2008年注册会计师英语资料-现金流量表

现金流量表
Cash Flow Statement
编制单元: 年度 单元:元
Prepared by: Period: Monetary unit: RMB yuan
项 目 行 次 金 额
Item Line No Amount
一、经营勾当发生的现金流量:
I.Cash flows from operating activities:
发卖产物、供给劳务收到的现金 1
Cash received from the sale of goods or rendering of services
收到的税费返还 3
Refunds of taxes
收到的其他与经营勾当有关的现金 8
Other cash receipts relating to operating activities
现金流入小计 9
Sub-total of cash inflows
采办商品、接经管务支出的现金 10
Cash paid for goods and services
支出给职工以及为职工支出的现金 12
Cash paid to and on behalf of employees
支出的各项税费 13
Payments of all types of taxes
支出的其他与经营勾当有关的现金 18
Other cash payments relating to operating activities
现金流出小计 20
Sub-total of cash out flows
经营勾当发生的现金流量净额 21
Net cash flows from operating activities
二、投资勾当发生的现金流量:
Ⅱ.Cash flows from investing activities:
收回投资所收到的现金 22
Cash received from return of investments
取得投资收益所收到的现金 23
Cash received from return on investment
措置固定资产、无形资产和其他持久资产所收回的现金净额 25
Net cash received from the sale of fixed assets,intangible assets and other long- term assets
收到的其他与投资勾当有关的现金 28
other cash receipts relating to investing activities
现金流入小计 29
Sub-total of cash inflows
购建固定资产、无形资产和其他持久资产所支出的现金 30
Cash paid to acquire fixed assets, intangible assets and other long-term assets
投资所支出的现金 31
Cash paid to acquire investments
支出的其他与投资勾当有关的现金 35
Other cash payments relating to investing activities
现金流出小计 36
Sub-total of cash outflows
投资勾当发生的现金流量净额 37
Net cash flows from investing activities
三、筹资勾当发生的现金流量:
Ⅲ,Cash flows from financing activities:
领受投资所收到的现金 38
Cash received from investments by others
借债所收到的现金 40
Cash received from borrowings
收到的其他与筹资勾当有关的现金 43
Other cash receipts relating to financing activities
现金流入小计 44
Sub-total of cash inflows
了偿债务所支出的现金 45
Cash repayments of amounts borrowed
分配股利、利润或偿付利息所支会的现金 46
Cash paid for distribution of dividends or profits and for interest expenses
支出的其他与筹资勾当有关的现金 52
Other cash payments relating to financing activities
现金流出小计 53
Sub-total of cash outflows
筹资勾当发生的现金流量净额 54
Net cash flows from financing activities
四、汇率变换对现金的影响 55
IV. Effect of changes in foreign exchange rate on cash
五、现金及现金等价物净增添额 56