건강

비상장계속사업자

GUNGANG Co., Ltd.

이계혁

재무 실적

개별 · K-IFRS · 기말기준

항목20252024202220212020
매출액4.9億-12.9%5.6億5,281.8万545億519.3億
영업이익-8.4億적자지속-7.7億-19.1億91.6億77.9億
당기순이익-11.3億적자지속-48.6億-20.8億65.2億63.7億
-170.95%영업이익률
-231.36%순이익률
-6.07%ROA
-23.41%ROE
285.55%부채비율
25.94%자기자본비율

* 재무제표 계정 기반 자체계산 비율

주요 경영지표

2025 결산 · 기말

186.7億자산총액
138.3億부채총계
48.4億자본총계
4.9億매출액
-8.4億영업이익
-11.3億순이익
-170.95%매출액 영업이익률
-231.36%매출액 순이익률

전체 재무제표

재무상태표 · 손익계산서 · 현금흐름표 전 계정 (단위: 원)

재무상태표

계정20252024202220212020
Ⅰ.유동자산81억34.4억104.1억145.1억411억
(1)당좌자산21.9억30.5억101.9억145억193.2억
1.현금및현금성자산(주석2,3)1.3억9,596.4만16.3억113.2억77.1억
2.단기금융상품1.1억11억26.5억22.5억1.1억
3.공사미수금(주석2)-2,500만2,500만--
3.분양미수금(주석2)---1.7억102.6억
4.단기대여금(주석11)34억36.7억45.8억5.4억-
대손충당금-23.5억-23.5억---
5.미수금8.6억4.9억2,367.3만2.3억6.4억
6.미수수익3.7억3.7억8,652.3만--
대손충당금-3.7억-3.7억---
7.선급금12억12억12억-6.1억
대손충당금-12억-12억---
8.선급비용1,474.1만399.9만226만337.2만75.1만
9.미수법인세환급액2,443.4만1,830.1만---
(2)재고자산59.1억3.9억2.2억350만217.7억
1.건설용지55.3억---217.7억
2.미완성공사3.9억3.9억2.2억350만-
Ⅱ.비유동자산105.7억103.2억44억36억164.5억
(1)투자자산48.2억44.3억41.4억32.7억4.7억
1.매도가능증권(주석2,4)29.9억29.8억29.8억28.8억3.2억
2.건설중인자산----156.8억
2.보험예치금18억14.2억11.3억3.6억1.2억
3.미술품2,700만2,700만2,700만2,700만3,320만
(2)유형자산(주석2,5)57.4억58.9억2.5억3.2억157.8억
1.토지23.6억23.6억---
2.건물35.6억35.6억---
감가상각누계액-2.3억-1.4억---
3.차량운반구3.7억3.7억3.7억3.7억1.2억
감가상각누계액-3.3억-2.7억-1.3억-5,557.1만-2,465만
4.비품217.6만217.6만217.6만--
1.미지급금--4.5만2,270.5만99억
감가상각누계액-189.7만-166.8만-49.1만--
4.선수금---64.1만3.7억
(3)기타비유동자산1,000만1,000만1,000만1,000만2억
1.임차보증금1,000만1,000만1,000만1,000만2억
6.미지급세금---11.1억17.4억
자산총계186.7억137.7억148.1억181.1억575.4억
8.분양선수금----15.2억
Ⅰ.유동부채68.4억17.3억4.7억45.2억307.7억
1.예수금1.5억9,730만1.8억2.7억2억
2.부가세예수금1,043.1만1,432.5만-1.6억3,762.4만
3.단기차입금(주석 7,11)29.2억11.1억-27.7억167.8억
4.유동성장기차입금(주석 7)31.3억----
5.미지급비용6.3억5억2.8억1.9억2.1억
Ⅱ.비유동부채69.9억60.7억31.3억2.9억200억
1.장기차입금(주석7)65.6억56.9억27.7억-200억
2.퇴직급여충당부채(주석8)4.3억3.8억3.5억2.9억-
부채총계138.3억77.9억35.9억48.1억507.7억
Ⅰ.자본금(주석1,9)5.3억5.3억5.3억5.3억5.3억
1.보통주자본금5.3억5.3억5.3억5.3억5.3억
Ⅲ.자본조정-312.1만-312.1만-312.1만-312.1만-312.1만
1.주식할인발행차금-312.1만-312.1만-312.1만-312.1만-312.1만
Ⅴ.이익잉여금(주석10)43.2억54.5억106.9억127.7억62.5억
1.미처분이익잉여금43.2억54.5억106.9억127.7억62.5억
자본총계48.4억59.8억112.2억133억67.8억
부채및자본총계186.7억137.7억148.1억181.1억575.4억

