
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18,469,565 |
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△ 322,613 |
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退職給付費用 |
97,500 |
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0 |
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97,500 |
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退職給付引当金繰入 |
2,643,263 |
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4,751,744 |
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△ 2,108,481 |
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賞与引当金繰入 |
3,110,000 |
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2,659,965 |
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450,035 |
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福利厚生費 |
8,773,199 |
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9,374,168 |
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△ 600,969 |
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輸送費 |
14,458,510 |
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18,706,233 |
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△ 4,247,723 |
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保管料 |
18,831,692 |
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15,419,761 |
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3,411,931 |
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修繕引当金繰入 |
0 |
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6,057,760 |
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△ 6,057,760 |
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委託費 |
582,000 |
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582,000 |
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0 |
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普及事業費 |
4,402,984 |
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3,068,565 |
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1,334,419 |
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旅費通信費 |
2,064,421 |
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1,633,893 |
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430,528 |
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事務費 |
1,173,190 |
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1,169,887 |
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3,303 |
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消耗品費 |
742,531 |
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938,970 |
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△ 196,439 |
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図書印刷費 |
918,833 |
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906,502 |
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12,331 |
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諸謝金 |
1,690,899 |
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1,852,700 |
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△ 161,801 |
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事務委託費 |
87,300 |
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681,910 |
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△ 594,610 |
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賃借料 |
523,920 |
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523,919 |
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1 |
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雑費 |
3,018,754 |
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708,635 |
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2,310,119 |
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A管理費 |
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役員報酬 |
6,285,000 |
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5,530,000 |
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755,000 |
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職員給与 |
2,438,943 |
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2,518,071 |
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△ 79,128 |
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役員退職慰労金 |
0 |
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460,000 |
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△ 460,000 |
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退職給付引当金繰入 |
430,985 |
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892,186 |
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△ 461,201 |
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賞与引当金繰入 |
237,000 |
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172,680 |
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64,320 |
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福利厚生費 |
1,032,740 |
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748,175 |
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284,565 |
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委託費 |
18,000 |
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18,000 |
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0 |
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旅費通信費 |
57,629 |
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89,359 |
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△ 31,730 |
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事務費 |
1,849,322 |
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1,729,052 |
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120,270 |
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減価償却費 |
17,537 |
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20,607 |
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△ 3,070 |
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消耗品費 |
22,928 |
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20,424 |
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2,504 |
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修繕費 |
15,455 |
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1,800 |
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13,655 |
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図書印刷費 |
12,172 |
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65,735 |
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△ 53,563 |
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車両費 |
231,535 |
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87,939 |
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143,596 |
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水道光熱費 |
192,217 |
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184,797 |
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7,420 |
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火災保険料 |
6,308 |
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15,434 |
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△ 9,126 |
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諸謝金 |
52,500 |
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57,300 |
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△ 4,800 |
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退職給与金 |
35,607 |
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216,000 |
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△ 180,393 |
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賃借料 |
5,881 |
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5,881 |
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0 |
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雑費 |
156,437 |
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114,404 |
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42,033 |
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経常費用計 |
855,525,526 |
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879,748,077 |
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△ 24,222,551 |
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当期経常増減額 |
11,208,715 |
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△ 9,580,426 |
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20,789,141 |
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2.経常外増減の部 |
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(1)経常外収益 |
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固定資産売却益 |
157,406 |
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0 |
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157,406 |
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経常外収益計 |
157,406 |
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0 |
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157,406 |
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(2)経常外費用 |
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固定資産除却損 |
2 |
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0 |
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2 |
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経常外費用計 |
2 |
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0 |
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2 |
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当期経常外増減額 |
157,404 |
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0 |
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157,404 |
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(3)法人税及び住民税 |
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法人税及び住民税 |
0 |
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0 |
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0 |
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当期一般正味財産増減額 |
11,369,119 |
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△ 9,580,426 |
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20,946,545 |
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一般正味財産期首残高 |
257,729,860 |
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267,310,286 |
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△ 9,580,426 |
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一般正味財産期末残高 |
269,095,979 |
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257,729,860 |
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11,366,119 |
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U 指定正味財産増減の部 |
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当期指定正味財産増減額 |
