대국건설산업

비상장계속사업자

Daek_koo Construction Industrial

형남순

재무 실적

개별 · K-IFRS · 기말기준

항목20252024202320222021
매출액173.5億-16.9%208.6億173.9億207.6億179.1億
영업이익10.2億+75930.1%133.9万-5.6億-25.9億13.3億
당기순이익14.3億+730.2%1.7億-2.2億-25.1億17.7億
5.87%영업이익률
8.22%순이익률
9.06%ROA
11.82%ROE
30.49%부채비율
76.64%자기자본비율

* 재무제표 계정 기반 자체계산 비율

주요 경영지표

2025 결산 · 기말

157.3億자산총액
36.8億부채총계
120.6億자본총계
173.5億매출액
10.2億영업이익
14.3億순이익
5.87%매출액 영업이익률
8.22%매출액 순이익률

전체 재무제표

재무상태표 · 손익계산서 · 현금흐름표 전 계정 (단위: 원)

재무상태표

계정20252024202320222021
Ⅰ.유동자산116.4억147.1억107.8억119.5억129억
(1)당좌자산116.4억147.1억107.8억119.5억129억
1.현금및현금등가물15.3억21.5억4.9억24.5억59억
2.단기금융상품17.2억48.4억28.1억--
3.공사미수금(주석2)24.1억30.4억---
3.매출채권(주석2)--43.9억52.7억48.8억
4.미수금5.1억8.5억5.2억7.6억6억
대손충당금-5.1억----
5.단기대여금(주석12)43.1억27억17.2억25.5억12.1억
6.미수수익(주석12)3,781.3만1,809.7만6,133.8만4,489.7만1.3억
7.선급금15.2억11억7.4억4.5억1.3억
8.선급공사비-79.9만26.2만3.9억1,112.4만
9.선급비용9,930.9만679만5,212.9만2,178.4만2,515만
10.미수법인세환급액1,666.9만-333.6만284.6만1,323.2만
(2)재고자산4,0004,00043.5만91.6만259.2만
1.가설재4,0004,00043.5만91.6만259.2만
Ⅱ.비유동자산40.9억39.9억37억39.6억36.6억
(1)투자자산35.7억35.3억35.3억35.1억31.2억
1.매도가능증권(주석2,4)34.3억33.9억33.9억33.7억29.8억
2.장기대여금(주석2)1.4억1.4억1.4억1.4억1.4억
(2)유형자산(주석2,5)2.6억2.7억3,573.1만5,888만8,431.5만
1.토지2.6억2.6억---
2.차량운반구5,830.3만6,590만6,553.8만6,697.2만2.1억
감가상각누계액-5,830.1만-5,304만-4,028.4만-3,018.8만-1.4억
3.공구와기구8,686.9만8,686.9만8,686.9만8,686.9만8,686.9만
감가상각누계액-8,685.4만-8,685.4만-8,685.4만-8,685.4만-8,685.4만
4.비품1.2억1.2억1.2억1.2억9,889.2만
감가상각누계액-1.2억-1.2억-1.1억-9,938.8만-8,427.4만
(4)기타비유동자산2.6억1.8억1.3억4억4.5억
2.기타보증금--13만--
1.임차보증금2.6억1.8억1.3억4억4.5억
자산총계157.3억187억144.8억159.1억165.5억
Ⅰ.유동부채35.1억71.7억32.4억48.5억34억
1.매입채무1.7억8.6억3.1억3.4억6.1억
2.미지급금5,936.7만2.9억2.1억5.9억4.4억
3.공사선수금16억40.8억12.8억13.7억7.8억
4.공사미지급금7.5억7.3억4.3억16억8.5억
5.예수금2,417.6만3,183.6만3,035.8만2,878.8만2,920.3만
6.예수보증금2,088.5만2,400.1만2,400.1만2,400.1만2,400.1만
7.미지급비용1.6억2,234만5,516.3만1.4억2.6억
8.미지급세금4,181.5만5.2억3.2억2.4억-
9.주임종단기차입금 (주석12)6.8억6.1억5.8억5.2억4.1억
Ⅱ.비유동부채1.7억9.4억8.2억4.5억4.2억
1.퇴직급여충당부채 (주석2,8)1.7억9.4억8.2억4.5억4.2억
부채총계36.8억81.1억40.6억53억38.2억
Ⅰ.자본금(주석1,10)33억33억33억33억33억
1.보통주자본금33억33억33억33억33억
Ⅱ.자본잉여금12.9억12.9억12.9억12.9억12.9억
1.주식발행초과금12.9억12.9억12.9억12.9억12.9억
Ⅲ.기타포괄손익누계액4.5억4.1억4.1억3.9억-
1.매도가능증권평가이익4.5억4.1억4.1억3.9억-
2.매도가능증권평가손실-224.8만-224.8만---
Ⅳ.이익잉여금70.2억55.9억54.2억56.4억81.5억
1.이익준비금 (주석11)9,900만9,900만9,900만9,900만9,900만
2.미처분이익잉여금(주석11)69.2억54.9억53.2억55.4억80.5억
자본총계120.6억105.9억104.2억106.2억127.3억
부채및자본총계157.3억187억144.8억159.1억165.5억

