PDF문서경영공시4_20년 항우연 재무제표.pdf

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2

제25기  결산보고서

Ⅰ.  재무제표

1

재무상태표

제  25  (당)기  :  2020년  12월  31일  현재
제  24  (전)기  :  2019년  12월  31일  현재

(단위  :  원)

과                  목

제  25  (당)기

제  24  (전)기

금                액 

금                액 

자                산

Ⅰ.  유동자산

167,267,471,246

226,072,686,479

  1.  당좌자산

167,267,471,246

226,072,686,479

    1)  현금및현금성자산(주석2,3)

94,498,867,129

112,662,951,699

    2)  단기금융상품(주석2,3)

70,848,134,597

110,835,747,437

    3)  청구가능연구비(주석2)

862,330,707

1,470,919,384

    4)  미수금

558,945,873

89,184,339

    5)  미수수익

11,606,800

42,564,720

    6)  선급법인세

443,260,920

883,017,690

    7)  선급지방소득세

44,325,220

88,301,210

Ⅱ.  비유동자산

703,838,899,713

718,334,835,689

  1.  투자자산

21,132,900

21,132,900

    1)  기타  투자자산(주석4)

21,132,900 

21,132,900 

  2.  유형자산(주석2,5)

661,767,561,298

680,436,758,187

    1)  토지

49,675,314,961

49,675,314,961

    2)  조원

4,996,350,470

4,996,350,470

    3)  건물

480,500,034,361 

448,875,507,015   

          (감가상각누계액)

(123,656,961,425)

356,843,072,936   

(113,593,003,713)

335,282,503,302   

    4)  구축물

113,402,902,448 

104,162,698,071   

          (감가상각누계액)

(57,411,271,308)

55,991,631,140   

(52,049,088,806)

52,113,609,265   

    5)  연구기술장비

1,027,059,555,976 

969,112,076,027   

          (감가상각누계액)

(932,023,059,634)

95,036,496,342   

(869,104,818,571)

100,007,257,456   

    6)  공기구·비품

230,918,289,746 

226,166,317,115   

          (감가상각누계액)

(141,372,986,323)

89,545,303,423   

(99,935,082,417)

126,231,234,698   

    7)  차량운반구

1,992,932,603 

1,835,507,603   

          (감가상각누계액)

(1,242,675,441)

750,257,162   

(1,184,427,051)

651,080,552   

    8)  장서

1,173,947,522 

1,209,033,988   

        (감가상각누계액)

(1,142,243,685)

31,703,837   

(1,173,983,453)

35,050,535   

    9)  건설중인자산

8,147,347,507   

11,444,356,948   

    10)  미착장비

750,083,520

                            - 

  3.  무형자산(주석2,6)

19,457,437,513

10,978,849,512

    1)  지식재산권

995,000

873,000

    2)  소프트웨어

19,456,442,513

10,977,976,512

  4.  기타비유동자산

22,592,768,002

26,898,095,090

    1)  연구개발준비예치금(주석3)

3,393,608,789

2,893,692,793

    2)  연구개발적립예치금(주석3)

8,981,127,417

14,009,594,917

    3)  퇴직급여적립예치금(주석3,9)

8,161,297,096

8,038,302,280

    4)  종업원장기대여금(주석7)

1,991,244,700

1,891,015,100

    5)  예치보증금

65,490,000

65,490,000

자      산      총      계

871,106,370,959

944,407,522,168


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3

제25기  결산보고서

Ⅰ.  재무제표

과                  목

제  25  (당)기

제  24  (전)기

금                액 

금                액 

부              채

  Ⅰ.  일반부채

169,583,943,058

228,986,210,980

    1.  유동부채

154,730,209,831

214,996,664,885

      1)  연구비미지급금

23,413,814,609

20,217,056,480

      2)  미지급금

5,847,487,640

5,843,332,921

      3)  연구비선수금(주석2,8)

113,928,557,064

174,242,955,870

      4)  기타선수금(주석8)

4,087,797,799

6,945,635,483

      5)  예수금

5,906,767,454

6,578,831,694

      6)  제세예수금

755,492,880

717,586,330

      7)  부가세예수금

770,292,385

431,266,107

      8)  선수수익

20,000,000

20,000,000

    2.  비유동부채

14,853,733,227

13,989,546,095

      1)  퇴직급여충당부채(주석2,9)

10,170,020,060

9,956,317,520

      2)  장비보수충당부채(주석2,10)

4,683,713,167

4,033,228,575

  Ⅱ.  준비금및적립금

20,252,638,336

23,951,476,565

    1.  준비금(주석2,11)

