金蝶软件报表公式定义24451
金蝶软件报表公式定义

资产负债表:货币资金年初数=ACCT("1001:1012","","NC","",0,1,1)货币资金期末数=ACCT("1001:1012","","Y","",0,0,0)交易性金融资产年初数=ACCT("1101","","NC","",0,1,1)交易性金融资产期末数=ACCT("1101","","Y","",0,0,0)应收账款年初数=ACCT("1122","","JC","",0,1,1)-ACCT("1231","","NC","",0,1,1)+ACCT("220 3","","JC","",0,1,1)应收账款期末数=ACCT("1122","","JY","",0,0,0)-ACCT("1231","","Y","",0,0,0)+ACCT("2203 ","","JY","",0,0,0)预付款项年初数=ACCT("1123","","JC","",0,1,1)+ACCT("2202","","JC","",0,1,1)预付款项期末数=ACCT("1123","","JY","",0,0,0)+ACCT("2202","","JY","",0,0,0)持有至到期投资年初数=ACCT("1501","","NC","",0,1,1)-ACCT("1502","","NC","",0,1,1)持有至到期投资期末数=ACCT("1501","","Y","",0,0,0)-ACCT("1502","","Y","",0,0,0)长期应收款年初数=ACCT("1531","","NC","",0,1,1)-ACCT("1532","","NC","",0,1,1)长期应收款期末数=ACCT("1531","","Y","",0,0,0)-ACCT("1532","","Y","",0,0,0)长期股权投资年初数=ACCT("1511","","NC","",0,1,1)-ACCT("1512","","NC","",0,1,1)长期股权投资期末数==ACCT("1511","","Y","",0,0,0)-ACCT("1512","","Y","",0,0,0)固定资产年初据=ACCT("1601","","NC","",0,1,1)-ACCT("1602","","NC","",0,1,1)-ACCT("16 03","","NC","",0,1,1)固定资产期末据=ACCT("1601","","Y","",0,0,0)-ACCT("1602","","Y","",0,0,0)-ACCT("1603", "","Y","",0,0,0)无形资产年初数=ACCT("1701","","NC","",0,1,1)-ACCT("1702","","NC","",0,1,1)-ACCT("17 03","","NC","",0,1,1)无形资产期末数=ACCT("1701","","Y","",0,0,0)-ACCT("1702","","Y","",0,0,0)-ACCT("1703", "","Y","",0,0,0)应付账款年初数=ACCT("2202","","DC","",0,1,1)+ACCT("1123","","DC","",0,1,1)应付账款期末数=ACCT("2202","","DY","",0,0,0)+ACCT("1123","","DY","",0,0,0)预收款项年初=ACCT("2203","","DC","",0,1,1)+ACCT("1122","","DC","",0,1,1)预收款项期末=ACCT("2203","","DY","",0,0,0)+ACCT("1122","","DY","",0,0,0)长期应付款年初数=ACCT("2701","","NC","",0,1,1)-ACCT("2702","","NC","",0,1,1)长期应付款期末数=ACCT("2701","","Y","",0,0,0)-ACCT("2702","","Y","",0,0,0)所有者权益年初数=SUM(I30:I31)-I32+I33+I34所有者权益期末数=SUM(H30:H31)-H32+H33+H34未分配利润=ACCT("4104","","NC","",0,1,1)+ACCT("4103","","NC","",0,1,1)未分配利润期末数=ACCT("4104","","y","",0,0,0)+ACCT("4103","","y","",0,0,0)+ACCT("6001" ,"","y","",0,0,0)+ACCT("6051","","y","",0,0,0)-ACCT("6401","","y","",0,0,0 )-ACCT("6402","","y","",0,0,0)-ACCT("6403","","y","",0,0,0)-ACCT("6601", "","y","",0,0,0)-ACCT("6602","","y","",0,0,0)-ACCT("6603","","y","",0,0,0) -ACCT("6701","","y","",0,0,0)+ACCT("6101","","y","",0,0,0)+ACCT("6111" ,"","y","",0,0,0)+ACCT("6301","","y","",0,0,0)-ACCT("6711","","y","",0,0,0 )-ACCT("6801","","y","",0,0,0)存货年初数=ACCT("1401:1406","","NC","",0,1,1)-ACCT("1471","","NC","",0,1,1)+ACC T("5001","","NC","",0,1,1)+ACCT("1408","","NC","",0,1,1)+ACCT("1411"," ","NC","",0,1,1)-ACCT("1407","","NC","",0,1,1)存货期末数==ACCT("1401:1406","","Y","",0,0,0)-ACCT("1471","","Y","",0,0,0)+ACCT(" 5001","","Y","",0,0,0)+ACCT("1408","","Y","",0,0,0)+ACCT("1411","","Y"," ",0,0,0)-ACCT("1407","","Y","",0,0,0)利润表营业收入上期数==ACCT("6001","","SL","",-1、0,0,0)+ACCT("6051","","SL","",-1、0,0,0)营业收入本期数=ACCT("6001","","SL","",0,0,0)+ACCT("6051","","SL","",0,0,0)营业成本上期数=ACCT("6401","","SL","",-1、0,0,0)+ACCT("6402","","SL","",-1、0,0,0)营业成本本期数=ACCT("6401","","SL","",0,0,0)+ACCT("6402","","SL","",0,0,0)营业税金及附加上期数=ACCT("6403","","SL","",-1、0,0,0)营业税金及附加本期数= =ACCT("6403","","SL","",0,0,0)销售费用上期=ACCT("6601","","SL","",-1、0,0,0)销售费用本期=ACCT("6601","","SL","",0,0,0)管理费用上期数=ACCT("6602","","SL","",-1、0,0,0)管理费用本期数=ACCT("6602","","SL","",0,0,0)财务费用上期=ACCT("6603","","SL","",-1、0,0,0)财务费用本期=ACCT("6603","","SL","",0,0,0)资产减值损失=ACCT("6701","","SL","",-1、0,0,0)资产减值损失==ACCT("6701","","SL","",0,0,0)公允价值变动收益=ACCT("6101","","SL","",-1、0,0,0) 公允价值变动收益=ACCT("6101","","SL","",0,0,0)投资收益=ACCT("6111","","SL","",-1、0,0,0)投资收益=ACCT("6111","","SL","",0,0,0)营业利润=E4-E5-E6-E7-E8-E9-E10+E11+E12营业利润=D4-D5-D6-D7-D8-D9-D10+D11+D12营业外收入=ACCT("6301","","SL","",-1、0,0,0)营业外收入=ACCT("6301","","SL","",0,0,0)营业外支出=ACCT("6711","","SL","",-1、0,0,0)营业外支出=ACCT("6711","","SL","",0,0,0)利润总额=E14+E15-E16利润总额=D14+D15-D16所得税费用=ACCT("6801","","SL","",-1、0,0,0)所得税费用=ACCT("6801","","SL","",0,0,0)。
金蝶软件报表公式设置

金蝶软件报表公式设置引言:随着企业规模的扩大和业务复杂度的提高,金蝶软件成为了众多企业首选的管理软件之一。
