




已阅读5页,还剩9页未读, 继续免费阅读
版权说明:本文档由用户提供并上传,收益归属内容提供方,若内容存在侵权,请进行举报或认领
文档简介
建 设 项 目 投 资 估 算 单位:万元序号工程费用建筑工程设备购置费安装工程其它工程及费用合 计第一部分1国外引进工程费用0.001.1进口设备(万美元)620.00620.00折合人民币5132.92102.665235.58小 计5132.92102.665235.582国内配套工程费用2.1主要生产工程项目2.1.1浓缩果汁车间802.30802.302.1.2饲料车间及库房117.00440.0026.4030.80614.20小 计919.30440.0026.4030.801416.502.2辅助生产工程项目2.2.1原料库285.20285.202.2.2果仓270.00270.002.2.3地磅房及收购结算站37.2046.0083.202.2.4冷库1524.003100.0049.601883.60小 计2116.40356.0049.600.002522.002.3动力及通讯系统工程项目2.3.1锅炉房122.45170.0029.452.11324.012.3.2空压站2.4820.001.3223.802.3.3变电及柴油发电站22.5780.4812.07115.122.3.4厂区势力及采暖管网63.0063.002.3.5厂区电力线路、照明及防雷40.0040.002.3.6电讯38.0038.00小 计147.50308.48145.842.11603.932.4给排水系统工程项目2.4.1深井泵房13.864.800.3419.002.4.2加压泵房3.416.000.429.832.4.3蓄水池45.0045.00建 设 项 目 投 资 估 算 单位:万元序号工程费用建筑工程设备购置费安装工程其它工程及费用合 计2.4.4流送水循环系统5.402.060.147.602.4.5冷却水循环系统6.2419.001.3326.572.4.6厂区给排水管网8.58.50小 计73.9131.8610.730.00116.502.5环境保护工程项目2.5.1污水处理站16.6051.46.681.0375.71小 计16.6051.46.681.0375.712.6运输系统工程项目2.6.1汽车库23.0098.5121.50小 计23.0098.50.000.00121.502.7厂区总图工程项目2.7.1土方平整66.6066.602.7.2门卫、传达8.568.562.7.3道路、围墙45.9645.962.7.4厂区绿化80.0080.002.7.5煤场及煤渣堆场10.4010.40小 计131.520.000.0080.00211.522.8服务性工程项目2.8.1办公楼240.00240.002.8.2倒班宿舍105.60105.602.8.3自行车棚0.840.842.8.4厕所7.497.49小 计353.930.000.000.00353.93第一部分工程合计3782.156419.16341.91113.9410657.16第二部分其它工程和费用3待摊投资3.1建设单位管理费351.69351.693.2项目前期工作费用60.0060.00建 设 项 目 投 资 估 算 单位:万元序号工程费用建筑工程设备购置费安装工程其它工程及费用合 计3.3可行性研究费21.3121.313.4环境影响评价费6.006.003.5勘察设计费21.3121.313.6施工监理费95.9195.913.7联合度车费258.00258.003.8引进设备商检费38.3738.373.9技术交流费22.0022.00小 计0.000.000.00874.60874.604无形资产4.1土地使用权500.00500.00小 计0.000.000.00500.00500.005递延资产5.1职工培训费44.1044.105.2办公及家具购置费31.5031.50小 计0.000.000.0075.6075.60第二部分其它工程和费用合计0.000.000.001450.201450.20第一、二部分其它工程和费用3782.156419.16341.911564.13#6基本预备费1210.741210.747建设期借款利息200.77200.778建设投资估算额13518.87其中:外币(万美元)各部分占建设投资(%)28%47%3%22%100%表:11.1 投 资 计 划 与 资 金 筹 借 表 单位:万元 万美元序号年份项目建 设 期投 产 期投 产 期达 产 期合计1234外币折人民币人民币小计外币折人民币人民币小计外币折人民币人民币小计外币折人民币人民币小计1总投资620.005132.928385.9513518.870.000.003580.663580.660.000.00957.27957.270.000.000.000.0018056.801.1建设投资620.005132.928185.1813318.100.000.000.000.000.000.000.000.000.000.000.000.0013318.11.20.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.001.3建设期借款利息0.000.00200.77200.770.000.000.000.000.000.000.000.000.000.000.000.00200.771.4流动资金0.000.000.000.000.000.003580.663580.660.000.00957.27957.270.000.000.000.004537.932资金筹措0.000.0013518.8713518.870.000.003580.663580.660.000.00957.27957.270.000.000.000.0018056.802.1自有资金0.000.006659.056659.050.000.001432.261432.260.000.00382.91382.910.000.000.000.008474.22其中:用于流动资金0.0000.000.000.000.000.001432.261432.260.000.00382.91382.910.000.000.000.001815.172.2借款0.000.006859.826859.820.000.002148.402148.40.000.00547.36547.360.000.000.000.009582.582.2.1长期借款0.000.006659.056659.050.000.000.000.000.000.000.000.000.000.000.000.006659.05a银行贷款0.000.006659.056659.050.000.000.000.000.000.000.000.000.000.000.000.006659.05b00.