11,264,723,589

9,917,267,178

      1)  연구지원준비금

6,371,193,443

5,480,808,933

      2)  연구개발준비금

3,396,455,389

2,899,357,023

      3)  기술개발준비금

1,497,074,757

1,537,101,222

    2.  적립금(주석2,11)

8,987,914,747

14,034,209,387

      1)  연구개발적립금

8,987,914,747

14,034,209,387

   

부      채      총      계

189,836,581,394

252,937,687,545

   

순        자        산

  Ⅰ.  기본순자산

1,000,000

1,000,000

    1.  기본금(주석12)

1,000,000

1,000,000

      1)  설립자  기본금

1,000,000

1,000,000

  Ⅱ.  출연잉여금

681,226,131,711

691,416,740,599

    1.  시설잉여금(주석2,5,13)

681,224,998,811

691,415,607,699

      1)  출연시설잉여금

145,459,764,300

156,941,853,946

      2)  연구시설잉여금

535,765,234,511

534,473,753,753

    2.  기타출연잉여금

1,132,900

1,132,900

      1)  기타출연잉여금

1,132,900

1,132,900

  Ⅲ.  연구잉여금

42,657,854

52,094,024

    1.  전기이월연구잉여금

52,094,024

56,096,764

    2.  당기연구운영성과

(9,436,170)

(4,002,740)

순    자    산        총    계

681,269,789,565

691,469,834,623

   

부채와    순자산    총계

871,106,370,959

944,407,522,168


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4

제25기  결산보고서

Ⅰ.  재무제표

2

연구운영성과표

제  25  (당)기  :  2020년  1월  1일부터  2020년  12월  31일까지
제  24  (전)기  :  2019년  1월  1일부터  2019년  12월  31일까지

(단위  :  원)

과                  목

제  25  (당)기

제  24  (전)기

금                액

금                액

Ⅰ.  연구사업수익(주석2,15)

674,223,002,106

535,152,389,897

  1.  연구개발출연금수익

96,585,368,526

97,002,590,689

  2.  국가연구개발사업수익

559,114,321,680

424,295,053,246

  3.  수탁연구사업수익

12,472,975,029

6,499,484,393

  4.  기술지원사업수익

4,287,520,681

4,474,792,464

  5.  기타연구사업수익

1,762,816,190

2,880,469,105

    1)  기타연구사업

44,998,344

422,868,752

    2)  기본경비수익

1,717,817,846

2,457,600,353

   

Ⅱ.  연구사업비용

682,257,909,456

543,223,087,887

  (1)  연구사업직접원가(주석2)

629,605,238,012

493,743,108,280

    1.  연구개발출연금원가

87,430,405,065

84,929,715,652

    2.  국가연구개발사업원가

527,101,906,480

398,497,408,256

    3.  수탁연구사업원가

11,317,101,093

5,839,479,959

    4.  기술지원사업원가

3,710,827,030

4,053,635,661

    5.  기타연구사업원가

44,998,344

422,868,752

  (2)  연구사업간접원가

33,053,867,588

34,803,104,364

    1.  인력지원비

13,550,729,295

15,643,291,388

      1)  지원인력인건비

10,980,729,295

12,653,291,388

      2)  연구개발능률성과급

2,570,000,000

2,990,000,000

    2.  연구지원비

17,447,760,902

16,432,809,055

      1)  기관공통지원경비

14,743,392,005

14,319,279,067

      2)  연구실안전관리비

1,449,333,896

922,083,828

      3)  연구보안관리비

603,615,230

449,846,590

      4)  사업단·연구단운영비

24,426,250

23,994,825

      5)  연구개발준비금비용

626,993,521

717,604,745

    3.  성과활동지원비

2,055,377,391

2,727,003,921

      1)  과학문화활동비

1,133,654,571

1,872,194,606

      2)  지식재산권  출원·등록비

921,722,820

854,809,315

  (3)  연구사업기타원가

19,598,803,856

14,676,875,243

    1.  자체연구사업비

12,197,074,298

8,496,242,428

      1)  연구개발적립금비용

11,111,837,364

7,610,756,107

      2)  기술개발준비금비용

1,085,236,934

885,486,321


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제25기  결산보고서

Ⅰ.  재무제표

과                  목

제  25  (당)기

제  24  (전)기

금                액

금                액

    2.  기타사업비

5,683,911,712

3,723,032,462

      1)  연구인력인건비

75,280,669,933

69,630,884,444

        (연구사업원가내부인건비배부액)

(75,280,669,933)

(69,630,884,444)

      2)  능률성과급

4,283,000,000

2,612,000,000

      3)  기술료인센티브

1,307,695,132

977,639,930

      4)  기타운영비

93,216,580

133,392,532

    3.  노후시설개체비

1,717,817,846

2,457,600,353

      1)  노후시설보수비

1,717,817,846

2,457,600,353

Ⅲ.  연구사업이익(손실)(Ⅲ=Ⅰ-Ⅱ)

