Оборотная ведомость по счетам бухгалтерского учета кредитной организации по состоянию на 1 августа 2016 г.
Наименование кредитной организации
Акционерное общество "БИНБАНК Мурманск"
Регистрационный номер
1276
Код формы по ОКУД 0409101
Номер счета | Входящие остатки | Обороты за отчетный период | Исходящие остатки | |||||||||
---|---|---|---|---|---|---|---|---|---|---|---|---|
по дебету | по кредиту | |||||||||||
в рублях | ин. вал., драг. металлы | итого | в рублях | ин. вал., драг. металлы | итого | в рублях | ин. вал., драг. металлы | итого | в рублях | ин. вал., драг. металлы | итого | |
1 | 2 | 3 | 4 | 5 | 6 | 7 | 8 | 9 | 10 | 11 | 12 | 13 |
А. Балансовые счета | ||||||||||||
Актив | ||||||||||||
20202 | 53 483 | 30 264 | 83 747 | 1 018 311 | 247 405 | 1 265 716 | 1 005 048 | 247 696 | 1 252 744 | 66 746 | 29 973 | 96 719 |
20209 | 12 380 | 498 | 12 878 | 658 810 | 102 873 | 761 683 | 666 050 | 102 700 | 768 750 | 5 140 | 671 | 5 811 |
30102 | 152 807 | 0 | 152 807 | 6 019 793 | 0 | 6 019 793 | 5 938 217 | 0 | 5 938 217 | 234 383 | 0 | 234 383 |
30110 | 5 056 852 | 704 651 | 5 761 503 | 3 655 474 | 1 287 709 | 4 943 183 | 3 336 055 | 1 177 086 | 4 513 141 | 5 376 271 | 815 274 | 6 191 545 |
30202 | 27 981 | 0 | 27 981 | 1 823 | 0 | 1 823 | 0 | 0 | 0 | 29 804 | 0 | 29 804 |
30204 | 8 164 | 0 | 8 164 | 453 | 0 | 453 | 0 | 0 | 0 | 8 617 | 0 | 8 617 |
30221 | 1 358 | 21 363 | 22 721 | 0 | 57 677 | 57 677 | 0 | 79 040 | 79 040 | 1 358 | 0 | 1 358 |
30233 | 273 | 11 | 284 | 59 658 | 1 613 | 61 271 | 59 559 | 1 525 | 61 084 | 372 | 99 | 471 |
45201 | 948 | 0 | 948 | 1 777 | 0 | 1 777 | 2 181 | 0 | 2 181 | 544 | 0 | 544 |
45203 | 691 | 0 | 691 | 1 764 | 0 | 1 764 | 1 458 | 0 | 1 458 | 997 | 0 | 997 |
45205 | 1 690 | 0 | 1 690 | 0 | 0 | 0 | 0 | 0 | 0 | 1 690 | 0 | 1 690 |
45206 | 100 | 0 | 100 | 0 | 0 | 0 | 100 | 0 | 100 | 0 | 0 | 0 |
45207 | 10 720 | 0 | 10 720 | 0 | 0 | 0 | 220 | 0 | 220 | 10 500 | 0 | 10 500 |
45208 | 148 848 | 141 367 | 290 215 | 0 | 11 455 | 11 455 | 3 573 | 5 309 | 8 882 | 145 275 | 147 513 | 292 788 |
45401 | 155 | 0 | 155 | 1 632 | 0 | 1 632 | 1 719 | 0 | 1 719 | 68 | 0 | 68 |
45405 | 350 | 0 | 350 | 0 | 0 | 0 | 0 | 0 | 0 | 350 | 0 | 350 |