손익계산서

계정20252024202320222021
Ⅰ.매출액(주석2)173.5억208.6억173.9억207.6억179.1억
1.공사수입(주석14)173.5억208.6억173.9억207.6억179.1억
Ⅱ.매출원가147.5억200.3억169.8억216.8억155.9억
1.공사원가147.5억200.3억169.8억216.8억155.9억
Ⅲ.매출총이익(손실)25.9억8.3억4.1억-9.2억23.1억
Ⅳ.판매비와관리비15.8억8.3억9.7억16.7억9.8억
1.급여(주석13)2.7억2.7억5.2억4.5억3.2억
2.퇴직급여(주석13)2,006.5만4,568.3만8,187.6만1.8억5,009만
3.복리후생비(주석13)1.3억9,397.7만9,577.1만1.2억1.3억
4.여비교통비2,857.3만4,308.9만2,376.9만3,829만4,054.1만
5.접대비996.1만1,826.7만1,978.6만3,750.6만2,064.5만
6.통신비312만424.2만430.8만554.7만469만
7.수도광열비3.2만----
8.세금과공과(주석13)3,082.5만1,803.1만3,020.8만5,281.9만5,972.4만
9.감가상각비(주석13)799.1만1,347만1,547.5만1,694.9만4,297.9만
10.지급임차료(주석13)6,558.5만4,535.5만2,585.1만2,641만3,562.9만
11.수선비740.5만--28.9만196.6만
12.보험료2,949.6만4,283.1만2,761.9만2,287만3,835.2만
13.차량유지비1,784만1,821.8만2,121.9만1,739.6만2,690.1만
14.설계용역비2.9억1.2억-5.8억1,500만
15.운반비5.4만1만7.5만7.6만50.1만
16.교육훈련비307.6만333.8만275.1만479.2만690.2만
17.도서인쇄비219.3만309만105.4만175.4만492.1만
18.사무용품비342.4만183.8만242.3만340.4만354.4만
19.소모품비2,111.5만611.8만438.2만1,236.4만1,214만
20.지급수수료1억7,428.2만8,481.6만9,165.9만1.5억
21.건물관리비2,484.7만1,325만760.4만621.8만544만
22.인력개발비288만288만216만-936만
22.광고선전비---200만-
23.대손상각비5.1억----
Ⅴ.영업이익(손실)10.2억133.9만-5.6억-25.9억13.3억
2.배당금수익-1,729만2,074.8만3,803.8만3,458만
Ⅵ.영업외수익5.8억2.2억3.8억1.5억4.9억
3.유형자산처분이익-8.8만-413.2만-
1.이자수익1.5억1.9억8,312.3만6,353.3만2.8억
4.단기매매증권평가이익-90만---
5.잡이익4.3억1,159.7만2.8억4,717.6만1.7억
Ⅶ.영업외비용1.7억4,665.5만4,975.4만7,161.5만2,416.7만
1.이자비용1,987만1,977.4만1,717만2,298.6만858.1만
2.기부금1,000만-27.5만520만156.9만
3.단기매매증권처분손실-384.8만-951만-2,106.4만-4,304.4만-529만
4.유형자산처분손실-292.2만--211만--
Ⅸ.법인세등(주석2)----2,242.6만
5.잡손실-1.3억-1,737.1만-913.5만-38.5만-872.8만
Ⅷ.법인세차감전순이익(손실)14.3억1.7억-2.2억-25.1억17.9억
Ⅹ.당기순이익(손실)14.3억1.7억-2.2억-25.1억17.7억