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00c00.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.002.2.2流动资金借款0.000.000.000.000.000.002148.42148.40.000.00574.36574.360.000.000.000.002722.762.2.3建设期利息借款0.000.00200.07200.770.000.000.000.000.000.000.000.000.000.000.000.00200.77人民币兑美元汇率:8.2789流 动 资 金 估 算 表 单位:万元序号年份项目最低周转天数周转次数投产期达 到 设 计 能 力 生 产 期合计234567891011121314151流动资产4197.525154.795154.795154.795154.795154.795154.795154.795154.795154.795154.795154.795154.795154.7971209.81.1应收帐款301273.8907.2907.2907.2907.2907.2907.2907.2907.2907.2907.2907.2907.2907.2125321.2存货3429.474213.084213.084213.084213.084213.084213.084213.084213.084213.084213.084213.084213.084213.0858199.51.2.1原材料4551143.07178.83178.83178.83178.83178.83178.83178.83178.83178.83178.83178.83178.83178.832467.861.2.2燃料30123.84.764.764.764.764.764.764.764.764.764.764.764.764.7665.681.2.3在产品132790.333424.693424.693424.693424.693424.693424.693424.693424.693424.693424.693424.693424.693424.6947311.31.2.4产成品2018492.27604.8604.8604.8604.8604.8604.8604.8604.8604.8604.8604.8604.8604.88354.671.2.5其他1.3现金103629.6534.5134.5134.5134.5134.5134.5134.5134.5134.5134.5134.5134.5134.51478.282流动负债616.86616.86616.86616.86616.86616.86616.86616.86616.86616.86616.86616.86616.86616.868636.042.1应付帐款3012616.86616.86616.86616.86616.86616.86616.86616.86616.86616.86616.86616.86616.86616.868636.043流动资金3580.664537.934537.934537.934537.934537.934537.934537.934537.934537.934537.934537.934537.934537.9362573.84流动资金本年增加3580.66957.270000000000004537.93表:12-1 总 成 本 费 用 估 算 表 单位:万元序号 年份项目投产期达 到 设 计 能 力 生 产 期合计234567891011121314151外购原材料7296.459120.569120.569120.569120.569120.569120.569120.569120.569120.569120.569120.569120.569120.56外购原材料7296.459120.569120.569120.569120.569120.569120.569120.569120.569120.569120.569120.569120.569120.56.72外购燃料及动力105.90132.37132.37132.37132.37132.37132.37132.37132.37132.37132.37132.37132.37132.371826.71水4.65.855.855.855.855.855.855.855.855.855.855.855.855.8580.73电55.5669.4569.4569.4569.4569.4569.4569.4569.4569.4569.4569.4569.4569.45958.41煤45.6657.0757.0757.0757.0757.0757.0757.0757.0757.0757.0757.0757.0757.07787.57其它03工资及福利费367.72367.72367.72367.72367.72367.72367.72367.72367.72367.72367.72367.72367.72367.725148.084修理费390.99390.99390.99390.99390.99390.99390.99390.99390.99390.99390.99390.99390.99390.995473.865折旧费781.98781.98781.98781.98781.98781.98781.98781.98781.98781.98781.98781.98781.98781.9810947.76减;节约支出0.000.000.000.000.000.000.000.000.000.000.000.000.000.000.007摊销费65.1265.1265.1265.1265.1250.0050.0050.0050.0050.000