在财务报表的生成过程中,设置正确的公式是确保数据准确性和报表可靠性的关键。
本文将介绍金蝶软件中报表公式的设置方法和技巧,帮助您更好地应用金蝶软件进行财务数据分析和报表生成。
一、公式的基本概念在金蝶软件中,报表公式是由特定的函数和操作符组成的,用于在报表中计算和展示数据。
这些公式可以基于其他报表数据、计算结果或固定值进行运算,并生成最终的报表结果。
公式可以用于计算财务指标、比率、增长率等各种重要的指标,帮助企业管理者更好地理解业务情况和进行决策。
二、公式的设置步骤1. 打开金蝶软件并选择相应的报表模板。
在报表设计界面中,可以看到各种报表元素和布局。
2. 在需要设置公式的单元格中双击,并选中“设置公式”选项。
在公式编辑器中,可以输入公式表达式和相关参数。
3. 根据具体的报表需求和计算逻辑,选择合适的函数和操作符,并填写相应的参数。
金蝶软件提供了丰富的函数库,包括数学函数、逻辑函数、文本函数等,可以满足不同的计算需求。
4. 在公式编辑器中,可以通过点击工具栏上的按钮来插入字段、运算符和函数。
也可以直接手动输入相应的表达式和参数。
5. 添加公式后,可以使用预览功能来验证公式的正确性。
点击“预览”按钮,系统将根据当前的数据和报表设计,计算出公式的结果,并在预览窗口中展示。
6. 如果公式设置正确,可以点击“确认”按钮保存设置。
系统将根据公式的定义,自动计算并更新报表数据。
三、公式设置的技巧1. 使用合适的函数:金蝶软件提供了丰富的函数库,可以满足不同的计算需求。
在设置公式时,应根据具体的计算逻辑选择合适的函数,以确保计算结果准确。
2. 引用正确的单元格:在设置公式时,应确保引用的单元格和数据区域是正确的。
错误的单元格引用可能导致计算错误或显示不准确的报表结果。
3. 使用绝对引用和相对引用:金蝶软件支持绝对引用和相对引用两种引用方式。
金蝶软件公式

金蝶报表函数取数公式取数公式类型说明数据项说明必填项(是/否)ACCT总账科目取数公式。
是ACCTGROUP集团账套科目取数公式。
是A V G求平均数取数公式。
是COMPUTERTIME返回计算机当前日期。
是是COUNT统计数量取数公式,计算所有非空格单元格的个数。
CS_REF_F返回指定制作日期的合并报表,指定表页、指定是单元的值。
CURRENCYRATE集团汇率取数公式。
是DATE返回计算机当前日期。
是DATEDIFF求指定日期参数2与参数1之间的天数差。
是ITEMINFO返回指定核算项目的属性值。
是KEYWORD取表页的关键字的取数公式。
是MAX求最大值取数公式。
是MIN求最小值取数公式。
是PAGENAME取表页名称取数公式。
是PAGENO返回当前表页的值。
是REF返回指定表页、指定单元格的值。
是是REF_F 返回指定账套、指定报表、指定表页、指定单元格的值。
RPRDATA 返回指定格式的当前报表日期。
是RPTQUARTER季度取数公式。
是是RPTSHEETDATE获取当前报表指定表页的开始日期或结束日期,并以指定日期格式返回。
SUM求和取数公式。
是SYSINFO返回指定关键字的系统信息。
是常用取数公式定义举例(1) ACCT取数公式定义选择〖插入〗—>〖函数〗,系统将所有的报表取数公式列出,选择“金蝶报表函数”中的ACCT取数公式,双击鼠标左键,系统将弹出定义公式的界面,如下图所示:在进行ACCT取数公式中需要设置以下的一些参数:1、科目:首次使用可采用向导自动生成科目与核算项目参数,在科目录入框内单击F7显示如下:生成的公式描述如下:科目公式=“科目代码1:科目代码2|项目类别|项目代码1:项目代码2|项目类别|项目代码1:项目代码2”下面针对公式中“”内的内容进行说明:“”中的内容用于存放用户所选择的科目和核算项目代码。
公式中的科目代码,项目类别和项目代码,在字符“|”和“:”的分隔下可以进行20种组合,得A a::a a1:a2A|b a:|b:a|b a1:a2|bA|b|c a:|b|c:a|b|c a1:a2|b|ca|b|c:a:|b|:c:a|b|c:a1:a2|b.c:a|b|c1:c2a:|b|c1:c2:a|b|c1:c2a1:a2|b|c1:c2“a”,“a1”,“a2”表示科目代码“b”表示核算项目类别名称“C”,“C1”,“C2”表示核算项目代码“a:”表示代码大于或等于科目a的所有科目“:a”表示代码小于或等于a的所有科目“a1:a2”表示代码大于或等于a1并且小于或等于a2的所有科目“C:”表示代码大于或等于C的所有核算项目“:C”表示代码小于或等于C的所有核算项目“C1:C2”表示代码大于或等于C1并且小于或等于C2的核算项目当核算项目类别b和代码C,C1,C2都缺省时,表示指定科目下设所有的核算项目类别。