(8,034,907,350)

(8,070,697,990)

   

Ⅳ.  연구사업외수익

30,019,085,805

28,714,307,643

  1.  연구외수익

5,788,414,273

4,902,963,909

    1)  일반회계수입이자

578,563,248

1,047,081,231

    2)  연구개발준비예치금이자

18,484,987

36,781,000

    3)  연구개발적립예치금이자

42,587,717

159,115,436

    4)  퇴직급여적립예치금  이자

85,266,710

130,108,972

    5)  기술료수익

2,580,308,100

1,984,279,860

    6)  잡수익

803,607,992

820,487,125

    7)  유형자산처분이익

27,060,000

41,677,530

    8)  외화환산이익

-

23,884,849

    9)  연구비정산차익

1,391,335,519

152,547,906

    10)  기타의연구외수익

261,200,000

507,000,000

  2.  준비금및적립금환입액(주석11)

24,230,671,532

23,811,343,734

    1)  수익사업출연이익

3,168,753,315

6,308,499,481

    2)  연구지원준비금환입액

6,702,752,767

7,112,929,164

    3)  연구개발준비금환입액

626,993,521

717,604,745

    4)  기술개발준비금환입액

2,620,334,565

2,061,554,237

    5)  연구개발적립금환입액

11,111,837,364

7,610,756,107

   

Ⅴ.  연구사업외비용

21,993,614,625

20,647,612,393

  1.  연구외비용

35,123,000

322,144,849

    1)  외환환산손실

-

23,884,849

    2)  연구비정산차손

35,123,000

298,260,000

  2.  준비금및적립금전입액(주석11)

21,958,491,625

20,325,467,544

    1)  고유목적사업준비금전입액

3,168,753,315

6,308,499,481

    2)  연구지원준비금전입액

7,579,402,499

6,771,427,986

    3)  연구개발준비금전입액

1,119,484,987

222,781,000

    4)  기술개발준비금전입액

2,580,308,100

1,984,279,860

    5)  연구개발적립금전입액

7,510,542,724

5,038,479,217

   

Ⅵ.  당기연구운영성과(Ⅵ=Ⅲ+Ⅳ-Ⅴ)

(9,436,170)

(4,002,740)


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6

제25기  결산보고서

Ⅰ.  재무제표

3

순자산변동표

제  25  (당)기  :  2020년  1월  1일부터  2020년  12월  31일까지
제  24  (전)기  :  2019년  1월  1일부터  2019년  12월  31일까지

(단위  :  원)

과          목

기본순자산

출연잉여금

연구잉여금

순자산총계

2019년  1월  1일  잔액

1,000,000

754,194,850,282

56,096,764

754,251,947,046

  당기연구운영성과

-

-

(4,002,740)

(4,002,740)

  2019년  순자산변동

    비유동자산  증가

-

101,222,900,564

-

101,222,900,564

    비유동자산  감소

-

(1,965,082,603)

-

(1,965,082,603)

    비유동자산  처분

-

(8,934,997)

-

(8,934,997)

    감가상각비

-

(162,026,992,647)

-

(162,026,992,647)

2019년  12월  31일  잔액

1,000,000

691,416,740,599

52,094,024

691,469,834,623

2020년  1월  1일  잔액

1,000,000

691,416,740,599

52,094,024

691,469,834,623

  당기연구운영성과

-

-

(9,436,170)

(9,436,170)

  2020년  순자산변동

    비유동자산  증가

-

127,695,760,421

-

127,695,760,421

    비유동자산  감소

-

(75,000)

      - 

(75,000)

    비유동자산  처분

(601,065,496)

              - 

(601,065,496)

    감가상각비

-

(137,285,228,813)

              - 

(137,285,228,813)

2020년  12월  31일  잔액

1,000,000

681,226,131,711

42,657,854

681,269,789,565


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7

제25기  결산보고서

Ⅰ.  재무제표

4

현금흐름표

제  25  (당)기  :  2020년  1월  1일부터  2020년  12월  31일까지
제  24  (전)기  :  2019년  1월  1일부터  2019년  12월  31일까지

(단위  :  원)

과                  목

제  25  (당)기

제  24  (전)기

금                액

금                액

Ⅰ.  연구활동으로  인한  현금흐름

(62,484,084,498)

13,790,907,643

  (1)  당기순손실

(9,436,170)

(4,002,740)

