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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
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 | | |
現金及び預金 | 6,896,070 | 10,410,971 |
受取手形 | 3,080 | - |
売掛金 | 1,062,458 | 2,253,012 |
電子記録債権 | 2,964,185 | 390,949 |
契約資産 | 13,491,486 | 9,655,309 |
仕掛品 | 281,522 | 307,855 |
原材料及び貯蔵品 | 237,231 | 186,919 |
前渡金 | 509,219 | 88,400 |
前払費用 | 10,954 | 31,478 |
その他 | 10,826 | 14,210 |
貸倒引当金 | △249,709 | △1,026,000 |
流動資産合計 | 25,217,324 | 22,313,107 |
固定資産 | | |
有形固定資産 | | |
建物 | 4,180,106 | 4,190,177 |
減価償却累計額 | △1,720,980 | △1,847,133 |
建物(純額) | 2,459,126 | 2,343,043 |
構築物 | 351,796 | 358,150 |
減価償却累計額 | △181,349 | △191,223 |
構築物(純額) | 170,447 | 166,927 |
機械及び装置 | 1,621,732 | 1,873,133 |
減価償却累計額 | △1,137,452 | △1,255,527 |
機械及び装置(純額) | 484,280 | 617,605 |
車両運搬具 | 85,520 | 92,123 |
減価償却累計額 | △68,235 | △68,250 |
車両運搬具(純額) | 17,285 | 23,873 |
工具、器具及び備品 | 182,018 | 195,460 |
減価償却累計額 | △148,234 | △152,291 |
工具、器具及び備品(純額) | 33,784 | 43,168 |
土地 | 2,001,209 | 1,891,792 |
建設仮勘定 | 15,353 | 89,508 |
有形固定資産合計 | 5,181,486 | 5,175,919 |
無形固定資産 | | |
ソフトウエア | 28,026 | 19,161 |
その他 | 1,677 | 1,677 |
無形固定資産合計 | 29,704 | 20,839 |
投資その他の資産 | | |
投資有価証券 | 1,908,069 | 2,843,039 |
出資金 | 9,800 | 9,800 |
長期前払費用 | 677 | 588 |
繰延税金資産 | 139,099 | - |
その他 | 132,784 | 144,341 |
投資その他の資産合計 | 2,190,430 | 2,997,768 |
固定資産合計 | 7,401,621 | 8,194,527 |
資産合計 | 32,618,946 | 30,507,635 |
| | (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 | | |
買掛金 | 2,362,799 | 1,284,931 |
電子記録債務 | 3,717,149 | 840,116 |
1年内返済予定の長期借入金 | 666,666 | 999,998 |
未払金 | 78,021 | 61,913 |
未払費用 | 159,692 | 164,505 |
未払法人税等 | 747,867 | 717,551 |
前受金 | 1,507,987 | 2,312,202 |
賞与引当金 | 229,450 | 184,552 |
役員賞与引当金 | 182,343 | 143,922 |
未払消費税等 | 222,359 | 4,468 |
その他 | 221,828 | 168,172 |
流動負債合計 | 10,096,165 | 6,882,335 |
固定負債 | | |
長期借入金 | 1,333,334 | 1,166,670 |
繰延税金負債 | - | 36,494 |
再評価に係る繰延税金負債 | 497,349 | 497,349 |
退職給付引当金 | 1,023,719 | 1,108,381 |
資産除去債務 | 6,412 | 3,856 |
株式報酬引当金 | 30,375 | 42,277 |
固定負債合計 | 2,891,189 | 2,855,028 |
負債合計 | 12,987,354 | 9,737,363 |
純資産の部 | | |
株主資本 | | |
資本金 | 1,953,930 | 1,953,930 |
資本剰余金 | | |
資本準備金 | 1,466,663 | 1,466,663 |
その他資本剰余金 | 230,531 | 240,535 |
資本剰余金合計 | 1,697,194 | 1,707,198 |
利益剰余金 | | |
利益準備金 | 109,922 | 109,922 |
その他利益剰余金 | | |
別途積立金 | 6,500,000 | 6,500,000 |
繰越利益剰余金 | 8,916,634 | 9,687,858 |
利益剰余金合計 | 15,526,556 | 16,297,781 |
自己株式 | △1,509,558 | △1,568,638 |
株主資本合計 | 17,668,123 | 18,390,271 |
評価・換算差額等 | | |
その他有価証券評価差額金 | 883,538 | 1,293,573 |
繰延ヘッジ損益 | △3,111 | 3,384 |
土地再評価差額金 | 1,083,042 | 1,083,042 |
評価・換算差額等合計 | 1,963,468 | 2,379,999 |
純資産合計 | 19,631,592 | 20,770,271 |