손익계산서

계정20252024202220212020
Ⅰ.매출액(주석2)4.9억5.6억5,281.8만545억519.3억
1.공사수입1,000만8,236.4만5,281.8만--
1.분양수입금---508.2억519.3억
2.임대료수입4.8억4.8억---
2.기타수입---36.8억-
Ⅱ.매출원가637만3,480만4,200.4만424.5억420.8억
1.공사원가637만3,480만4,200.4만--
1.분양원가---424.5억420.8억
Ⅲ.매출총이익4.8억5.3억1,081.4만120.5억98.5억
Ⅳ.판매비와관리비13.2억13억19.2억29억20.6억
1.급여(주석12)8.5억8.7억13.5억16.8억17.1억
2.퇴직급여(주석12)5,390.9만6,682.8만7,233.3만3.3억-
3.복리후생비(주석12)6,899.9만5,395.1만1.5억1.4억1.1억
4.여비교통비1,338.4만402.1만1,234.4만1,131.9만209.4만
5.접대비406.6만227만7,191.1만8,773.9만4,553.8만
6.통신비71.3만70만318.3만477만227.9만
7.전력비119만112.7만109.4만1,839.1만93.4만
8.세금과공과(주석12)5,017.6만4,949.5만1,464.4만1.3억1.1억
9.감가상각비(주석5,12)1.5억1.6억7,417만3,092.1만2,465만
7.수도광열비--53만1,493.4만-
10.지급임차료(주석12)50.3만53.5만95.2만2억-
11.수선비2,753.5만1,520.4만1,720.4만1,016.6만1,140.1만
12.보험료1,136.2만604.1만1,810.3만2,119.7만774.9만
10.지급임차료(주석11)----9만
13.차량유지비2,687.7만1,793.1만2,223.7만2,150.1만1,186.7만
14.운반비-1.7만53.2만27.6만81.7만
15.교육훈련비10만7.5만-98만-
16.도서인쇄비141.8만13.6만91.1만678.5만72.8만
17.소모품비10.1만15.2만883.8만411만519.1만
15.경상연구개발비--761.6만2,500만-
18.지급수수료6,193.2만4,845.1만8,413.3만5,993.9만2,855.6만
19.건물관리비47.1만48.5만160만2,593.6만58.6만
20.잡비4,8203.6만---
Ⅴ.영업이익(손실)-8.4억-7.7억-19.1억91.6억77.9억
19.사무용품비--121.1만15.9만16.3만
Ⅵ.영업외수익1.4억2.2억2.3억1.1억4.4억
22.광고선전비---7,735.9만-
1.이자수익1.3억2.2억1.8억2,434.9만2,131.6만
3.단기투자자산처분이익776.1만----
4.잡이익3만2784,796.3만1,565.5만1,336.5만
2.배당금수익-229만470.8만428만188만
24.분양광고비--20.5만--
Ⅶ.영업외비용4.4억42.8억4.1억8.5억1.2억
1.이자비용4.3억3.1억1.2억4.7억-
2.만기보유증권이자----753
2.기부금1,000만1,000만3,600만3.7억1.2억
3.단기매매증권평가손실-1만-10만---
5.보증수수료환입---6,832.9만4억
3.단기투자자산평가이익--10.9만100만-
6.잡손실-117.2만-101.1만-196.4만-240만-350만
Ⅷ.법인세차감전순이익(손실)-11.3억-48.3억-20.8억84.2억81.1억
4.단기매매증권처분손실--3,780.4만---
5.기타의대손상각비-39.2억---
Ⅹ.당기순이익(손실)-11.3억-48.6억-20.8억65.2억63.7억
4.보상비----44.8만
3.단기매매증권평가손실---86.5만--
Ⅸ.법인세등(주석2)-2,973.8만-19억17.4억
4.단기매매증권처분손실---2.5억--2.3만