45406 | 2 200 | 0 | 2 200 | 0 | 0 | 0 | 0 | 0 | 0 | 2 200 | 0 | 2 200 |
45407 | 22 375 | 0 | 22 375 | 0 | 0 | 0 | 1 050 | 0 | 1 050 | 21 325 | 0 | 21 325 |
45408 | 29 598 | 0 | 29 598 | 0 | 0 | 0 | 1 460 | 0 | 1 460 | 28 138 | 0 | 28 138 |
45506 | 18 743 | 0 | 18 743 | 0 | 0 | 0 | 2 586 | 0 | 2 586 | 16 157 | 0 | 16 157 |
45507 | 1 248 247 | 0 | 1 248 247 | 0 | 0 | 0 | 33 019 | 0 | 33 019 | 1 215 228 | 0 | 1 215 228 |
45509 | 455 | 0 | 455 | 1 047 | 0 | 1 047 | 1 182 | 0 | 1 182 | 320 | 0 | 320 |
45812 | 141 245 | 0 | 141 245 | 0 | 0 | 0 | 1 649 | 0 | 1 649 | 139 596 | 0 | 139 596 |
45814 | 50 | 0 | 50 | 0 | 0 | 0 | 50 | 0 | 50 | 0 | 0 | 0 |
45815 | 51 418 | 0 | 51 418 | 3 300 | 0 | 3 300 | 2 486 | 0 | 2 486 | 52 232 | 0 | 52 232 |
45912 | 1 060 | 0 | 1 060 | 0 | 0 | 0 | 0 | 0 | 0 | 1 060 | 0 | 1 060 |
45915 | 3 184 | 0 | 3 184 | 1 306 | 0 | 1 306 | 1 238 | 0 | 1 238 | 3 252 | 0 | 3 252 |
47408 | 0 | 0 | 0 | 129 775 | 904 478 | 1 034 253 | 129 775 | 904 478 | 1 034 253 | 0 | 0 | 0 |
47415 | 2 121 | 0 | 2 121 | 0 | 0 | 0 | 0 | 0 | 0 | 2 121 | 0 | 2 121 |
47423 | 10 810 | 2 147 | 12 957 | 7 484 | 634 | 8 118 | 2 734 | 799 | 3 533 | 15 560 | 1 982 | 17 542 |
47427 | 10 522 | 0 | 10 522 | 17 528 | 0 | 17 528 | 17 206 | 0 | 17 206 | 10 844 | 0 | 10 844 |
47802 | 5 360 | 0 | 5 360 | 0 | 0 | 0 | 300 | 0 | 300 | 5 060 | 0 | 5 060 |
52503 | 219 | 0 | 219 | 0 | 0 | 0 | 13 | 0 | 13 | 206 | 0 | 206 |
60202 | 268 134 | 0 | 268 134 | 0 | 0 | 0 | 0 | 0 | 0 | 268 134 | 0 | 268 134 |
60302 | 40 | 0 | 40 | 0 | 0 | 0 | 0 | 0 | 0 | 40 | 0 | 40 |
60306 | 0 | 0 | 0 | 1 255 | 0 | 1 255 | 1 255 | 0 | 1 255 | 0 | 0 | 0 |
60308 | 1 238 | 0 | 1 238 | 109 | 71 | 180 | 94 | 71 | 165 | 1 253 | 0 | 1 253 |
60310 | 0 | 0 | 0 | 350 | 0 | 350 | 350 | 0 | 350 | 0 | 0 | 0 |
60312 | 2 092 | 0 | 2 092 | 2 810 | 0 | 2 810 | 3 622 | 0 | 3 622 | 1 280 | 0 | 1 280 |
60314 | 0 | 0 | 0 | 0 | 458 | 458 | 0 | 458 | 458 | 0 | 0 | 0 |
60323 | 5 349 | 0 | 5 349 | 194 | 0 | 194 | 118 | 0 | 118 | 5 425 | 0 | 5 425 |
60336 | 1 004 | 0 | 1 004 | 606 | 0 | 606 | 183 | 0 | 183 | 1 427 | 0 | 1 427 |
60401 | 166 060 | 0 | 166 060 | 102 | 0 | 102 | 1 454 | 0 | 1 454 | 164 708 | 0 | 164 708 |