金蝶报表公式

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C 期初余额
JC 借方期初余额
DC 贷方期初余额
AC 期初绝对余额
Y 期末余额
JY 借方期末余额
DY 贷方期末余额
AY 期末绝对余额
JF 借方发生额
DF 贷方发生额
JL 借方本年累计发生额
DL 贷方本年累计发生额
SY 损益表本期实际发生额
SL 损益表本年实际发生额
B 取科目预算数据
处理方法:
1、打开报表与分析中的资产负债表,选择菜单中的属性T报表属性;
2、打开“报表属性”7“页眉页脚” T选择需要编辑的栏目T点击“编辑页眉页脚”,
如下图;
3、在“单位名称:”后输入“长沙某软件有限公司”,在分段符“ | ”后输入取数公式:
“ &[会计年度]年&[报表期间]月&[最大日期]日”,完成后点击“确定”即可保存。
如下图所示:日期取数公式:
年:&[会计年度]
月:&[报表期间]
日:&[最大日期]
在对应的公式后加入对应的单位即可。
完整的公式为:“ &[[会计年度]年&[报表期间]月&[最大日期]日
“ | ”为分段符,可以将一行分成N 段。
4、最后,退出报表时记得点击保存。
金蝶财务报表公式设置

二、营业利润(亏损以“-”号填列) 加:营业外收入 减:营业外支出 其中:非流动资产处置损失 三、利润总额(亏损总额以“-”号填列) 减:所得税费用 四、净利润(净亏损以“-”号填列) 五、每股收益: (一)基本每股收益 (二)稀释每股收益
=B2-SUM(B3:B8)+B9+B10 =ACCT("6301","SY","",0,0,0,"") =ACCT("6711","SY","",0,0,0,"") =B12+B13-B14 =ACCT("6801","SY","",0,0,0,"") =B16-B17
公式含义: 各个字母含义:
ACCT(科目范围,取数类型,币别,年度,起始期间,结束期间,账套配 ACCT 6001 SY SL C Y JC JY DC DY "" 0,0,0 -1,0,0 0,1,1
本年累计
上年本期
=ACCT("6001","SL","",0,0,0,"")+ACCT("6051","SL","",0,0,0,"") =ACCT("6001","SY","",-1,0,0,"")+ACCT("6051","SY =ACCT("6401","SL","",0,0,0,"")+ACCT("6402","SL","",0,0,0,"") =ACCT("6401","SY","",-1,0,0,"")+ACCT("6402","SY =ACCT("6403","SL","",0,0,0,"") =ACCT("6403","SY","",-1,0,0,"") =ACCT("6601","SL","",0,0,0,"") =ACCT("6601","SY","",-1,0,0,"") =ACCT("6602","SL","",0,0,0,"") =ACCT("6602","SY","",-1,0,0,"") =ACCT("6603","SL","",0,0,0,"") =ACCT("6603","SY","",-1,0,0,"") =ACCT("6701","SL","",0,0,0,"") =ACCT("6701","SY","",-1,0,0,"") =ACCT("6101","SL","",0,0,0,"") =ACCT("6101","SY","",-1,0,0,"") =ACCT("6111","SL","",0,0,0,"") =ACCT("6111","SY","",-1,0,0,"") =B2-SUM(B3:B8)+B9+B10 =ACCT("6301","SL","",0,0,0,"") =ACCT("6711","SL","",0,0,0,"") =B12+B13-B14 =ACCT("6801","SL","",0,0,0,"") =B16-B17 =B2-SUM(B3:B8)+B9+B10 =ACCT("6301","SY","",-1,0,0,"") =ACCT("6711","SY","",-1,0,0,"") =B12+B13-B14 =ACCT("6801","SY","",-1,0,0,"") =B16-B17
金蝶账务软件报表函数取数公式

