PDF문서2021회계년도 법인수익회계 추경자금예산서 [2021.10.19.].pdf

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수익사업회계 추경자금예산서

학교법인 감리교학원

2021학년도

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  (1) 수입

 (단위 : 천원)

5400 교육외수입

350,000

       

350,000

       

-

               

-

               

5410 예금이자수입

5,000

          

5,000

          

-

               

-

               

5411 예금이자

5,000

          

5,000

          

-

               

-

               

예금이자

5,000

5420 기타교육외수입

5,000

          

5,000

          

-

               

-

               

5421 잡수입

5,000

          

5,000

          

-

               

-

               

잡수입

5,000

5430 수익재산수입

340,000

       

340,000

       

-

               

-

               

5431 임대료수입

340,000

       

340,000

       

-

               

-

               

수익사업 임대료 수입

336,000

장동 임대료

4,000

5435 관리비수입

-

                

-

                

-

               

-

               

1300 고정자산매각수입

-

                

22,754,310

  

-

               

22,754,310

  

1310 유형고정자산

-

                

22,754,310

  

-

               

22,754,310

  

        매각수입

1311 토지매각대

-

                

22,439,050

  

-

               

22,439,050

  

봉명동 449- 4 토지 매각대

22,439,050

1312 건물매각대

-

                

315,260

       

-

               

315,260

      

봉명동 449- 4 건물 매각대

315,260

2200 고정부채 입금

800,000

       

800,000

       

-

               

-

               

2220 기타 고정부채

800,000

       

800,000

       

-

               

-

               

2221 임대보증금수입

800,000

       

800,000

       

-

               

-

               

임대보증금

800,000

1,150,000

    

23,904,310

  

-

               

22,754,310

  

19,943,837

  

2,821,400

-     

22,765,237

  

-

               

21,093,837

  

21,082,910

  

10,927

        

-

               

합                          계

미사용 전기 이월 자금

자  금   수   입   총  계

2 0 2 1                    

(2021. 3. 1 -  2022. 2. 28)

산  출   근  거

 2021학년도

본예산

 2021학년도

추경예산

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  (2) 지출

 (단위 : 천원)

4200 관리운영비

3,824,100

  

45,000

       

3,779,100

   

-

                

4210 시설관리비

15,000

     

15,000

     

-

                

-

                

4211 건축물관리비

5,000

      

5,000

      

-

                

-

                

건축물 관리비

3,000

건축물 수선비

2,000

4212 장비관리비

5,000

      

5,000

      

-

                

-

                

장비관리비

3,000

장비수리비

2,000

4215 시설용역비

5,000

      

5,000

      

-

                

-

                

시설용역비

5,000

4220 일반관리비

3,809,100

  

30,000

       

3,779,100

   

-

                

4221 여비교통비

1,000

        

1,000

        

-

                

-

                

출장비

1,000

4223 소모품비

100

           

100

           

-

                

-

                

사무용품

100

4226 전기,수도료

-

              

-

              

-

                

-

                

4228 세금과공과

3,807,000

  

27,900

       

3,779,100

   

-

                

부가가치세

6,850

각종 제세 공과금

21,050

4229 지급수수료

1,000

        

1,000

        

-

                

-

                

송금,제증명등 수수료

450

회계프로그램 사용료

550

2 0 2 1                    

(2021. 3. 1 -  2022. 2. 28)

산  출   근  거

 2021학년도

본예산

 2021학년도

추경예산

-10-


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  (2) 지출

 (단위 : 천원)

2 0 2 1                    

(2021. 3. 1 -  2022. 2. 28)

산  출   근  거

 2021학년도

본예산

 2021학년도

추경예산

4400 교육외비용

100

           

480,100

     

-

                

480,000

      

4420 기타교육외비용

100

           

480,100

     

-

                

480,000

      

4421 잡손실

100

           

480,100

     

-

                

480,000

      

잡손실

480,100

4500 전출금

300,000

     

300,000

     

-

                

-

                

4510  전출금

300,000

     

300,000

     

-

                

-

                

4517 수익사업전출금

300,000

     

300,000

     

-

                

-

                

법인 수익사업전출금

300,000

1200 투자와기타자산 지출

16,969,637

 

16,969,637

 

-

                

-

                

1310 유형고정자산매입지출

16,969,637

 

16,969,637

 

-

                

-

                

1311 토지매입비

3,969,637

  

3,969,637

  

-

                

-

                

신규수익사업 토지 매입비

3,969,637

1312 건물매입비

13,000,000

 

13,000,000

 

-

                

-

                

신규수익사업 건물 매입비

13,000,000

2200 고정부채상환

-

              

30,000

       

-

                

30,000

        

2220 기타고정부채상환

-

              

30,000

       

-

                

30,000

        

2221 임대보증금환급

-

              

30,000

       

-

                

30,000

        

목원스쿼시 임대보증금 환급

30,000

21,093,837

 

17,824,737

 

3,269,100

   

-

                

-

              

3,258,173

  

-

                

3,258,173

   

21,093,837

 

21,082,910

 

10,927

        

-

                

미사용 차기 이월 자금

자  금    지  출   총  계

합                         계

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