60415 | 0 | 0 | 0 | 102 | 0 | 102 | 102 | 0 | 102 | 0 | 0 | 0 |
60901 | 2 833 | 0 | 2 833 | 0 | 0 | 0 | 3 | 0 | 3 | 2 830 | 0 | 2 830 |
61002 | 155 | 0 | 155 | 0 | 0 | 0 | 0 | 0 | 0 | 155 | 0 | 155 |
61008 | 157 | 0 | 157 | 180 | 0 | 180 | 179 | 0 | 179 | 158 | 0 | 158 |
61009 | 26 | 0 | 26 | 22 | 0 | 22 | 25 | 0 | 25 | 23 | 0 | 23 |
61209 | 0 | 0 | 0 | 1 596 | 0 | 1 596 | 1 596 | 0 | 1 596 | 0 | 0 | 0 |
61212 | 0 | 0 | 0 | 300 | 0 | 300 | 300 | 0 | 300 | 0 | 0 | 0 |
61403 | 1 473 | 0 | 1 473 | 398 | 0 | 398 | 252 | 0 | 252 | 1 619 | 0 | 1 619 |
62001 | 3 398 | 0 | 3 398 | 0 | 0 | 0 | 0 | 0 | 0 | 3 398 | 0 | 3 398 |
70606 | 586 375 | 0 | 586 375 | 72 993 | 0 | 72 993 | 554 | 0 | 554 | 658 814 | 0 | 658 814 |
70608 | 1 527 101 | 0 | 1 527 101 | 117 478 | 0 | 117 478 | 0 | 0 | 0 | 1 644 579 | 0 | 1 644 579 |
70611 | 65 210 | 0 | 65 210 | 16 090 | 0 | 16 090 | 0 | 0 | 0 | 81 300 | 0 | 81 300 |
Итого по активу (баланс) | 9 655 052 | 900 301 | 10 555 353 | 11 794 520 | 2 614 373 | 14 408 893 | 11 219 015 | 2 519 162 | 13 738 177 | 10 230 557 | 995 512 | 11 226 069 |
Пассив | ||||||||||||
10207 | 800 000 | 0 | 800 000 | 0 | 0 | 0 | 0 | 0 | 0 | 800 000 | 0 | 800 000 |
10701 | 40 000 | 0 | 40 000 | 0 | 0 | 0 | 0 | 0 | 0 | 40 000 | 0 | 40 000 |
10801 | 655 512 | 0 | 655 512 | 0 | 0 | 0 | 196 918 | 0 | 196 918 | 852 430 | 0 | 852 430 |
30126 | 226 | 0 | 226 | 0 | 0 | 0 | 0 | 0 | 0 | 226 | 0 | 226 |
30222 | 0 | 0 | 0 | 0 | 3 225 | 3 225 | 0 | 3 225 | 3 225 | 0 | 0 | 0 |
30226 | 1 414 | 0 | 1 414 | 5 | 0 | 5 | 5 | 0 | 5 | 1 414 | 0 | 1 414 |
30232 | 2 924 | 875 | 3 799 | 451 350 | 2 304 | 453 654 | 451 335 | 2 290 | 453 625 | 2 909 | 861 | 3 770 |
406 | 5 844 | 0 | 5 844 | 7 132 | 0 | 7 132 | 10 467 | 0 | 10 467 | 9 179 | 0 | 9 179 |
407 | 577 797 | 384 290 | 962 087 | 11 814 698 | 1 431 621 | 13 246 319 | 11 711 420 | 1 366 163 | 13 077 583 | 474 519 | 318 832 | 793 351 |
408.1 | 116 976 | 11 179 | 128 155 | 331 847 | 12 819 | 344 666 | 330 491 | 13 826 | 344 317 | 115 620 | 12 186 | 127 806 |
408.2 | 349 728 | 9 872 | 359 600 | 532 031 | 46 249 | 578 280 | 525 664 | 55 707 | 581 371 | 343 361 | 19 330 | 362 691 |
40905 | 37 | 0 | 37 | 2 094 | 0 | 2 094 | 2 096 | 0 | 2 096 | 39 | 0 | 39 |
