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时间:2019-08-15
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1、·序号费用名称建筑工程机电设备及安装费用金属结构及安装费用占地,淹没处理临时工程其它合计分摊费用1工程费用46842.810466.322601.54 59910.7 2工程建设其他费用 646.634917.379714.415278.4 3预备费 7518.913937.333.1基本预备费 7518.91 3.2价差预备费 0 4固定资产费用 74920.839255.65无形资产费用 0 6其它资产费用 268.3117.7037建设投资 8270843310.78建设期和部分运行初期
2、利息 1130.719固定资产原值 44323.7附表1建设投资估算表单位:万元附表2借款还本付息计算表单位:万元序号年份项目建设期运行初期正常运行期12345678910111213141借款还本付息 1.1年初借款本息累计 5080.5910403.0117672.3117639.9816981.6615868.8213847.1511651.139276.036836.554330.931767.531.1.1本金 0.004962.489924.9616541.6017639.9816981.6615868.
3、8213847.1511651.139276.036836.554330.931767.531.1.2建设期和部分运行初期利息 118.11478.051130.71 1.2本年借款 4962.484962.486616.64 1.3本年应计利息 118.11359.94652.66841.20839.66808.33755.36659.12554.59441.54325.42206.1584.131.4本年还款 32.33658.321112.842021.672196.022375.102439.482505.612563.
4、401767.531.5本年付息 841.20839.66808.33755.36659.12554.59441.54325.42206.1584.281.6本年还本付息 873.531497.981921.162777.022855.142929.692881.022831.032769.561851.812偿还借款本金的资金来源 32.33658.321112.842021.672196.022375.102439.482505.612563.402632.892.1利润 32.33658.321112.841133.821308.1714
5、87.251551.631617.761699.091768.582.2折旧 0.000.000.00864.31864.31864.31864.31864.31864.31864.312.3摊销 0.000.000.0023.5423.5423.5423.5423.540.000.002.4计入成本的利息支出 841.20839.66808.33755.36659.12554.59441.54325.42206.1584.132.5其它 0.000.000.000.000.000.000.000.000.000.00 合计 873.53
6、1497.981921.162777.022855.142929.692881.022831.032769.562717.03表中:(1.1.1),(1.1.2)分别为年初本金,建设期和部分运行初期利息累计;(1.6)=(1.4)+(1.5);(2)=(2.1)+(2.2)+(2.3)+(2.5)。注:第十五年时贷款全部还清附表3总成本费用估算表单位:万元序号年份项目运行初期正常运行期56789101112131415 发电效益发挥过程(%)30%60%80%100%100%100%100%100%100%100%100%1折旧费0.000.000.00864.318
7、64.31864.31864.31864.31864.31864.31864.312维护费199.46398.91531.88664.85664.85664.85664.85664.85664.85664.85664.853材料、燃料及动力费25.7451.4768.6385.7985.7985.7985.7985.7985.7985.7985.794保险费0.000.000.000.000.000.000.000.000.000.000.005工资及福利费216.00216.00216.00216.00216.00216.00216.00216.0
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