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貸借対照表は、特定の時点における企業の財務状況を示す決算書類の一つです。投資家や債権者が企業の財務健全性を評価したり、貸借対照表の複数の期間を比較することによって、企業の成長や変化を把握することができます。貸借対照表は、資産、負債、資本の3つのセクションに分かれ、資産の合計が、負債と資本の合計と必ず一致するようにできています。
貸借対照表 損益計算書
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2026年3月31日
| | (単位:千円) |
| 前事業年度 (2025年3月31日) | 当事業年度 (2026年3月31日) |
資産の部 | | |
流動資産 | | |
現金預金 | 2,288,699 | 2,385,920 |
受取手形 | 525,261 | 118,096 |
完成工事未収入金 | 14,115,182 | 10,134,720 |
有価証券 | 99,426 | 100,000 |
未成工事支出金 | 127,526 | 72,203 |
材料貯蔵品 | 27,584 | 22,437 |
前払費用 | 50,881 | 69,700 |
未収還付法人税等 | 145,020 | - |
その他 | 130,580 | 170,921 |
貸倒引当金 | △42,500 | △30,000 |
流動資産合計 | 17,467,664 | 13,044,000 |
固定資産 | | |
有形固定資産 | | |
建物 | 3,471,904 | 3,503,158 |
減価償却累計額 | △2,365,205 | △2,424,287 |
建物(純額) | 1,106,699 | 1,078,871 |
構築物 | 1,997,325 | 2,003,825 |
減価償却累計額 | △1,427,650 | △1,484,719 |
構築物(純額) | 569,674 | 519,105 |
機械及び装置 | 5,219,414 | 5,371,017 |
減価償却累計額 | △4,460,379 | △4,614,167 |
機械及び装置(純額) | 759,035 | 756,850 |
車両運搬具 | 100,356 | 112,463 |
減価償却累計額 | △81,228 | △92,998 |
車両運搬具(純額) | 19,128 | 19,465 |
工具器具・備品 | 997,026 | 1,061,703 |
減価償却累計額 | △907,346 | △934,852 |
工具器具・備品(純額) | 89,679 | 126,851 |
土地 | 5,299,693 | 5,299,693 |
建設仮勘定 | 22,200 | - |
有形固定資産合計 | 7,866,110 | 7,800,836 |
無形固定資産 | | |
ソフトウエア | 11,789 | 17,408 |
ソフトウエア仮勘定 | 93,316 | 471,150 |
その他 | 8,578 | 8,578 |
無形固定資産合計 | 113,685 | 497,138 |
投資その他の資産 | | |
投資有価証券 | 4,816,013 | 6,571,222 |
従業員に対する長期貸付金 | 7,055 | 5,453 |
長期前払費用 | 12,802 | 27,351 |
前払年金費用 | 484,085 | 567,854 |
保険積立金 | 207,871 | 216,761 |
その他 | 218,845 | 205,883 |
貸倒引当金 | △64,840 | △64,840 |
投資その他の資産合計 | 5,681,834 | 7,529,686 |
固定資産合計 | 13,661,629 | 15,827,661 |
資産合計 | 31,129,293 | 28,871,661 |
| | (単位:千円) |
| 前事業年度 (2025年3月31日) | 当事業年度 (2026年3月31日) |
負債の部 | | |
流動負債 | | |
支払手形 | 483,983 | 406,591 |
工事未払金 | 1,902,508 | 1,114,431 |
短期借入金 | 3,400,000 | 900,000 |
未払金 | 29,523 | 27,553 |
未払費用 | 124,379 | 118,303 |
未払法人税等 | 19,011 | 52,527 |
未成工事受入金 | 681,923 | 572,513 |
預り金 | 18,057 | 17,221 |
賞与引当金 | 250,015 | 239,310 |
工事損失引当金 | 158,244 | 149,215 |
流動負債合計 | 7,067,646 | 3,597,668 |
固定負債 | | |
長期借入金 | 3,000,000 | 3,000,000 |
繰延税金負債 | 474,320 | 1,228,143 |
退職給付引当金 | 105,496 | 114,007 |
固定負債合計 | 3,579,817 | 4,342,150 |
負債合計 | 10,647,463 | 7,939,819 |
純資産の部 | | |
株主資本 | | |
資本金 | 5,178,712 | 5,178,712 |
資本剰余金 | | |
資本準備金 | 4,608,706 | 4,608,706 |
その他資本剰余金 | 6,310 | 13,872 |
資本剰余金合計 | 4,615,016 | 4,622,578 |
利益剰余金 | | |
利益準備金 | 534,463 | 534,463 |
その他利益剰余金 | | |
別途積立金 | 6,320,000 | 6,320,000 |
繰越利益剰余金 | 2,822,170 | 1,997,994 |
利益剰余金合計 | 9,676,633 | 8,852,457 |
自己株式 | △920,381 | △859,181 |
株主資本合計 | 18,549,980 | 17,794,567 |
評価・換算差額等 | | |