金蝶账务软件报表函数取数公式 取数公式类型说明常用取数公式定义举例(1) ACCT取数公式定义选择〖插入〗—>〖函数〗,系统将所有的报表取数公式列出,选择“金蝶报表函数”中的ACCT取数公式,双击鼠标左键,系统将弹出定义公式的界面,如下图所示:在进行ACCT取数公式中需要设置以下的一些参数:1、科目:首次使用可采用向导自动生成科目与核算项目参数,在科目录入框内单击F7显示如下:生成的公式描述如下:科目公式=“科目代码1:科目代码2|项目类别|项目代码1:项目代码2|项目类别|项目代码1:项目代码2”下面针对公式中“”内的内容进行说明:“”中的内容用于存放用户所选择的科目和核算项目代码。
公式中的科目代码,项目类别和项目代码,在字符“|”和“:”的分隔下可以进行20种组合,得“a”,“a1”,“a2”表示科目代码“b”表示核算项目类别名称“C”,“C1”,“C2”表示核算项目代码“a:”表示代码大于或等于科目a的所有科目“:a”表示代码小于或等于a的所有科目“a1:a2”表示代码大于或等于a1并且小于或等于a2的所有科目“C:”表示代码大于或等于C的所有核算项目“:C”表示代码小于或等于C的所有核算项目“C1:C2”表示代码大于或等于C1并且小于或等于C2的核算项目当核算项目类别b和代码C,C1,C2都缺省时,表示指定科目下设所有的核算项目类别。
当核算项目类别b不省略,而核算项目代码缺省时,表示指定核算项目类别b中所有核算项目。
举例:取数公式表达式:ACCT(“:123|客户|003:”,“C”)表示科目代码小于或等于123,下设科目核算项目:客户,客户代码大于或等于003的本位币的期初余额。
取数公式表达式:ACCT(“214|职员|0001:0012”,“Y”)表示科目代码为214,下设科目核算项目:职员,职员代码在0001到0012之间的本位币期末余额。
为方便用户操作,提供“*”为科目参数的通配符,每一个通配符只匹配一个字符,可对科目(核算项目也适用)进行模糊取数。
金蝶自定义表格公式的设定

利
合 =以上三行合计 =以上三行合计 =以上三行合计 = 以 上 三 行 合
计
计
注:此表的本年合计指当月报表和以前报表相对应科目的累计.3 月份是 1-2 月的
累计
根据同理来设定企业内部报表,一但设定一劳永逸.为了加深印象,特留下笔记, 以备后续之用
关于金蝶自定义表格公式的设定
借方:J
借方累计:JL
贷方:D
借方累计:DL
损益:SY
借方余额:JY
贷方余额:DY
借方发生额:JF
贷方发生额:DF
表格设定原理如下:
例 如 : 货 币 资 金 的 期 初 数 : <1001:1009>.C@1 意 思 是 <1001:1009>( 科 目 代
码)+C(初期)+1(月份)
制 造 费 用本 年 管理费用
管理费用本年
目
合计
合计
工 =<410501>.JF =<410501>.JL =<550201>.JF =<550201>.JL
资
折 =<410502>.JF =<410502>.JL =<550202>.JF =<550202>.JL
旧Байду номын сангаас
福 =<410503>.JF =<410503>.JL =<550203>.JF =<550203>.JL
如果我们自己设定报表公式可以选中表格再按 F7 跳出自定义报表公式向导,按
需要选择科目代码,在右边选择你需要的类别(像借方累计数、借方发生额等等)
金蝶云星空报表公式

金蝶云星空报表公式
金蝶云星空报表公式是指在金蝶云星空报表中使用的计算公式,可以用于对数据进行计算、筛选、汇总等操作。
以下是一些常用的金蝶云星空报表公式:
1. SUM:用于求和,例如:SUM(A1:A10)表示求A1到A10单元格的和。
2. AVERAGE:用于求平均值,例如:AVERAGE(A1:A10)表示求A1到A10单元格的平均值。
3. MAX:用于求最大值,例如:MAX(A1:A10)表示求A1到A10单元格中的最大值。
4. MIN:用于求最小值,例如:MIN(A1:A10)表示求A1到A10单元格中的最小值。
5. IF:用于条件判断,例如:IF(A1>0,"正数","负数")表示如果A1大于0,则返回“正数”,否则返回“负数”。
6. COUNT:用于计数,例如:COUNT(A1:A10)表示计算A1到A10单元格中的数值个数。
7. CONCATENATE:用于字符串拼接,例如:CONCATENATE(A1," ",B1)表示将A1和B1单元格中的内容拼接在一起,中间用空格隔开。
