金蝶软件利润表公式编制

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金蝶软件利润表公式编制

金蝶软件利润表公式编制

项目本期金额(公式)一、营业收入ACCT("6001","SY","",0,0,0,"")+A CCT("6051","SY","",0,0,0,"")减:营业成本ACCT("6401","SY","",0,0,0,"")+A CCT("6402","SY","",0,0,0,"")营业税金及附加ACCT("6403","SY","",0,0,0,"")销售费用ACCT("6601","SY","",0,0,0,"") 管理费用ACCT("6602","SY","",0,0,0,"") 财务费用ACCT("6603","SY","",0,0,0,"") 资产减值损失ACCT("6701","SY","",0,0,0,"")加:公允价值变动收益(损失以“-”号填列)ACCT("6101","SY","",0,0,0,"")投资收益(损失以“-”号填列)ACCT("6111","SY","",0,0,0,"") 其中:对联营企业和合营企业的投资收益二、营业利润(亏损以“-”号填列)B2-SUM(B3:B8)+B9+B10加:营业外收入ACCT("6301","SY","",0,0,0,"") 减:营业外支出ACCT("6711","SY","",0,0,0,"") 其中:非流动资产处置损失三、利润总额(亏损总额以“-”号填列)B12+B13-B14减:所得税费用ACCT("6801","SY","",0,0,0,"")四、净利润(净亏损以“-”号填列)B16-B17五、每股收益:(一)基本每股收益(二)稀释每股收益利润表。

K3报表编制之利润表篇——摘自金蝶公司

K3报表编制之利润表篇——摘自金蝶公司

K/3报表编制之利润表篇本文概述●本文档以K/3V11.0.1为编写基础,适用于K/3V10.2之后的版本。

●本文主要介绍了三大财务报表之一的利润表的新建编制流程,旨在帮助用户完成企业利润表表的编制工作,并且取到账套中正确的数据。

●关键字:新建利润表编制板本信息●2009年8月4日V1.0 编写人:王玉板权信息●本文件使用须知著作权人保留本文件的内容的解释权,并且仅将本文件内容提供给阁下个人使用。

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著作权声明著作权所有2009 金蝶软件(中国)有限公司所有权利均予保留目录1 利润表与系统报表简介 (4)2 初次新建利润表的编制流程 (4)2.1 选择模板,另存报表 (5)2.2 调整报表不匹配科目 (6)2.3 保存报表,报表重算 (7)2.4 利润表上期金额的填列方法 (8)2.4.1 方法一 (8)2.4.2 方法二 (9)3 旧准则下利润表的编制 (10)4 利润表取数 (11)5 自定义报表公式 (12)6 结束语 (18)1利润表与系统报表简介利润表是反映企业在一定会计期间的经营成果的会计报表。

主要反映企业企业经营业绩的主要来源和构成,有助于使用者判断净利润的质量及其风险,有助于使用者预测净利润的持续性,从而作出正确的决策。

金蝶软件报表公式定义

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)精选文库财务费用本期=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)。

金蝶软件公式

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、是指定单元的值。

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,得到不同范围的科目和核算项目.组合情况如下: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其中:“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。

金蝶专业版财务报表公式代码说明表

金蝶专业版财务报表公式代码说明表
金蝶专业版财务报表公式代码说明列表
各个代码代表的含义:
数据 项


必填项 (是/否)
C
期初余额

JC 借方期初余额

DC 贷方期初余额

AC 期初绝对余额是Y期末余额是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
TAC 折合本位币期初绝对余额 是
TY 折合本位币期末余额

TJY 折合本位币借方期末余额 是
TDY 折合本位币贷方期末余额 是
TAY 折合本位币期初绝对余额 是
TJF 折合本位币借方发生额

TDF 折合本位币贷方发生额

折合本位币借方本年累计发
TJL

生额
折合本位币贷方本年累计发
TDL

生额
折合本位币损益表本期实际
TSY

发生额
折合本位币损益表本年实际
TSL

发生额
资产负债表: 期初:C,0,1,1 期末:Y,0,0,0
利润表: 本期: SY,0,0,0 上月: SY,0,-1,-1 上年同期:SY,-1,0,0 本年累计:SL,0,0,0 上年累计:SL,-1,0,0