40909 | 0 | 0 | 0 | 1 023 | 1 394 | 2 417 | 1 023 | 1 394 | 2 417 | 0 | 0 | 0 |
40910 | 0 | 0 | 0 | 163 | 0 | 163 | 163 | 0 | 163 | 0 | 0 | 0 |
40911 | 911 | 0 | 911 | 29 287 | 0 | 29 287 | 29 367 | 0 | 29 367 | 991 | 0 | 991 |
40912 | 0 | 0 | 0 | 6 906 | 1 796 | 8 702 | 6 906 | 1 796 | 8 702 | 0 | 0 | 0 |
40913 | 0 | 0 | 0 | 1 452 | 37 | 1 489 | 1 452 | 37 | 1 489 | 0 | 0 | 0 |
41803 | 3 053 | 0 | 3 053 | 3 057 | 0 | 3 057 | 4 | 0 | 4 | 0 | 0 | 0 |
41804 | 2 500 | 0 | 2 500 | 0 | 0 | 0 | 0 | 0 | 0 | 2 500 | 0 | 2 500 |
42102 | 14 500 | 0 | 14 500 | 5 080 876 | 0 | 5 080 876 | 5 111 376 | 0 | 5 111 376 | 45 000 | 0 | 45 000 |
42103 | 134 825 | 0 | 134 825 | 73 129 | 0 | 73 129 | 392 168 | 0 | 392 168 | 453 864 | 0 | 453 864 |
42104 | 23 537 | 0 | 23 537 | 500 | 668 | 1 168 | 721 | 37 890 | 38 611 | 23 758 | 37 222 | 60 980 |
42105 | 66 922 | 1 468 | 68 390 | 1 596 | 58 | 1 654 | 22 895 | 127 | 23 022 | 88 221 | 1 537 | 89 758 |
42106 | 28 622 | 21 427 | 50 049 | 0 | 813 | 813 | 0 | 1 798 | 1 798 | 28 622 | 22 412 | 51 034 |
42110 | 6 561 | 0 | 6 561 | 2 264 | 0 | 2 264 | 2 191 | 0 | 2 191 | 6 488 | 0 | 6 488 |
42112 | 503 | 0 | 503 | 0 | 0 | 0 | 3 | 0 | 3 | 506 | 0 | 506 |
42203 | 0 | 0 | 0 | 0 | 0 | 0 | 4 433 | 0 | 4 433 | 4 433 | 0 | 4 433 |
42205 | 7 118 | 0 | 7 118 | 0 | 0 | 0 | 5 893 | 0 | 5 893 | 13 011 | 0 | 13 011 |
42206 | 3 651 | 0 | 3 651 | 0 | 0 | 0 | 31 | 0 | 31 | 3 682 | 0 | 3 682 |
42301 | 58 420 | 54 535 | 112 955 | 47 211 | 19 723 | 66 934 | 38 587 | 38 807 | 77 394 | 49 796 | 73 619 | 123 415 |
42303 | 13 277 | 6 147 | 19 424 | 10 957 | 2 907 | 13 864 | 33 | 329 | 362 | 2 353 | 3 569 | 5 922 |
42304 | 421 742 | 36 565 | 458 307 | 69 395 | 8 096 | 77 491 | 90 281 | 9 249 | 99 530 | 442 628 | 37 718 | 480 346 |
42305 | 2 439 520 | 289 833 | 2 729 353 | 142 703 | 32 906 | 175 609 | 114 359 | 37 731 | 152 090 | 2 411 176 | 294 658 | 2 705 834 |
42306 | 373 391 | 133 557 | 506 948 | 13 770 | 8 558 | 22 328 | 142 232 | 32 244 | 174 476 | 501 853 | 157 243 | 659 096 |
42307 | 972 | 0 | 972 | 0 | 0 | 0 | 41 | 0 | 41 | 1 013 | 0 | 1 013 |
42601 | 71 | 225 | 296 | 0 | 465 | 465 | 0 | 473 | 473 | 71 | 233 | 304 |
42604 | 57 174 | 0 | 57 174 | 0 | 0 | 0 | 240 | 0 | 240 | 57 414 | 0 | 57 414 |