その他有価証券評価差額金 | 1,931,849 | 3,137,274 |
評価・換算差額等合計 | 1,931,849 | 3,137,274 |
純資産合計 | 20,481,829 | 20,931,842 |
負債純資産合計 | 31,129,293 | 28,871,661 |
2025年3月31日
決算短信_202505081618533.財務諸表及び主な注記
(1)貸借対照表
| | (単位:千円) |
| 前事業年度 (2024年3月31日) | 当事業年度 (2025年3月31日) |
資産の部 | | |
流動資産 | | |
現金預金 | 2,141,684 | 2,288,699 |
受取手形 | 54,320 | 525,261 |
完成工事未収入金 | 13,994,203 | 14,115,182 |
有価証券 | - | 99,426 |
未成工事支出金 | 95,884 | 127,526 |
材料貯蔵品 | 22,037 | 27,584 |
前払費用 | 44,245 | 50,881 |
未収還付法人税等 | - | 145,020 |
その他 | 220,658 | 130,580 |
貸倒引当金 | △41,200 | △42,500 |
流動資産合計 | 16,531,833 | 17,467,664 |
固定資産 | | |
有形固定資産 | | |
建物 | 3,446,336 | 3,471,904 |
減価償却累計額 | △2,315,568 | △2,365,205 |
建物(純額) | 1,130,768 | 1,106,699 |
構築物 | 1,767,271 | 1,997,325 |
減価償却累計額 | △1,414,238 | △1,427,650 |
構築物(純額) | 353,033 | 569,674 |
機械及び装置 | 5,090,839 | 5,219,414 |
減価償却累計額 | △4,323,379 | △4,460,379 |
機械及び装置(純額) | 767,460 | 759,035 |
車両運搬具 | 84,856 | 100,356 |
減価償却累計額 | △73,466 | △81,228 |
車両運搬具(純額) | 11,390 | 19,128 |
工具器具・備品 | 953,375 | 997,026 |
減価償却累計額 | △878,671 | △907,346 |
工具器具・備品(純額) | 74,703 | 89,679 |
土地 | 5,299,693 | 5,299,693 |
建設仮勘定 | 36,023 | 22,200 |
有形固定資産合計 | 7,673,071 | 7,866,110 |
無形固定資産 | | |
ソフトウエア | 11,104 | 11,789 |
ソフトウエア仮勘定 | - | 93,316 |
その他 | 8,578 | 8,578 |
無形固定資産合計 | 19,683 | 113,685 |
投資その他の資産 | | |
投資有価証券 | 4,944,006 | 4,816,013 |
従業員に対する長期貸付金 | 8,276 | 7,055 |
長期前払費用 | 113,185 | 12,802 |
前払年金費用 | 414,665 | 484,085 |
保険積立金 | 178,789 | 207,871 |
その他 | 181,453 | 218,845 |
貸倒引当金 | △64,840 | △64,840 |
投資その他の資産合計 | 5,775,536 | 5,681,834 |
固定資産合計 | 13,468,291 | 13,661,629 |
資産合計 | 30,000,124 | 31,129,293 |
| | (単位:千円) |
| 前事業年度 (2024年3月31日) | 当事業年度 (2025年3月31日) |
負債の部 | | |
流動負債 | | |
支払手形 | 781,119 | 483,983 |
工事未払金 | 1,525,735 | 1,902,508 |
短期借入金 | 4,600,000 | 3,400,000 |
未払金 | 258,181 | 29,523 |
未払費用 | 114,399 | 124,379 |
未払法人税等 | 391,270 | 19,011 |
未成工事受入金 | 433,391 | 681,923 |
預り金 | 21,217 | 18,057 |
賞与引当金 | 249,985 | 250,015 |
工事損失引当金 | 122,968 | 158,244 |
撤去損失引当金 | 89,590 | - |
流動負債合計 | 8,587,858 | 7,067,646 |
固定負債 | | |
長期借入金 | - | 3,000,000 |
繰延税金負債 | 386,897 | 474,320 |
退職給付引当金 | 117,148 | 105,496 |
固定負債合計 | 504,046 | 3,579,817 |
負債合計 | 9,091,904 | 10,647,463 |
純資産の部 | | |
株主資本 | | |
資本金 | 5,178,712 | 5,178,712 |
資本剰余金 | | |
資本準備金 | 4,608,706 | 4,608,706 |
その他資本剰余金 | 205 | 6,310 |
資本剰余金合計 | 4,608,911 | 4,615,016 |
利益剰余金 | | |
利益準備金 | 534,463 | 534,463 |
その他利益剰余金 | | |
別途積立金 | 6,320,000 | 6,320,000 |
繰越利益剰余金 | 2,834,117 | 2,822,170 |
利益剰余金合計 | 9,688,580 | 9,676,633 |
自己株式 | △581,991 | △920,381 |
株主資本合計 | 18,894,212 | 18,549,980 |
評価・換算差額等 | | |
その他有価証券評価差額金 | 2,014,007 | 1,931,849 |
評価・換算差額等合計 | 2,014,007 | 1,931,849 |
