Budget Artikel Excel
Budget Artikel Excel
Budget Artikel Excel
Realization
P R O J
DESCRIPTION
31/12/2016 JAN FEB MARCH APRIL MAY
Assets
Current Assets
Cash and Bank 630 29,314 30,347 29,272 30,392 31,940
Trade Account Receivables 30,912 26,133 22,379 21,970 24,082 25,576
Other Receivable 3,974
Inventories 1,569 1,649 1,720 1,812 1,929 2,049
Prepaid Taxes 569 569 569 569 569 569
Advance 1,791 1,755 1,720 1,684 1,649
Other Current Assets 2,002 2,002 2,002 2,002 2,002 2,002
TOTAL NON CURRENT ASSETS 23,638 26,912 28,395 30,759 30,274 29,788
Liabilities
Current Liabilities
Short term loan
Trade Account Payable 14,100 12,373 10,866 10,840 11,914 12,736
Accrued Expenses 248 248 248 248 248 248
Tax payables 1,739 1,739 1,739 1,739 1,739 1,739
TOTAL CURRENT LIABILITIES 16,087 14,361 12,853 12,827 13,902 14,723
Capital Stock
Common Stock 1,734 27,734 27,734 27,734 27,734 27,734
Agio (disagio) 36,673 36,673 36,673 36,673 36,673 36,673
Revaluation differentials (23) (23) (23) (23) (23) (23)
Retained Earning 4,172 4,973 5,279 6,241 7,995 9,814
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BUDGET PT ABCD
INCOME STATEMENT PROJECTION OF YEAR 2017
( In Million Rupiah )
Realization
P R O J
DESCRIPTION
31/12/2014 JAN FEB MARCH APRIL MAY
TOTAL NET SALES 61,116 10,754 9,549 12,650 16,426 16,696
TOTAL COST OF GOOD SOLD 49,838 8,092 7,431 9,626 12,155 12,383
OPERATING EXPENSES :
Staff cost 2,138 804 804 866 967 967
General administration 3,964 841 911 1,048 1,079 1,079
NET PROFIT BEFORE TAX 5,215 1,022 410 1,115 2,232 2,273
NET PROFIT AFTER TAX 4,172 801 306 962 1,754 1,818
OPERATIONAL CASHFLOW
CASH INFLOW :
Collection from Sales 22,000 15,533 13,302 13,059 14,314 15,202
Interest income 22 11 11 11 11 11
Others - 3,000 - - - -
SUB TOTAL 22,022 18,544 13,313 13,070 14,325 15,213
CASH OUTFLOW :
Payments for trade payables 11,569 7,295 6,406 6,391 7,024 7,508
Labour Cost 3,949 1,739 1,739 2,082 2,580 2,580
Overhead Cost 1,095 866 866 1,271 1,593 1,593
Staff Cost 713 804 804 866 967 967
Operation Expenses 1,112 1,368 509 527 558 558
Bank Charges 9 4 4 4 4 4
Taxes 348 221 104 153 478 455
Others Expenses
SUB TOTAL 18,794 12,297 10,430 11,295 13,204 13,666
INVESTMENT CASHFLOW
Acquisition of fixed assets - (3,563) (1,850) (2,850) - -
Loan to subsidiaries (3,974) - - - - -
Investment from shareholder's - 26,000 - - - -
FINANCING CASHFLOW
Principal Repayment - Rp Loan
Principal Repayment - USD Loan
Restructured Bank Loan
Restructured affiliated payables
Bank guarantee
Minority shareholder in subsidiary
Dividends to minority interests
Dividend payment
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40,782 45,184 46,569 46,569 46,569 49,419 49,419 49,419
(21,759) (22,428) (23,154) (23,881) (24,608) (25,453) (26,298) (26,298)
10,280 10,280 10,280 10,280 10,280 10,280 10,280 10,280
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13,189 14,909 17,660 19,044 19,974 20,812 21,892 21,892
248 248 248 248 248 248 248 248
1,739 1,739 1,739 1,739 1,739 1,739 1,739 1,739
15,177 16,897 19,648 21,032 21,961 22,800 23,880 23,880
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P R O J E C T I O N 2 0 1 5 GRAND
TOTAL
JUNE JULY AUGUST SEPT OCT NOV DEC
16,536 21,500 26,746 26,940 26,251 27,864 28,987 240,898
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12,283 15,659 19,266 18,722 18,815 19,962 20,827 175,222
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4,253 5,841 7,480 8,217 7,436 7,902 8,160 65,676
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967 1,068 1,191 1,191 1,191 1,253 1,254 12,524
1,106 1,297 1,387 1,387 1,387 1,524 1,574 14,620
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2,073 2,365 2,578 2,578 2,578 2,778 2,828 27,144
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2,180 3,476 4,901 5,639 4,858 5,124 5,332 38,532
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11 11 11 11 11 11 11 129
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(4) (4) (4) (4) (4) (4) (4) (53)
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6 6 6 6 6 6 6 76
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2,187 3,483 4,908 5,646 4,864 5,130 5,339 38,609
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437 697 982 1,129 973 1,026 1,068 7,722
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1,749 2,786 3,926 4,517 3,891 4,104 4,271 30,887
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