以上是一些常用的金蝶云星空报表公式,还有很多其他的公式可以根据需要进行使用。
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资产负债表:货币资金年初数=ACCT("1001:1012","","NC","",0,1,1)货币资金期末数=ACCT("1001:1012","","Y","",0,0,0)交易性金融资产年初数=ACCT("1101","","NC","",0,1,1)交易性金融资产期末数=ACCT("1101","","Y","",0,0,0)应收账款年初数=ACCT("1122","","JC","",0,1,1)-ACCT("1231","","NC","",0,1,1)+ACCT(" 2203","","JC","",0,1,1)应收账款期末数=ACCT("1122","","JY","",0,0,0)-ACCT("1231","","Y","",0,0,0)+ACCT("22 03","","JY","",0,0,0)预付款项年初数=ACCT("1123","","JC","",0,1,1)+ACCT("2202","","JC","",0,1,1)预付款项期末数=ACCT("1123","","JY","",0,0,0)+ACCT("2202","","JY","",0,0,0)持有至到期投资年初数=ACCT("1501","","NC","",0,1,1)-ACCT("1502","","NC","",0,1,1)持有至到期投资期末数=ACCT("1501","","Y","",0,0,0)-ACCT("1502","","Y","",0,0,0)长期应收款年初数=ACCT("1531","","NC","",0,1,1)-ACCT("1532","","NC","",0,1,1)长期应收款期末数=ACCT("1531","","Y","",0,0,0)-ACCT("1532","","Y","",0,0,0)长期股权投资年初数=ACCT("1511","","NC","",0,1,1)-ACCT("1512","","NC","",0,1,1)长期股权投资期末数==ACCT("1511","","Y","",0,0,0)-ACCT("1512","","Y","",0,0,0)固定资产年初据=ACCT("1601","","NC","",0,1,1)-ACCT("1602","","NC","",0,1,1)-ACCT(" 1603","","NC","",0,1,1)固定资产期末据=ACCT("1601","","Y","",0,0,0)-ACCT("1602","","Y","",0,0,0)-ACCT("160 3","","Y","",0,0,0)无形资产年初数=ACCT("1701","","NC","",0,1,1)-ACCT("1702","","NC","",0,1,1)-ACCT(" 1703","","NC","",0,1,1)无形资产期末数=ACCT("1701","","Y","",0,0,0)-ACCT("1702","","Y","",0,0,0)-ACCT("170 3","","Y","",0,0,0)应付账款年初数=ACCT("2202","","DC","",0,1,1)+ACCT("1123","","DC","",0,1,1)应付账款期末数=ACCT("2202","","DY","",0,0,0)+ACCT("1123","","DY","",0,0,0)预收款项年初=ACCT("2203","","DC","",0,1,1)+ACCT("1122","","DC","",0,1,1)预收款项期末=ACCT("2203","","DY","",0,0,0)+ACCT("1122","","DY","",0,0,0)长期应付款年初数=ACCT("2701","","NC","",0,1,1)-ACCT("2702","","NC","",0,1,1)长期应付款期末数=ACCT("2701","","Y","",0,0,0)-ACCT("2702","","Y","",0,0,0)所有者权益年初数=SUM(I30:I31)-I32+I33+I34所有者权益期末数=SUM(H30:H31)-H32+H33+H34未分配利润=ACCT("4104","","NC","",0,1,1)+ACCT("4103","","NC","",0,1,1)未分配利润期末数=ACCT("4104","","y","",0,0,0)+ACCT("4103","","y","",0,0,0)+ACCT("600 