SY 损益表本期实际发生额

SL 损益表本年实际发生额

BG 取科目本年最高预算余额 是
BD 取科目本年最低预算余额 是
BJG 本期最高预算借方发生额 是
数据 项

金蝶报表编制教程

金蝶报表编制教程

1. 说明
A. 编制报表前,需先定义报表模板(表样、公式、排版打印) B. 报表模板只需定义一次,后期直接使用 C. 报表界面类似 EXCEL。主要不同之处:嵌入了金蝶取数公式及部分操作有细微差异 以金蝶 KIS 专业版为例介绍(其他版本类似)
2. 创建报表
2.1. 新建报表
图二
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图三
计算完成保存即制作完毕
5. 重点说明 5.1. 公式理解
A. B 列公式中:年度、开始结束期间均为默认 0 表示当前,将受公式取数参数的影响,如开始期间为 2、结束期间为 3,则表示取 2-3 月的余额(即 3 月底的余额);如取数类型为 C 期初数,则表示 2 月份的期初数;如取数类型为 JF 借方发生额,则表示取 2-3 月份发生额;如取数类型为 JL 本年累 计借方发生额,则表示本年到 3 月底的借方发生额
当选中某个公式时,会提示此公式用途描述 上图点击确定进入下图
当鼠标停留在对应选项时,下方将提示对应选项用途描述。 科目、取数类型处按“F7”将弹出科目或取数类型供选择,方便输入 A. 选择科目(按 F7):
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选择科目和核算项目后点击“填入公式”将出现上图中“科目参数”1122|客户|01:02 上图中可不选择核算项目类别及核算项目代码,此时“科目参数”处为:1122 可以选择连续编码的多个科目,如 1122 到 1131 上图中点击“确定”后进入下图:
4. 报表编制
设置公式取数参数
注意事项 A. 建议选中包含未过账参数,但此参数仅适用于当前期间未过账凭证。不适用于反结账到以前期间,
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计算现在的数据 B. 缺省年度、开始结束期间为 0 表示当前年度或期间。当需计算以前期间报表,请根据实际情况设

金蝶资产负债表利润表取数详细说明

金蝶资产负债表利润表取数详细说明

(一)科目取数公式=<科目代码1:科目代码2>[$币别][.SS][@n]或=<科目代码1:科目代码2>[$币别][.SS][@(y,p)]参数说明:科目代码1:科目代码2:会计科目代码范围。

“:科目代码2”可以省略。

币别:币别代码,如RMB。

省略为综合本位币。

SS:取数标志,省略为本期期末余额。

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TC 折合本位币期初余额TJC 折合本位币借方期初余额TDC 折合本位币贷方期初余额TAC 折合本位币期初绝对余额TY 折合本位币期末余额TJY 折合本位币借方期末余额TDY 折合本位币贷方期末余额TAY 折合本位币期初绝对余额TJF 折合本位币借方发生额TDF 折合本位币贷方发生额TJL 折合本位币借方本年累计发生额TDL 折合本位币贷方本年累计发生额TSY 折合本位币损益表本期实际发生额TSL 折合本位币损益表本年实际发生额n:会计期间。

(若0:本期,-1:上一期,-2:上两期,...),省略为本期。

y:会计年份。

(若0:本年,-1:前一年,-2:前两年,...)p:指定年份的会计期间。

(二)核算项目取数核算项目取数,与科目取数公式兼容。

公式描述如下:=<科目代码1:科目代码2|项目类别|项目代码1:项目代码2>$币别.ss@n或=<科目代码1:科目代码2|项目类别|项目代码1:项目代码2>$币别.ss@(y,p)取数公式中除“<>”内有所区别,其余与科目取数中的描述完全相同。

下面只针对“<>”中的内容进行补充说明:“<>”中内容用于选择科目和核算项目,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,得到不同范围的科目和核算项目。

金蝶报表公式

金蝶报表公式

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→报表属性;
2、打开“报表属性”→“页眉页脚”→选择需要编辑的栏目→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。

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项目本期金额(公式)
一、营业收入ACCT("6001","SY","",0,0,0,"")+A CCT("6051","SY","",0,0,0,"")
减:营业成本ACCT("6401","SY","",0,0,0,"")+A CCT("6402","SY","",0,0,0,"")
营业税金及附加ACCT("6403","SY","",0,0,0,"")
销售费用ACCT("6601","SY","",0,0,0,"") 管理费用ACCT("6602","SY","",0,0,0,"") 财务费用ACCT("6603","SY","",0,0,0,"") 资产减值损失ACCT("6701","SY","",0,0,0,"")
加:公允价值变动收益(损失以“-”号填列)ACCT("6101","SY","",0,0,0,"")
投资收益(损失以“-”号填列)ACCT("6111","SY","",0,0,0,"") 其中:对联营企业和合营企业的投资收
益二、营业利润(亏损以“-”号填列)B2-SUM(B3:B8)+B9+B10
加:营业外收入ACCT("6301","SY","",0,0,0,"") 减:营业外支出ACCT("6711","SY","",0,0,0,"") 其中:非流动资产处置损失
三、利润总额(亏损总额以“-”号填列)B12+B13-B14
减:所得税费用ACCT("6801","SY","",0,0,0,"")
四、净利润(净亏损以“-”号填列)B16-B17
五、每股收益:
(一)基本每股收益
(二)稀释每股收益
利润表。

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