負債純資産合計 | 32,618,946 | 30,507,635 |
2025年3月31日
決算短信_202505140914003.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 | | |
現金及び預金 | 9,711,442 | 6,896,070 |
受取手形 | 1,021 | 3,080 |
売掛金 | 1,594,596 | 1,062,458 |
電子記録債権 | 1,606,607 | 2,964,185 |
契約資産 | 9,054,405 | 13,491,486 |
仕掛品 | 607,959 | 281,522 |
原材料及び貯蔵品 | 234,476 | 237,231 |
未収消費税等 | 300,926 | - |
前渡金 | - | 509,219 |
前払費用 | - | 10,954 |
その他 | 28,034 | 10,826 |
貸倒引当金 | △100,008 | △249,709 |
流動資産合計 | 23,039,462 | 25,217,324 |
固定資産 | | |
有形固定資産 | | |
建物 | 3,637,900 | 4,180,106 |
減価償却累計額 | △1,587,590 | △1,720,980 |
建物(純額) | 2,050,310 | 2,459,126 |
構築物 | 326,211 | 351,796 |
減価償却累計額 | △172,984 | △181,349 |
構築物(純額) | 153,227 | 170,447 |
機械及び装置 | 1,265,104 | 1,621,732 |
減価償却累計額 | △1,096,496 | △1,137,452 |
機械及び装置(純額) | 168,607 | 484,280 |
車両運搬具 | 74,899 | 85,520 |
減価償却累計額 | △65,245 | △68,235 |
車両運搬具(純額) | 9,653 | 17,285 |
工具、器具及び備品 | 178,291 | 182,018 |
減価償却累計額 | △134,374 | △148,234 |
工具、器具及び備品(純額) | 43,916 | 33,784 |
土地 | 2,001,209 | 2,001,209 |
建設仮勘定 | 165,887 | 15,353 |
有形固定資産合計 | 4,592,813 | 5,181,486 |
無形固定資産 | | |
ソフトウエア | 38,095 | 28,026 |
その他 | 1,677 | 1,677 |
無形固定資産合計 | 39,772 | 29,704 |
投資その他の資産 | | |
投資有価証券 | 2,002,702 | 1,908,069 |
出資金 | 12,800 | 9,800 |
長期前払費用 | 818 | 677 |
繰延税金資産 | 134,648 | 139,099 |
その他 | 125,759 | 132,784 |
投資その他の資産合計 | 2,276,728 | 2,190,430 |
固定資産合計 | 6,909,315 | 7,401,621 |
資産合計 | 29,948,777 | 32,618,946 |
| | (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 | | |
買掛金 | 1,058,737 | 2,362,799 |
電子記録債務 | 3,299,225 | 3,717,149 |
1年内返済予定の長期借入金 | - | 666,666 |
未払金 | 130,311 | 78,021 |
未払費用 | 152,674 | 159,692 |
未払法人税等 | 550,649 | 747,867 |
前受金 | 3,005,574 | 1,507,987 |
賞与引当金 | 221,406 | 229,450 |
役員賞与引当金 | 127,669 | 182,343 |
未払消費税等 | - | 222,359 |
その他 | 216,677 | 221,828 |
流動負債合計 | 8,762,926 | 10,096,165 |
固定負債 | | |
長期借入金 | - | 1,333,334 |
再評価に係る繰延税金負債 | 483,283 | 497,349 |
退職給付引当金 | 975,135 | 1,023,719 |
資産除去債務 | 6,412 | 6,412 |
株式報酬引当金 | 13,125 | 30,375 |
固定負債合計 | 1,477,955 | 2,891,189 |
負債合計 | 10,240,882 | 12,987,354 |
純資産の部 | | |
株主資本 | | |
資本金 | 1,953,930 | 1,953,930 |
資本剰余金 | | |
資本準備金 | 1,466,663 | 1,466,663 |
その他資本剰余金 | 227,167 | 230,531 |
資本剰余金合計 | 1,693,830 | 1,697,194 |
利益剰余金 | | |
利益準備金 | 109,922 | 109,922 |
その他利益剰余金 | | |
別途積立金 | 6,500,000 | 6,500,000 |
繰越利益剰余金 | 7,500,927 | 8,916,634 |
利益剰余金合計 | 14,110,850 | 15,526,556 |
自己株式 | △111,500 | △1,509,558 |
株主資本合計 | 17,647,110 | 17,668,123 |
評価・換算差額等 | | |
その他有価証券評価差額金 | 959,015 | 883,538 |
繰延ヘッジ損益 | 4,661 | △3,111 |
土地再評価差額金 | 1,097,107 | 1,083,042 |
評価・換算差額等合計 | 2,060,784 | 1,963,468 |
純資産合計 | 19,707,895 | 19,631,592 |
負債純資産合計 | 29,948,777 | 32,618,946 |