42605 | 1 232 | 0 | 1 232 | 490 | 0 | 490 | 0 | 0 | 0 | 742 | 0 | 742 |
42606 | 855 | 0 | 855 | 0 | 0 | 0 | 27 | 0 | 27 | 882 | 0 | 882 |
45215 | 194 350 | 0 | 194 350 | 1 827 | 0 | 1 827 | 6 152 | 0 | 6 152 | 198 675 | 0 | 198 675 |
45415 | 634 | 0 | 634 | 167 | 0 | 167 | 1 | 0 | 1 | 468 | 0 | 468 |
45515 | 40 486 | 0 | 40 486 | 5 748 | 0 | 5 748 | 3 907 | 0 | 3 907 | 38 645 | 0 | 38 645 |
45818 | 190 317 | 0 | 190 317 | 2 429 | 0 | 2 429 | 2 150 | 0 | 2 150 | 190 038 | 0 | 190 038 |
45918 | 3 579 | 0 | 3 579 | 37 | 0 | 37 | 125 | 0 | 125 | 3 667 | 0 | 3 667 |
47405 | 0 | 0 | 0 | 0 | 7 638 | 7 638 | 0 | 7 638 | 7 638 | 0 | 0 | 0 |
47407 | 0 | 0 | 0 | 892 304 | 141 688 | 1 033 992 | 892 304 | 141 688 | 1 033 992 | 0 | 0 | 0 |
47411 | 66 560 | 3 161 | 69 721 | 13 862 | 531 | 14 393 | 30 370 | 1 192 | 31 562 | 83 068 | 3 822 | 86 890 |
47416 | 1 300 | 0 | 1 300 | 14 784 | 1 285 | 16 069 | 15 231 | 1 285 | 16 516 | 1 747 | 0 | 1 747 |
47422 | 192 | 0 | 192 | 13 536 | 726 | 14 262 | 13 555 | 726 | 14 281 | 211 | 0 | 211 |
47425 | 7 025 | 0 | 7 025 | 609 | 0 | 609 | 597 | 0 | 597 | 7 013 | 0 | 7 013 |
47426 | 4 887 | 68 | 4 955 | 11 884 | 85 | 11 969 | 12 249 | 122 | 12 371 | 5 252 | 105 | 5 357 |
47804 | 257 | 0 | 257 | 10 | 0 | 10 | 0 | 0 | 0 | 247 | 0 | 247 |
52307 | 3 097 | 0 | 3 097 | 0 | 0 | 0 | 0 | 0 | 0 | 3 097 | 0 | 3 097 |
60206 | 109 935 | 0 | 109 935 | 0 | 0 | 0 | 0 | 0 | 0 | 109 935 | 0 | 109 935 |
60301 | 1 182 | 0 | 1 182 | 17 869 | 0 | 17 869 | 18 125 | 0 | 18 125 | 1 438 | 0 | 1 438 |
60305 | 9 277 | 0 | 9 277 | 7 077 | 0 | 7 077 | 6 934 | 0 | 6 934 | 9 134 | 0 | 9 134 |
60307 | 34 | 0 | 34 | 84 | 0 | 84 | 210 | 0 | 210 | 160 | 0 | 160 |
60309 | 1 220 | 0 | 1 220 | 1 222 | 0 | 1 222 | 547 | 0 | 547 | 545 | 0 | 545 |
60311 | 222 | 0 | 222 | 222 | 0 | 222 | 195 | 0 | 195 | 195 | 0 | 195 |
60322 | 11 | 0 | 11 | 466 | 0 | 466 | 461 | 0 | 461 | 6 | 0 | 6 |
60324 | 5 953 | 0 | 5 953 | 55 | 0 | 55 | 22 | 0 | 22 | 5 920 | 0 | 5 920 |
60335 | 3 857 | 0 | 3 857 | 2 182 | 0 | 2 182 | 1 784 | 0 | 1 784 | 3 459 | 0 | 3 459 |
60414 | 68 149 | 0 | 68 149 | 1 454 | 0 | 1 454 | 882 | 0 | 882 | 67 577 | 0 | 67 577 |