000575.608利息支出550.93451.63432.22289.54173.98173.98173.98173.98173.98173.98173.98173.98173.98173.983464.129其他费用699.80874.75874.75874.75874.75874.75874.75874.75874.75874.75874.75874.75874.75874.7512071.5500000000000000010总成本费用10258.8912185.1212165.712023.0311907.511892.3511892.411892.411892.411892.411892.411892.411892.411892.4其中:固定成本235.002480.002480.002480.002480.002480.002480.002480.002480.002480.002480.002480.002480.002480.0034545.00 可变成本793.289704.569685.159542.479426.919426.919426.919426.919426.919426.919426.919426.919426.919426.91.611经营成本8860.8610886.3910886.3910886.3910886.3910886.3910886.3910886.3910886.3910886.3910886.3910886.3910886.3910886.39.9表:12-1 固 定 资 产 折 旧 费 估 算 表 单位:万元序号年份项目折 旧年 限投产期达 到 设 计 能 力 生 产 期23456789101112131415固定资产合计原值12943.3折旧费781.98781.98781.98781.98781.98781.98781.98781.98781.98781.98781.98781.98781.98781.98净值12161.311379.310597.39815.359033.378251.397469.416687.435905.455123.474341.493559.512777.531995.551房屋及建筑物20原值4731.38折旧费224.74224.74224.74224.74224.74224.74224.74224.74224.74224.74224.74224.74224.74224.74净值4506.644281.904057.163832.423607.483382.943158.202933.462708.722483.982259.242034.501809.761585.022机器设备14原值8211.89折旧费557.24557.24557.24557.24557.24557.24557.24557.24557.24557.24557.24557.24557.24557.24净值7654.657097.416540.175982.935425.694868.454311.213753.973196.732639.492082.251525.01967.77410.533运输设备5原值0折旧费0.000.000.000.000.000.000.000.000.000.000.000.000.000.00净值0.000.000.000.000.000.000.000.000.000.000.000.000.000.00表:12-3 无 形 及 递 延 资 产 摊 销 估 算 表 单位:万元序号年份项目摊销年限原值投产期达 到 设 计 能 力 生 产 期2345678910111无形资产小计1.1土地使用权10500摊销50505050505050505050净值4504003503002502001501005001.2专有技术和专利权100摊销0000000000净值00000000001.3其他无形资产100摊销0000000000净值00000000002递延资产(开办费)576摊销15.1215.1215.1215.1215.1200000净值60.4845.3630.2415.120000003无形及递延资产合计575.6摊销65.1265.1265.1265.1265.125050505050净值510.48445.36380.24315.12250200150100500.00表:12-4 产品销售(营业)收入和销售税金及附加估算表 单位:万元 万美元序号产品名称单位单 价生 产 负 荷 80%生 产 负 荷 100%外销内销销售量销售收入销售量销售收入美元人民币外销内销小计外销内销小计外销内销小计外销内销小计1产品销售(营业)收入13996.0017495.00野苹果浓缩汁t07500.0009600.009600.0007200.007200.00012000.0012000.0009000.009000.00野酸梅浓缩汁t08600.0003200.003200.0002752.002752.0004000.004000.0003440.003440.00饲料t01000.0003320.003320.000332.00332.0004150.004150.000415.00415.00黑加仑浓缩汁t01160003200.003200.000372137210400040000464046400t00000000000.00000销售税金及附加万元2328.862796.21增值税万元17%1266.121582.65销项税2033.612542.01进项税851.03959.362.3城市维护建设税万元7%148.2177.942.4教育费附加万元3%63.5176.262.5表:12-6 现 金 流 量 表 (全 部 投 资) 单位:万元序号年份项目建设期投产期达 到 设 计 能 力 生 产 期合 