E0162862460株式会社テクノスマートTechno Smart Corp.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_202405151448383.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 | | |
現金及び預金 | 9,583,051 | 9,711,442 |
受取手形 | 5,850 | 1,021 |
売掛金 | 578,676 | 1,594,596 |
電子記録債権 | 6,134,225 | 1,606,607 |
契約資産 | 4,662,702 | 9,054,405 |
仕掛品 | 442,071 | 607,959 |
原材料及び貯蔵品 | 93,809 | 234,476 |
未収消費税等 | 142,268 | 300,926 |
その他 | 29,366 | 28,034 |
貸倒引当金 | △50,103 | △100,008 |
流動資産合計 | 21,621,920 | 23,039,462 |
固定資産 | | |
有形固定資産 | | |
建物 | 3,618,870 | 3,637,900 |
減価償却累計額 | △1,463,076 | △1,587,590 |
建物(純額) | 2,155,794 | 2,050,310 |
構築物 | 248,800 | 326,211 |
減価償却累計額 | △200,461 | △172,984 |
構築物(純額) | 48,339 | 153,227 |
機械及び装置 | 1,265,726 | 1,265,104 |
減価償却累計額 | △1,114,387 | △1,096,496 |
機械及び装置(純額) | 151,338 | 168,607 |
車両運搬具 | 73,470 | 74,899 |
減価償却累計額 | △61,613 | △65,245 |
車両運搬具(純額) | 11,856 | 9,653 |
工具、器具及び備品 | 194,803 | 178,291 |
減価償却累計額 | △132,513 | △134,374 |
工具、器具及び備品(純額) | 62,289 | 43,916 |
土地 | 2,001,209 | 2,001,209 |
建設仮勘定 | 16,720 | 165,887 |
有形固定資産合計 | 4,447,549 | 4,592,813 |
無形固定資産 | | |
ソフトウエア | 47,435 | 38,095 |
その他 | 1,677 | 1,677 |
無形固定資産合計 | 49,112 | 39,772 |
投資その他の資産 | | |
投資有価証券 | 1,401,899 | 2,002,702 |
出資金 | 12,800 | 12,800 |
長期前払費用 | 534 | 818 |
繰延税金資産 | 253,536 | 134,648 |
その他 | 121,918 | 125,759 |
投資その他の資産合計 | 1,790,688 | 2,276,728 |
固定資産合計 | 6,287,350 | 6,909,315 |
資産合計 | 27,909,270 | 29,948,777 |
| | (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 | | |
買掛金 | 1,128,527 | 1,058,737 |
電子記録債務 | 3,879,935 | 3,299,225 |
未払金 | 98,546 | 130,311 |
未払費用 | 121,338 | 152,674 |
未払法人税等 | 477,151 | 550,649 |
前受金 | 1,729,751 | 3,005,574 |
賞与引当金 | 239,892 | 221,406 |
役員賞与引当金 | 109,798 | 127,669 |
その他 | 138,892 | 216,677 |
流動負債合計 | 7,923,834 | 8,762,926 |
固定負債 | | |
再評価に係る繰延税金負債 | 483,283 | 483,283 |
退職給付引当金 | 918,163 | 975,135 |
資産除去債務 | 6,412 | 6,412 |
株式報酬引当金 | - | 13,125 |
固定負債合計 | 1,407,858 | 1,477,955 |
負債合計 | 9,331,693 | 10,240,882 |
純資産の部 | | |
株主資本 | | |
資本金 | 1,953,930 | 1,953,930 |
資本剰余金 | | |
資本準備金 | 1,466,663 | 1,466,663 |
その他資本剰余金 | 216,793 | 227,167 |
資本剰余金合計 | 1,683,457 | 1,693,830 |
利益剰余金 | | |
利益準備金 | 109,922 | 109,922 |
その他利益剰余金 | | |
別途積立金 | 6,500,000 | 6,500,000 |
繰越利益剰余金 | 6,839,991 | 7,500,927 |
利益剰余金合計 | 13,449,914 | 14,110,850 |
自己株式 | △141,307 | △111,500 |
株主資本合計 | 16,945,993 | 17,647,110 |
評価・換算差額等 | | |
その他有価証券評価差額金 | 536,173 | 959,015 |
繰延ヘッジ損益 | △1,696 | 4,661 |
土地再評価差額金 | 1,097,107 | 1,097,107 |
評価・換算差額等合計 | 1,631,583 | 2,060,784 |
純資産合計 | 18,577,577 | 19,707,895 |
負債純資産合計 | 27,909,270 | 29,948,777 |
E0162862460株式会社テクノスマートTechno Smart Corp.通期第2号参考様式 [日本基準](非連結)Japan 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