현금흐름표

2026-022026-05
현금흐름 분석2026-022026-032026-042026-05
월초 현금 잔고950,000,000900,000,000850,000,000800,000,000
영업활동 현금흐름567,283,934538,249,233605,730,046553,837,083
비영업활동 현금흐름0000
계정 없는 입출금255,267,311182,320,267389,353,639234,540,249
환율변동효과 ⓘ-100,000,000-100,000,000-100,000,000-100,000,000
월말 현금 잔고 ⓘ1,517,283,9341,438,249,2331,455,730,0461,353,837,083
월말 대출 제외 잔고 ⓘ1,517,283,9341,438,249,2331,455,730,0461,353,837,083
월말 출금가능액 ⓘ1,617,283,9341,538,249,2331,555,730,0461,453,837,083
영업활동 현금흐름2026-022026-032026-042026-05
매출510,686,991320,296,254696,931,419386,863,465
매출총이익510,686,991320,296,254696,931,419386,863,465
판매비와관리비-252,858,755-511,737,695-234,515,027-421,392,590
판매비와관리비율 (%)49.5%159.8%33.6%108.9%
급여--20,009,203-22,981,236-20,644,488
복리후생비-41,130,586-29,725,769-13,820,047-23,007,737
지급수수료-144,632,654-368,665,066-53,512,538-236,251,691
도서인쇄비--20,366,392-25,855,889-6,524,328
임차료-954,448-14,707,075--2,970,429
운반비-16,100,879-18,845,242-18,216,465-24,231,523
판매수수료----
외주용역비-50,040,188-39,418,948-100,128,852-107,762,394
기타 영업비용----
기타 영업비용----
영업이익567,283,934538,249,233605,730,046553,837,083
당기순이익567,283,934538,249,233605,730,046553,837,083