현금흐름표

계정20252024202320222021
Ⅰ.영업활동으로인한현금흐름-21.3억49.6억-2.8억-22.3억-8,238만
(1)당기순이익14.3억1.7억-2.2억-25.1억17.7억
(2)현금의유출이없는비용등의가산6.6억2.4억4.9억2.6억2.1억
1.감가상각비1,020.4만1,854.4만2,388.3만2,850.9만4,558.4만
2.단기매매증권처분손실-384.8만-951만-2,106.4만-4,304.4만-529만
3.유형자산처분손실-292.2만--211만--
4.가설재손료42.9만42.9만48.1만167.6만596.3만
5.퇴직급여충당부채전입1.3억2.1억4.4억1.9억1.5억
6.대손상각비5.1억----
(3)현금의유입이없는수익등의 차감--98.8만--413.2만-
1.유형자산처분이익-8.8만-413.2만-
2.단기매매증권평가이익-90만---
(4)영업활동으로인한자산부채의변동-42.2억45.5억-5.5억2,173.2만-20.6억
1.매출채권의감소(증가)6.3억13.5억8.8억-3.9억-23억
2.미수금의감소(증가)3.4억-3.3억2.4억-1.6억-4.8억
3.미수수익의감소(증가)-1,971.6만4,324.1만-1,644.2만8,474.7만-1,400.9만
4.선급금의감소(증가)-4.2억-3.6억-2.9억-3.3억-1.1억
5.선급공사비의감소(증가)79.9만-53.6만3.9억-3.8억1,429만
6.선급비용의감소(증가)-9,251.9만4,533.8만-3,034.5만336.6만7,127.7만
7.미수법인세환급액의감소(증가)-1,666.9만333.6만-49만1,038.6만-1,188.3만
8.재고자산의감소(증가)-42.9만2,000---408.8만
9.매입채무의증가(감소)-6.9억5.5억-3,021.6만-2.8억4.2억
10.미지급금의증가(감소)-2.3억8,204.1만-3.8억1.5억2.2억
11.공사선수금의증가(감소)-24.8억28억-9,510.3만5.9억-8,957.1만
12.공사미지급금의증가(감소)2,217.3만3억-11.7억7.5억2.8억
13.예수보증금의증가(감소)-311.6만---689.5만
14.예수금의증가(감소)-765.9만147.7만157만-41.6만967.7만
15.미지급비용의증가(감소)1.3억-3,282.3만-8,265.6만-1.2억2억
16.미지급세금의증가(감소)-4.8억2억8,409.5만2.4억-1.1억
17.퇴직금지급-9억-9,570.9만-6,704.2만-1.5억-1.5억
Ⅱ.투자활동으로인한현금흐름14.3억-33.3억-17.3억-13.4억13.7억
(1)투자활동으로인한현금유입액265.7억406.7억88.2억210억110.6억
1.단기금융상품의처분206.8억251.5억17억20억-
2.단기대여금의회수57.3억152.7억65억185.8억107.9억
3.단기매매증권의처분8,078.2만2.3억2.8억2.8억1억
4.임차보증금의회수7,438만2,157.4만3.4억1.1억1.6억
6.기타보증금의회수-13만---
5.유형자산의처분297.8만333.1만439.2만2,363.6만1,000
(2)투자활동으로인한현금유출액-251.3억-440억-105.6억-223.3억-96.9억
1.단기금융상품의취득175.6억271.8억45.1억20억-
6.기타보증금의지급--13만--
2.단기매매증권의취득8,463만2.3억3억3.3억1.1억
4.유형자산의취득-2.6억723.6만2,257.8만5,604.9만
3.단기대여금의지급73.4억162.5억56.6억199.3억92억
5.임차보증금의지급1.5억7,030만7,890.4만5,600만3.2억
Ⅲ.재무활동으로인한현금흐름7,042.2만3,320만5,943.1만1.1억-11.2억
(1)재무활동으로인한현금유입액18.8억18.2억18.5억59억27.8억
1.단기차입금의증가17.9억17.9억17.9억58억26.6억
4.배당금의지급----10억
2.주임종단기차입금의증가8,842.2만3,320만5,943.1만1.1억1.3억
(2)재무활동으로인한현금유출액-18.1억-17.9억-17.9억-58억-39.1억
1.단기차입금의감소17.9억17.9억17.9억58억26.6억
2.주임종단기차입금의감소1,800만---2.5억
Ⅳ.현금의증가(감소)[Ⅰ+Ⅱ+Ⅲ]-6.3억16.7억-19.6억-34.6억1.6억
Ⅴ.기초의현금21.5억4.9억24.5억59억57.4억
Ⅵ.기말의현금15.3억21.5억4.9억24.5억59억
대국건설산업 재무 | Alpha Lenz