純資産合計 | 20,908,219 | 20,481,829 |
負債純資産合計 | 30,000,124 | 31,129,293 |
E0137359230高田機工株式会社通期第2号参考様式 [日本基準](非連結)Japan 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2024年3月31日
決算短信_202405092017083.財務諸表及び主な注記
(1)貸借対照表
| | (単位:千円) |
| 前事業年度 (2023年3月31日) | 当事業年度 (2024年3月31日) |
資産の部 | | |
流動資産 | | |
現金預金 | 2,886,079 | 2,141,684 |
受取手形 | - | 54,320 |
完成工事未収入金 | 11,886,131 | 13,994,203 |
未成工事支出金 | 62,870 | 95,884 |
材料貯蔵品 | 20,154 | 22,037 |
前払費用 | 41,835 | 44,245 |
その他 | 22,763 | 220,658 |
貸倒引当金 | △34,400 | △41,200 |
流動資産合計 | 14,885,435 | 16,531,833 |
固定資産 | | |
有形固定資産 | | |
建物 | 3,446,336 | 3,446,336 |
減価償却累計額 | △2,259,657 | △2,315,568 |
建物(純額) | 1,186,678 | 1,130,768 |
構築物 | 1,754,804 | 1,767,271 |
減価償却累計額 | △1,389,723 | △1,414,238 |
構築物(純額) | 365,080 | 353,033 |
機械及び装置 | 5,045,219 | 5,090,839 |
減価償却累計額 | △4,228,200 | △4,323,379 |
機械及び装置(純額) | 817,018 | 767,460 |
車両運搬具 | 86,279 | 84,856 |
減価償却累計額 | △71,656 | △73,466 |
車両運搬具(純額) | 14,623 | 11,390 |
工具器具・備品 | 944,959 | 953,375 |
減価償却累計額 | △868,522 | △878,671 |
工具器具・備品(純額) | 76,436 | 74,703 |
土地 | 5,303,299 | 5,299,693 |
建設仮勘定 | 4,500 | 36,023 |
有形固定資産合計 | 7,767,638 | 7,673,071 |
無形固定資産 | | |
ソフトウエア | 10,518 | 11,104 |
その他 | 8,589 | 8,578 |
無形固定資産合計 | 19,107 | 19,683 |
投資その他の資産 | | |
投資有価証券 | 3,808,096 | 4,944,006 |
従業員に対する長期貸付金 | 10,754 | 8,276 |
長期前払費用 | 106,327 | 113,185 |
前払年金費用 | 375,316 | 414,665 |
保険積立金 | 187,827 | 178,789 |
その他 | 182,689 | 181,453 |
貸倒引当金 | △64,870 | △64,840 |
投資その他の資産合計 | 4,606,141 | 5,775,536 |
固定資産合計 | 12,392,887 | 13,468,291 |
資産合計 | 27,278,323 | 30,000,124 |
| | (単位:千円) |
| 前事業年度 (2023年3月31日) | 当事業年度 (2024年3月31日) |
負債の部 | | |
流動負債 | | |
支払手形 | 573,622 | 781,119 |
工事未払金 | 1,400,585 | 1,525,735 |
短期借入金 | 4,900,000 | 4,600,000 |
未払金 | 88,999 | 258,181 |
未払費用 | 112,449 | 114,399 |
未払法人税等 | 40,670 | 391,270 |
未成工事受入金 | 500,979 | 433,391 |
預り金 | 16,545 | 21,217 |
賞与引当金 | 233,330 | 249,985 |
工事損失引当金 | 197,743 | 122,968 |
撤去損失引当金 | - | 89,590 |
流動負債合計 | 8,064,926 | 8,587,858 |
固定負債 | | |
繰延税金負債 | 11,721 | 386,897 |
退職給付引当金 | 118,961 | 117,148 |
固定負債合計 | 130,682 | 504,046 |
負債合計 | 8,195,608 | 9,091,904 |
純資産の部 | | |
株主資本 | | |
資本金 | 5,178,712 | 5,178,712 |
資本剰余金 | | |
資本準備金 | 4,608,706 | 4,608,706 |
その他資本剰余金 | - | 205 |
資本剰余金合計 | 4,608,706 | 4,608,911 |
利益剰余金 | | |
利益準備金 | 534,463 | 534,463 |
その他利益剰余金 | | |
別途積立金 | 6,320,000 | 6,320,000 |
繰越利益剰余金 | 2,138,788 | 2,834,117 |
利益剰余金合計 | 8,993,252 | 9,688,580 |
自己株式 | △590,809 | △581,991 |
株主資本合計 | 18,189,860 | 18,894,212 |
評価・換算差額等 | | |
その他有価証券評価差額金 | 892,853 | 2,014,007 |
評価・換算差額等合計 | 892,853 | 2,014,007 |
純資産合計 | 19,082,714 | 20,908,219 |
負債純資産合計 | 27,278,323 | 30,000,124 |
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