60903 | 1 040 | 0 | 1 040 | 2 | 0 | 2 | 173 | 0 | 173 | 1 211 | 0 | 1 211 |
61501 | 2 745 | 0 | 2 745 | 0 | 0 | 0 | 0 | 0 | 0 | 2 745 | 0 | 2 745 |
70601 | 953 476 | 0 | 953 476 | 1 424 | 0 | 1 424 | 140 017 | 0 | 140 017 | 1 092 069 | 0 | 1 092 069 |
70603 | 1 525 633 | 0 | 1 525 633 | 0 | 0 | 0 | 111 866 | 0 | 111 866 | 1 637 499 | 0 | 1 637 499 |
70801 | 196 918 | 0 | 196 918 | 196 918 | 0 | 196 918 | 0 | 0 | 0 | 0 | 0 | 0 |
Итого по пассиву (баланс) | 9 602 151 | 953 202 | 10 555 353 | 19 810 108 | 1 725 592 | 21 535 700 | 20 450 679 | 1 755 737 | 22 206 416 | 10 242 722 | 983 347 | 11 226 069 |
В. Внебалансовые счета | ||||||||||||
Актив | ||||||||||||
90901 | 1 551 255 | 0 | 1 551 255 | 4 529 | 0 | 4 529 | 11 444 | 0 | 11 444 | 1 544 340 | 0 | 1 544 340 |
90902 | 836 013 | 0 | 836 013 | 320 467 | 0 | 320 467 | 24 559 | 0 | 24 559 | 1 131 921 | 0 | 1 131 921 |
90909 | 74 | 0 | 74 | 0 | 0 | 0 | 0 | 0 | 0 | 74 | 0 | 74 |
91202 | 8 | 0 | 8 | 9 | 0 | 9 | 10 | 0 | 10 | 7 | 0 | 7 |
91203 | 0 | 0 | 0 | 8 | 0 | 8 | 8 | 0 | 8 | 0 | 0 | 0 |
91207 | 1 | 0 | 1 | 0 | 0 | 0 | 0 | 0 | 0 | 1 | 0 | 1 |
91414 | 2 577 005 | 0 | 2 577 005 | 7 303 | 0 | 7 303 | 30 820 | 0 | 30 820 | 2 553 488 | 0 | 2 553 488 |
91418 | 5 360 | 0 | 5 360 | 0 | 0 | 0 | 300 | 0 | 300 | 5 060 | 0 | 5 060 |
91501 | 7 205 | 0 | 7 205 | 0 | 0 | 0 | 13 | 0 | 13 | 7 192 | 0 | 7 192 |
91604 | 50 476 | 22 903 | 73 379 | 3 198 | 2 443 | 5 641 | 1 816 | 1 428 | 3 244 | 51 858 | 23 918 | 75 776 |
91704 | 5 295 | 2 | 5 297 | 0 | 0 | 0 | 0 | 0 | 0 | 5 295 | 2 | 5 297 |
91802 | 72 716 | 1 | 72 717 | 0 | 0 | 0 | 0 | 0 | 0 | 72 716 | 1 | 72 717 |
91803 | 1 957 | 978 | 2 935 | 0 | 82 | 82 | 0 | 39 | 39 | 1 957 | 1 021 | 2 978 |
99998 | 2 809 072 | 0 | 2 809 072 | 20 460 | 0 | 20 460 | 55 968 | 0 | 55 968 | 2 773 564 | 0 | 2 773 564 |
Итого по активу (баланс) | 7 916 437 | 23 884 | 7 940 321 | 355 974 | 2 525 | 358 499 | 124 938 | 1 467 | 126 405 | 8 147 473 | 24 942 | 8 172 415 |
Пассив | ||||||||||||
91003 | 0 | 0 | 0 | 1 823 | 0 | 1 823 | 1 823 | 0 | 1 823 | 0 | 0 | 0 |
91004 | 0 | 0 | 0 | 453 | 0 | 453 | 453 | 0 | 453 | 0 | 0 | 0 |
91311 | 1 527 886 | 0 | 1 527 886 | 17 616 | 0 | 17 616 | 0 | 0 | 0 | 1 510 270 | 0 | 1 510 270 |