현금흐름표

계정20252024202220212020
Ⅰ.영업활동으로인한현금흐름-66.4억-10.5억-41.3억274.8억165.6억
(1)당기순손실-11.3억-48.6억-20.8억-65.2억-63.7억
(2)현금의유출이없는비용등의가산2억41.4억3.9억3.2억2,465만
1.감가상각비1.5억1.6억7,417만3,092.1만2,465만
2.퇴직급여5,390.9만6,682.8만7,233.3만2.9억-
3.기타의대손상각비-39.2억---
3.단기매매증권평가손실---86.5만--
(3)현금의유입이없는수익등의차감-148.3만-143만-10.9만-100만-3.5만
4.단기매매증권처분손실---2.5억--
1.이자수익148.3만143만--3.5만
2.단기투자자산평가이익---100만-
(4)영업활동으로인한자산부채의변동-57.1억-3.3억-24.4억206.4억101.7억
1.단기매매증권평가이익--10.9만--
1.공사미수금의감소(증가)2,500만----
1.미수금의감소(증가)-3.7억-3억2억4.1억-5.9억
1.분양미수금의감소(증가)--1.7억100.9억-102.6억
2.공사미수금의감소(증가)---2,500만--
3.선급비용의감소(증가)-1,074.1만-189만111.3만-262.1만-75.1만
6.선납세금의감소(증가)----111.7만
4.미환급세액의감소(증가)-613.2만-158.9만---
2.미수수익의감소(증가)--1.1억-8,652.3만--
5.재고자산의감소(증가)-55.3억-2,097.2만-2.2억217.7억222.4억
5.선급금의감소(증가)---12억6.1억9,900만
7.예수금의증가(감소)5,282.8만-426.8만-9,005.7만6,634.7만8,742만
8.부가세예수금의증가(감소)-389.5만-485.3만-1.6억1.2억66.5만
6.미지급금의증가(감소)--39.4만-2,266.1만-98.8억-1.9억
9.미지급비용의증가(감소)1.3억1.1억9,451.8만-2,145.8만1,004.1만
Ⅱ.투자활동으로인한현금흐름8.7억11.3억-55.6억-55.4억-161억
(1)투자활동으로인한현금유입액27.7억27.3억144.2억9.6억-
11.미지급세금의증가(감소)---11.1억-6.3억17.4억
13.분양선수금의증가(감소)----15.2억-33.4억
1.단기금융상품의회수23.4억18.9억102.8억9,902.4만-
2.단기대여금의회수4.3억8.4억22.8억5.9억-
(2)투자활동으로인한현금유출액-19억-16억-199.8억-65억-161억
14.선수금의증가(감소)---64.1만-3.7억3.7억
1.단기금융상품의취득13.5억15.5억106.8억22.3억-
15.퇴직금의지급---341.8만--
2.단기대여금의증가1.6억3.5억63.2억11.3억-
2.장기금융상품의증가----1.1억
3.보험예치금의증가3.9억-3억7.7억2.5억-
3.임차보증금의회수---2억-
Ⅲ.재무활동으로인한현금흐름58억-8,675.3만--183.3억-142.2억
4.보험예치금의회수---600만-
(1)재무활동으로인한현금유입액66.8억2.8억-82.7억157.8억
2.단기매매증권의처분--18.6억--
5.미술품의감소---6,200만-
1.단기차입금의차입26.8억2.8억-82.7억157.8억
2.장기차입금의차입40억----
(2)재무활동으로인한현금유출액-8.8억-3.6억--266억-300억
1.단기차입금의상환8.8억3.6억-66억-
Ⅳ.현금의증가(감소)[Ⅰ+Ⅱ+Ⅲ]3,174.8만-339.1만-96.9억36.1억-137.5억
Ⅴ.기초의현금9,596.4만9,935.5만113.2억77.1억214.6억
5.임차보증금의지급---1,000만-
Ⅵ.기말의현금1.3억9,596.4만16.3억113.2억77.1억
3.단기매매증권의증가--21.1억--
7.미술품의취득---5,580만620만
4.매도가능증권의취득--1억25.6억1.8억
6.유형자산의취득--217.6만2.5억158억
2.장기차입금의상환---200억300억
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