科目一级科目二级科目现金货币资金现金银行存款货币资金银行存款坏账准备应收账款(其他应收款、应收票据等)坏账准备短期投资跌价准备短期投资短期投资跌价准备存货跌价准备存货存货跌价准备长期投资减值准备长期投资长期投资减值准备无形资产减值准备无形资产无形资产减值准备在建工程减值准备在建工程在建工程减值准备另外,所有涉及利润分配的一级科目名称参见利润及利润分配表1、所有绿色单元格勿动,以免公式有变动2、请勿增加或删除行、列。3、使用时只需输入报表中的“调整前”部分和调整分录汇总表4、在输入分录时,所使用一级科目名称一定要与报表中所使用的严格一致!二、三级科目不限5、部分科目在报表中没有相应的名称,分录录入方式如下:科目三级科目各银行账户往来方要与报表中所使用的严格一致!二、三级科目不限12/31/2002编制单位:资产2000.12.312001.12.312002.12.312003.4.30调整数借方贷方流动资产:现金80,404.9092,047.1029,913.4493,605.87--银行存款83,103,120.0681,058,177.1768,649,098.0777,268,198.28--其中:经纪业务客户资金存款81,257,615.6780,624,159.38198,491.60222,626.39--自有资金存款434,017.7968,450,606.4777,045,571.89--清算备付金13,084,867.38812,004.4215,526,260.8615,705,548.78--其中:经纪业务客户资金存款13,084,867.38812,004.4259,820.66487,814.70--自有资金存款15,466,440.2015,217,734.08--交易保证金781,631.57950,000.00950,000.00950,000.00--应收款项92,100,041.5379,300,109.3050,840,500.5340,868,042.98--坏账准备276,300.12172,622.94254,202.50254,202.50--应收款项净额91,823,741.4179,127,486.3650,586,298.0340,613,840.48--应收股利--应收利息--代发行证券--代兑付债券41,285,568.8979,667,860.76--受托资产--代转发行费用--待摊费用141,797.29186,184.40131,788.09381,613.31--待处理流动资产净损失93,087.09--一年内到期的长期债权投资--其他流动资产------流动资产合计230,394,218.59241,893,760.21135,873,358.49135,012,806.72----长期投资:--长期股权投资10,761,379.6412,566,156.682,549,905.792,549,905.79--长期债权投资119,869.0040,154,869.54235,869.54--长期投资合计10,881,248.6452,721,026.222,785,775.332,549,905.79--长期投资减值准备111,698.69125,499.0627,857.7527,857.75--长期投资合计10,769,549.9552,595,527.162,757,917.58-2,522,048.04----固定资产:--固定资产原值59,861,922.4478,298,776.7243,677,825.1043,684,625.10--累计折旧4,052,684.176,417,820.279,042,338.8210,194,073.97--固定资产净值55,809,238.2771,880,956.4534,635,486.2833,490,551.13--固定资产减值准备--固定资产净额55,809,238.2771,880,956.4534,635,486.2833,490,551.13--工程物资--在建工程--固定资产清理--待处理固定资产净损失--固定资产合计55,809,238.2771,880,956.4534,635,486.2833,490,551.13----无形资产及其他资产:--交易席位费1,834,999.962,024,999.931,784,999.931,704,999.93--长期待摊费用12,341,644.2015,087,665.6111,160,391.3310,069,989.37--其他长期资产15,838,004.19--无形及其他资产合计30,014,648.3517,112,665.5412,945,391.2611,774,989.30----递延税项:--递延税项借项----资产合计326,987,655.16383,482,909.36186,212,153.61182,800,395.19--check资产负债表12/31/2002调整后负债及权益2000.12.312001.12.312002.12.312003.4.30调整数借方流动负债:93,605.87短期借款-77,268,198.28拆入资金49,000,000.0014,000,000.005,000,000.005,000,000.00-卖出回购证券款50,000,000.00222,626.39应付款项20,115,733.1346,455,666.0544,279,967.5134,674,141.40-77,045,571.89应付工资199,214.31189,535.41113,489.71113,489.71-15,705,548.78应付福利费350,335.79538,862.08612,419.23529,019.23-487,814.70应付利润-15,217,734.081,175,407.95783,283.291,078,695.86930,212.47-预提费用1,744,590.98950,000.00代买卖证券款94,342,483.0581,117,984.3784,002,189.1492,976,3...