91312 | 1 208 832 | 0 | 1 208 832 | 4 177 | 0 | 4 177 | 0 | 0 | 0 | 1 204 655 | 0 | 1 204 655 |
91315 | 13 164 | 1 424 | 14 588 | 1 350 | 56 | 1 406 | 0 | 120 | 120 | 11 814 | 1 488 | 13 302 |
91316 | 0 | 0 | 0 | 0 | 0 | 0 | 10 000 | 0 | 10 000 | 10 000 | 0 | 10 000 |
91317 | 50 169 | 0 | 50 169 | 30 462 | 0 | 30 462 | 8 064 | 0 | 8 064 | 27 771 | 0 | 27 771 |
91319 | 4 961 | 0 | 4 961 | 0 | 0 | 0 | 0 | 0 | 0 | 4 961 | 0 | 4 961 |
91507 | 2 561 | 0 | 2 561 | 31 | 0 | 31 | 0 | 0 | 0 | 2 530 | 0 | 2 530 |
91508 | 75 | 0 | 75 | 0 | 0 | 0 | 0 | 0 | 0 | 75 | 0 | 75 |
99999 | 5 131 249 | 0 | 5 131 249 | 57 199 | 0 | 57 199 | 324 801 | 0 | 324 801 | 5 398 851 | 0 | 5 398 851 |
Итого по пассиву (баланс) | 7 938 897 | 1 424 | 7 940 321 | 113 111 | 56 | 113 167 | 345 141 | 120 | 345 261 | 8 170 927 | 1 488 | 8 172 415 |
Г. Счета по учету требований и обязательств по производным финансовым инструментам и прочим договорам (сделкам), по которым расчеты и поставка осуществляются не ранее следующего дня после дня заключения договора (сделки) | ||||||||||||
Актив | ||||||||||||
93901 | 0 | 49 049 | 49 049 | 66 195 | 696 487 | 762 682 | 66 195 | 745 536 | 811 731 | 0 | 0 | 0 |
99996 | 49 711 | 0 | 49 711 | 763 355 | 0 | 763 355 | 813 066 | 0 | 813 066 | 0 | 0 | 0 |
Итого по активу (баланс) | 49 711 | 49 049 | 98 760 | 829 550 | 696 487 | 1 526 037 | 879 261 | 745 536 | 1 624 797 | 0 | 0 | 0 |
Пассив | ||||||||||||
96901 | 49 711 | 0 | 49 711 | 740 861 | 72 205 | 813 066 | 691 150 | 72 205 | 763 355 | 0 | 0 | 0 |
99997 | 49 049 | 0 | 49 049 | 811 731 | 0 | 811 731 | 762 682 | 0 | 762 682 | 0 | 0 | 0 |
Итого по пассиву (баланс) | 98 760 | 0 | 98 760 | 1 552 592 | 72 205 | 1 624 797 | 1 453 832 | 72 205 | 1 526 037 | 0 | 0 | 0 |
Д. Счета депо | ||||||||||||
Актив | ||||||||||||
98000 | 0 | 0 | 989,0000 | 0 | 0 | 0,0000 | 0 | 0 | 14,0000 | 0 | 0 | 975,0000 |
Итого по активу (баланс) | 0 | 0 | 989,0000 | 0 | 0 | 0,0000 | 0 | 0 | 14,0000 | 0 | 0 | 975,0000 |
Пассив | ||||||||||||
98050 | 0 | 0 | 989,0000 | 0 | 0 | 14,0000 | 0 | 0 | 0,0000 | 0 | 0 | 975,0000 |
Итого по пассиву (баланс) | 0 | 0 | 989,0000 | 0 | 0 | 14,0000 | 0 | 0 | 0,0000 | 0 | 0 | 975,0000 |
Страница была полезной?