计12345678910111213141516生产负荷(%)1现金流入013996.0017495.0017495.0017495.017495.0017495.0017495.0017495.0017495.017495.0017495.017495.017495.024028.501.1产品销售(营业)收入13996.0017495.0017495.0017495.017495.0017495.0017495.0017495.0017495.017495.0017495.017495.017495.017495.001.2回收固定资产余值1995.5501995.551.3回收流动资金4537.9304537.932现金流出13318.114770.3814639.8713682.6013682.6013682.6014608.7314608.7314608.7314608.7314608.7314625.2314625.2314625.2314625.230.00.62.1固定资产投资13318.12.2流动资金3580.66957.2704537.932.3经营成本8860.8610886.410886.410886.410886.410886.410886.410886.410886.410886.410886.410886.410886.410886.402.4销售税金及附加2328.862796.212796.212796.212796.212796.212796.212796.212796.212796.212796.212796.212796.212796.21038679.62.5所得税0.000000926.13926.13926.13926.13926.13942.63942.63942.63942.6308401.172.6特种基金00000000000.0000003净现金流量-13318.1-1774.382855.133812.403812.403812.402886.272886.272886.272886.272886.272869.772869.772869.779403.250.004累计净现金流量-13318.1-774.382855.133812.403812.403812.402886.272886.272886.272886.272886.272869.772869.772869.779403.250.005所得税前净现金流量-13318.1-1774.382855.133812.403812.403812.403812.403812.403812.403812.403812.403812.403812.403812.4010345.880.006所得税前累计净现金流量-13318.1-14092.5-11237.3-7424.94-1312.54199.864012.267824.6611637.115449.519261.8723074.326886.730699.141044.950.000.00 所得税后 所得税前 计算指标:财务内部收益率 18.13% 20.40% 财务净现值 (Ic= 12%) 5011.93万元 7526.38万元 投资回收期 5.95年 5.95年表:12-7 资 金 来 源 与 运 用 表 单位:万元序号年份项目建设期投产期达 到 设 计 能 力 生 产 期合计12345678910111213141516项目负荷(%)1资金来源13518.875836.014318.041.1利润总额1408.252513.671.2折旧费781.98781.98781.98781.98781.98781.98781.98781.98781.98781.98781.98781.98781.98781.980575.61.3摊销费65.1265.1265.1265.1265.1250.0050.0050.0050.0050.0000000575.61.4长期借款6859.820.006859.821.5流动资金借款2148.40574.362722.761.6其他短期借款01.7自有资金6659.051432.26382.918474.221.8其他01.9回收固定资产余额1995.5501995.551.10回收流动资金4537.9304537.932资金运用13518.875836.011279.152366.131916.460.00926.13926.13926.13926.13926.13942.63942.63942.633665.390.0036040.552.1固定资产投资13318.1013318.12.2建设
温馨提示
- 1. 本站所有资源如无特殊说明,都需要本地电脑安装OFFICE2007和PDF阅读器。图纸软件为CAD,CAXA,PROE,UG,SolidWorks等.压缩文件请下载最新的WinRAR软件解压。
- 2. 本站的文档不包含任何第三方提供的附件图纸等,如果需要附件,请联系上传者。文件的所有权益归上传用户所有。
- 3. 本站RAR压缩包中若带图纸,网页内容里面会有图纸预览,若没有图纸预览就没有图纸。
- 4. 未经权益所有人同意不得将文件中的内容挪作商业或盈利用途。
- 5. 人人文库网仅提供信息存储空间,仅对用户上传内容的表现方式做保护处理,对用户上传分享的文档内容本身不做任何修改或编辑,并不能对任何下载内容负责。
- 6. 下载文件中如有侵权或不适当内容,请与我们联系,我们立即纠正。
- 7. 本站不保证下载资源的准确性、安全性和完整性, 同时也不承担用户因使用这些下载资源对自己和他人造成任何形式的伤害或损失。
最新文档
- 涂重点课件教学课件
- 涂装车间工艺知识培训课件
- Brand KPIs for clean beauty Organic Harvest in India-外文版培训课件(2025.9)
- 2025贵州中医药大学第一附属医院高层次人才引才13人模拟试卷及答案详解一套
- 安全培训落实落地课件
- 2025北京市海淀区仁北高级中学招聘考前自测高频考点模拟试题及参考答案详解
- 2025江苏南通市属部分事业单位招聘卫生专业技术人员20人考前自测高频考点模拟试题含答案详解
- 2025年河北邯郸市教育局春季市直学校选聘博硕人才300名模拟试卷及1套参考答案详解
- 涂料基础知识新员工培训课件
- 安全培训自学式课件
- 《水的组成说课课案》课件
- 无人驾驶车辆在医疗物资运输中的应用研究-洞察分析
- 暴雨过后工地复工复产方案
- 快件处理员(中级)职业技能鉴定考试题库(含答案)
- TNBSIA 001-2024 建筑设备一体化管控平台建设技术要求
- JT-T-848-2013公路用复合隔离栅立柱
- 《客舱安全与应急处置》-课件:其他辅助设备
- chap5-高性能混凝土的性能-物理力学性能
- 县河长制方案
- 基于韧性原则的乡村低密度住宅规划体系构建
- 早期工业时期英国工艺美术运动设计课件
评论
0/150
提交评论