  (2)  현금의  유출이  없는  비용등의  가산

28,401,052,533

21,454,271,124

      1)  퇴직급여

6,424,219,230

1,128,803,580

      2)  연구개발준비금전입액

1,124,091,887

222,781,000

      3)  연구지원준비금전입액

7,593,137,277

6,771,427,986

      4)  연구개발적립금전입액

7,510,542,724

5,038,479,217

      5)  기술개발준비금전입액

2,580,308,100

1,984,279,860

      6)  고유목적사업준비금전입액

3,168,753,315

6,308,499,481

  (3)  현금의  유입이  없는  수익등의  차감

(24,257,731,532)

(23,853,021,264)

      1)  연구개발준비금환입액

626,993,521

717,604,745

      2)  연구지원준비금환입액

6,702,752,767

7,112,929,164

      3)  연구개발적립금환입액

11,111,837,364

7,610,756,107

      4)  기술개발준비금환입액

2,620,334,565

2,061,554,237

      5)  수익사업출연수익

3,168,753,315

6,308,499,481

      6)  유형자산처분이익

27,060,000

41,677,530

  (4)  연구활동으로인한  자산부채의  변동

(66,617,969,329)

16,193,660,523

      1)  연구비미수금의  감소(증가)

-

1,055,982,430

      2)  청구가능연구비의  감소(증가)

608,588,677

(1,272,814,196)

      3)  미수금의  감소(증가)

(469,761,534)

95,837,575

      4)  미수수익의  감소(증가)

30,957,920

86,845,870

      5)  선급법인세의  감소(증가)

439,756,770

153,494,920

      6)  선급지방소득세의  감소(증가)

43,975,990

15,349,480

      7)  연구미지급금의  증가(감소)

3,196,758,129

(24,101,352,982)

      8)  미지급금의  증가(감소)

4,154,719

(2,073,112,409)

      9)  연구비선수금의  증가(감소)

(61,759,398,806)

41,665,320,438

      10)  기타선수금의  증가(감소)

(2,857,837,684)

(994,940,596)

      11)  예수금의  증가(감소)

(672,064,240)

917,455,177

      12)  제세예수금의  증가(감소)

37,906,550

156,267,715

      13)  부가세예수금의  증가(감소)

339,026,278

(288,007,451)

      14)  퇴직금의  지급

(6,210,516,690)

(337,062,210)

      15)  장비보수충당부채의  증가(감소)

650,484,592

1,114,396,762


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8

제25기  결산보고서

Ⅰ.  재무제표

과                  목

제  25  (당)기

제  24  (전)기

금                액

금                액

Ⅱ.  투자활동으로  인한  현금흐름

(83,375,760,493)

(68,503,456,099)

  (1)  투자활동으로  인한  현금유입액

45,043,140,340

33,502,674,855

      1)  단기금융자산의  감소

39,987,612,840

29,973,975,870

      2)  연구개발준비예치금의  감소

-

495,259,255

      3)  연구개발적립예치금의  감소

5,028,467,500

2,991,762,200

      4)  연구기술장비의  처분

10,580,000

11,120,000

      5)  공기구비품의  처분

5,250,000

4,189,800

      6)  차량운반구의  처분

11,230,000

26,367,730

  (2)  투자활동으로  인한  현금유출액

(128,418,900,833)

(102,006,130,954)

      1)  연구개발준비예치금의  증가

499,915,996

-

      2)  퇴직급여적립예치금의  증가

122,994,816

667,002,890

      3)  종업원장기대여금의  증가

100,229,600

116,227,500

      4)  조원의  취득

-

362,989,659

      5)  건물의  취득

32,246,834,310

13,940,567,356

      6)  구축물의  증가

9,285,564,900

435,348,030

      7)  연구기술장비의  취득

60,592,627,135

42,983,487,090

      8)  공기구비품의  취득

6,102,920,811

36,443,115,324

      9)  차량운반구의  취득

290,241,000

542,625,000

      10)  장서의  취득

10,043,916

10,413,402

      11)  건설중인자산의  증가

5,635,579,725

990,947,366

      12)  미착장비의  증가

750,083,520

-

      13)  무형자산의  증가

12,781,865,104

5,513,407,337

Ⅲ.  재무활동으로  인한  현금흐름

 

127,695,760,421

 

101,222,900,564

  (1)  재무활동으로  인한  현금유입액

127,695,760,421

101,222,900,564

      1)  출연시설잉여금의  증가

9,655,036,875

5,702,223,355

      2)  연구시설잉여금의  증가

118,040,723,546

95,520,677,209

Ⅳ.  현금의    증가(감소)  (Ⅰ+Ⅱ+Ⅲ)

(18,164,084,570)

46,510,352,108

Ⅴ.  기초의  현금

112,662,951,699

66,152,599,591

Ⅵ.  기말의  현금  (Ⅳ+Ⅴ)

94,498,867,129

112,662,951,699