1","","y","",0,0,0)+ACCT("6051","","y","",0,0,0)-ACCT("6401","","y","",0,0 ,0)-ACCT("6402","","y","",0,0,0)-ACCT("6403","","y","",0,0,0)-ACCT("660 1","","y","",0,0,0)-ACCT("6602","","y","",0,0,0)-ACCT("6603","","y","",0,0, 0)-ACCT("6701","","y","",0,0,0)+ACCT("6101","","y","",0,0,0)+ACCT("61 11","","y","",0,0,0)+ACCT("6301","","y","",0,0,0)-ACCT("6711","","y","",0, 0,0)-ACCT("6801","","y","",0,0,0)存货年初数=ACCT("1401:1406","","NC","",0,1,1)-ACCT("1471","","NC","",0,1,1)+A CCT("5001","","NC","",0,1,1)+ACCT("1408","","NC","",0,1,1)+ACCT("1411","","NC","",0,1,1)-ACCT("1407","","NC","",0,1,1)存货期末数==ACCT("1401:1406","","Y","",0,0,0)-ACCT("1471","","Y","",0,0,0)+ACCT ("5001","","Y","",0,0,0)+ACCT("1408","","Y","",0,0,0)+ACCT("1411",""," Y","",0,0,0)-ACCT("1407","","Y","",0,0,0)利润表营业收入上期数==ACCT("6001","","SL","",-1.0,0,0)+ACCT("6051","","SL","",-1.0,0,0)营业收入本期数=ACCT("6001","","SL","",0,0,0)+ACCT("6051","","SL","",0,0,0)营业成本上期数=ACCT("6401","","SL","",-1.0,0,0)+ACCT("6402","","SL","",-1.0,0,0)营业成本本期数=ACCT("6401","","SL","",0,0,0)+ACCT("6402","","SL","",0,0,0)营业税金及附加上期数=ACCT("6403","","SL","",-1.0,0,0)营业税金及附加本期数= =ACCT("6403","","SL","",0,0,0)销售费用上期=ACCT("6601","","SL","",-1.0,0,0)销售费用本期=ACCT("6601","","SL","",0,0,0)管理费用上期数=ACCT("6602","","SL","",-1.0,0,0)管理费用本期数=ACCT("6602","","SL","",0,0,0)财务费用上期=ACCT("6603","","SL","",-1.0,0,0)财务费用本期=ACCT("6603","","SL","",0,0,0)资产减值损失=ACCT("6701","","SL","",-1.0,0,0)资产减值损失==ACCT("6701","","SL","",0,0,0)公允价值变动收益=ACCT("6101","","SL","",-1.0,0,0)公允价值变动收益=ACCT("6101","","SL","",0,0,0)投资收益=ACCT("6111","","SL","",-1.0,0,0)投资收益=ACCT("6111","","SL","",0,0,0)营业利润=E4-E5-E6-E7-E8-E9-E10+E11+E12营业利润=D4-D5-D6-D7-D8-D9-D10+D11+D12营业外收入=ACCT("6301","","SL","",-1.0,0,0)营业外收入=ACCT("6301","","SL","",0,0,0)营业外支出=ACCT("6711","","SL","",-1.0,0,0)营业外支出=ACCT("6711","","SL","",0,0,0)利润总额=E14+E15-E16利润总额=D14+D15-D16所得税费用=ACCT("6801","","SL","",-1.0,0,0)所得税费用=ACCT("6801","","SL","",0,0,0)。