0 |
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0 |
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0 |
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指定正味財産期首残高 |
19,722,160 |
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19,722,160 |
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0 |
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指定正味財産期末残高 |
19,722,160 |
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19,722,160 |
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0 |
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V 正味財産期末残高 |
288,818,139 |
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277,452,020 |
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11,366,119 |
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貸 借 対 照 表 |
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平成30年3月31日現在 |
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単位:円 |
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科目 |
当年度 |
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前年度 |
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増 減 |
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T |
資産の部 |
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1. |
流動資産 |
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現金 |
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18,015 |
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13,469 |
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4,546 |
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普通預金 |
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186,982,781 |
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189,882,489 |
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△ 2,899,708 | |
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定期預金 |
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0 |
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15,000,000 |
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△ 15,000,000 |
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未収金 |
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51,759,997 |
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59,148,911 |
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△ 7,388,914 |
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商品 |
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61,424,378 |
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42,511,249 |
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18,913,129 |
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流動資産合計 |
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300,181,171 |
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306,556,118 |
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△ 6,370,947 |
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2. |
固定資産 |
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(1)基本財産 |
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定期預金 |
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500,000 |
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500,000 |
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0 |
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基本財産合計 |
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500,000 |
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500,000 |
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0 |
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(2)特定資産 |
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退職給付特定資産 |
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34,545,908 |
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31,471,660 |
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3,074,248 |
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安定価格特定資産 |
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19,222,160 |
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19,222,160 |
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0 |
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特定資産合計 |
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53,768,068 |
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50,693,820 |
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3,074,248 |
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(3)その他固定資産 |
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建物 |
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114,902,363 |
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114,902,363 |
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0 |
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構築物 |
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5,919,700 |
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5,919,700 |
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0 |
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車両運搬具 |
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41,563,074 |
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43,428,074 |
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△ 1,865,000 |
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什器備品 |
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13,817,934 |
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12,084,833 |
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1,733,101 |
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減価償却累計額 |
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△ |
154,138,772 |
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△ |
159,165,741 |
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5,026,969 |
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土地 |
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22,231,965 |
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22,231,965 |
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0 |
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電話加入権 |
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487,292 |
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487,292 |
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0 |
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長期前払費用 |
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40,390 |
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31,560 |
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8,830 |
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福祉年金積立金 |
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2,904,208 |
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2,709,316 |
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|
194,892 |
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その他固定資産合計 |
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47,728,154 |
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42,629,362 |
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|
|
5,098,792 |
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固定資産合計 |
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|
101,996,222 |
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|
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|
93,823,182 |
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|
|
|
8,173,040 |
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資産合計 |
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|
402,181,393 |
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|
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|
400,379,300 |
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|
|
|
1,802,093 |
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|
|
U |
負債の部 |
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1. |
流動負債 |
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未払金 |
|
|
75,252,840 |
|
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|
|
82,283,972 |
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△ 7,011,132 |
|
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|
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預り金 |
|
|
197,506 |
|
|
|
|
281,243 |
|
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△ 83,737 |
|
|
|
|
|
|
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賞与引当金 |
|
|
3,347,000 |
|
|
|
|
2,832,645 |
|
|
|
|
514,355 |
|
|
|
|
|
|
|
修繕引当金 |
|
|
0 |
|
|
|
|
6,057,760 |
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|
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△ 6,057,760 |
|
|
|
|
|
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流動負債合計 |
|
|
78,817,346 |
|
|
|
|
91,455,620 |
|
|
|
|
△ 12,638,274 |
|
|
|
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2. |
固定負債 |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
退職給付引当金 |
|
|
34,545,908 |
|
|
|
|
31,471,660 |
|
|
|
|
3,074,248 |
|
|
|
|
|
|
固定負債合計 |
|
|
34,545,908 |
|
|
|
|
31,471,660 |
|
|
|
|
3,074,248 |
|
|
|
|
|
負債合計 |
|
|
113,363,254 |
|
|
|
|
122,927,280 |
|
|
|
|
△ 9,564,026 |
|
|
|
V |
正味財産の部 |
|
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|
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|
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1. |
指定正味財産 |
|
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|
|
|
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|
|
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|
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基本金 |
|
|
500,000 |
|
|
|
|
500,000 |
|
|
|
|
0 |
|
|
|
|
|
|
|
安定価格調整基金 |
|
|
19,222,160 |
|
|
|
|
19,222,160 |
|
|
|
|
0 |
|
|
|
|
|
|
指定正味財産合計 |
|
|
19,722,160 |
|
|
|
|
19,722,160 |
|
|
|
|
0 |
|
|
|
|
|
|
(うち基本財産への充当額) |
|
( |
500,000 |
) |
|
|
( |
500,000 |
) |
|
|
( |
0 |
) |
|
|
|
|
|
(うち特定資産への充当額) |
|
( |
19,222,160 |
) |
|
|
( |
19,222,160 |
) |
|
|
( |
0 |
) |
|
|
|
2. |
一般正味財産 |
|
|
269,095,979 |
|
|
|
|
257,729,860 |
|
|
|
|
11,366,119 |
|
|
|
|
|
|
(うち基本財産への充当額) |
|
( |
0 |
) |
|
|
( |
0 |
) |
|
|
( |
0 |
) |
|
|
|
|
|
(うち特定資産への充当額) |
|
( |
0 |
) |
|
|
( |
0 |
) |
|
|
( |
0 |
) |
|
|
|
|
正味財産合計 |
|
|
288,818,139 |
|
|
|
|
277,452,020 |
|
|
|
|
11,366,119 |
|
|
|
|
負債及び正味財産合計 |
|
|
402,181,393 |
|
|
|
|
400,379,300 |
|
|
|
|
1,802,093 |
|
|
|