| 學校編號:216 | 正修科技大學 | |||||||||
| 現金收支概況表 | 單位:元 | |||||||||
| 項 目 | 94學年 | 93學年 | 92學年 | 合計 | 合計金額 占經常收入% |
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| 經常門現金收入 | 1,469,130,948 | 1,442,950,279 | 1,306,047,898 | 4,218,129,125 | 100.00% | |||||
| 學雜費收入 | 1,153,794,992 | 1,138,300,411 | 1,046,838,773 | 3,338,934,176 | 79.16% | |||||
| 推廣教育收入 | 8,542,649 | 16,576,210 | 7,318,143 | 32,437,002 | 0.77% | |||||
| 建教合作收入 | 180,150,636 | 121,208,386 | 102,096,122 | 403,455,144 | 9.56% | |||||
| 其他教學活動收入 | 4,254,518 | 3,536,180 | 3,615,940 | 11,406,638 | 0.27% | |||||
| 政府獎補助收入(註) | 100,778,595 | 130,822,916 | 121,455,794 | 353,057,305 | 8.37% | |||||
| 作業收益 | 0 | 0 | 0 | 0 | 0.00% | |||||
| 財務收入 | 5,579,526 | 5,600,977 | 5,394,575 | 16,575,078 | 0.39% | |||||
| 其他收入 | 34,418,755 | 31,927,793 | 33,020,235 | 99,366,783 | 2.36% | |||||
| 減:不產生現金流入之收入 | (22,981) | (967,705) | (1,337,091) | (2,327,777) | -0.06% | |||||
| 應收預收項目調整增(減)數 | (18,365,742) | (4,054,889) | (12,354,593) | (34,775,224) | -0.82% | |||||
| 經常門現金支出 | 1,170,562,776 | 1,090,020,200 | 971,323,587 | 3,231,906,563 | 76.62% | |||||
| 董事會支出 | 1,650,000 | 1,575,000 | 1,755,000 | 4,980,000 | 0.12% | |||||
| 行政管理支出 | 178,110,110 | 163,248,474 | 158,887,353 | 500,245,937 | 11.86% | |||||
| 教學研究及訓輔支出 | 819,093,471 | 743,286,176 | 737,710,594 | 2,300,090,241 | 54.53% | |||||
| 獎助學金支出 | 39,200,342 | 92,582,558 | 41,360,514 | 173,143,414 | 4.10% | |||||
| 推廣教育及其他教學支出 | 14,077,872 | 14,845,560 | 10,626,202 | 39,549,634 | 0.94% | |||||
| 建教合作支出 | 145,523,989 | 112,735,202 | 74,206,690 | 332,465,881 | 7.88% | |||||
| 作業損失 | 0 | 0 | 0 | 0 | 0.00% | |||||
| 財務支出 | 18,638,090 | 18,966,737 | 18,335,495 | 55,940,322 | 1.33% | |||||
| 其他支出 | 2,959,546 | 3,057,802 | 3,633,433 | 9,650,781 | 0.23% | |||||
| 減:不產生現金流出之支出 | (48,926,541) | (55,638,078) | (70,886,430) | (175,451,049) | -4.16% | |||||
| 應付預付項目調整增(減)數 | 235,897 | (4,639,231) | (4,305,264) | (8,708,598) | -0.21% | |||||
| 經常門現金餘絀 | 298,568,172 | 352,930,079 | 334,724,311 | 986,222,562 | 23.38% | |||||
| 出售資產現金收入 | 0 | 0 | 0 | 0 | 0.00% | |||||
| 購置動產及其他資產現金支出 | 183,926,370 | 160,715,202 | 141,752,335 | 486,393,907 | 11.53% | |||||
| 機械儀器設備 | 112,521,684 | 115,149,342 | 113,285,081 | 340,956,107 | 8.08% | |||||
| 圖書博物 | 20,326,184 | 17,390,934 | 13,301,397 | 51,018,515 | 1.21% | |||||
| 其他設備 | 51,078,502 | 28,174,926 | 15,165,857 | 94,419,285 | 2.24% | |||||
| 其他資產 | 0 | 0 | 0 | 0 | 0.00% | |||||
| 應付租賃款減少數 | 0 | 0 | 0 | 0 | 0.00% | |||||
| 扣減不動產支出前現金餘絀 | 114,641,802 | 192,214,877 | 192,971,976 | 499,828,655 | 11.85% | |||||
| 購置不動產現金支出 | 63,982,567 | 259,457,036 | 579,811,922 | 903,251,525 | 21.41% | |||||
| 土地 | 0 | 0 | 344,131,200 | 344,131,200 | 8.16% | |||||
| 土地改良物 | 300,000 | 5,520,000 | 6,380,000 | 12,200,000 | 0.29% | |||||
| 建築物 | 63,682,567 | 253,937,036 | 229,300,722 | 546,920,325 | 12.97% | |||||
| 土地權利金 | 0 | 0 | 0 | 0.00% | ||||||
| 本期現金餘絀 | 50,659,235 | (67,242,159) | (386,839,946) | (403,422,870) | -9.56% | |||||
| 註:1.「政府獎補助收入」欄之金額,係抄錄「收入明細表」之政府獎補助收入,捐贈收入金額不列入。 | ||||||||||
| 2.學校收取之指定用途捐贈借方以「特種基金」科目列帳者及收取之固定資產捐贈,其捐贈之金額,應於「不產生現金流入之收入」項目內扣減。 | ||||||||||