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PERUSAHAAN DAERAH AIR MINUM KOTA SURABAYA |
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LAPORAN KEUANGAN TAHUN 2008 |
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NERACA KOMPARATIF PER 31 DESEMBER 2008 DAN PER 31
DESEMBER 2007 (AUDITED) |
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PERHITUNGAN LABA-RUGI KOMPARATIF TAHUN 2008 DAN
2007 (AUDITED) |
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AKTIVA |
31 DESEMBER
2008 (Rp) |
31 DESEMBER
2007 (Rp) |
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KEWAJIBAN DAN EKUITAS |
31 DESEMBER
2008 (Rp) |
31 DESEMBER
2007 (Rp) |
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U R A I A N |
TAHUN
2008
(Rp) |
TAHUN 2007 (Rp) |
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| I. |
AKTIVA LANCAR |
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V. |
KEWAJIBAN JANGKA
PENDEK |
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| 1. |
Kas dan Bank |
24,109,804,930.00 |
40,723,269,755.00 |
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1. |
Hutang Usaha |
4,615,298,655.00 |
4,488,604,366.00 |
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I. |
PENDAPATAN USAHA |
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| 2. |
Investasi Jangka Pendek |
560,362,600,000.00 |
436,306,800,000.00 |
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2. |
Hutang Non Usaha |
60,943,523.00 |
25,425,109.00 |
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1. |
Penjualan Air |
417,666,301,235.00 |
393,370,466,641.00 |
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| 3. |
Piutang Usaha |
11,463,095,810.00 |
17,270,249,639.00 |
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3. |
Biaya Yang Masih Harus Dibayar |
8,838,656,706.00 |
15,816,109,626.00 |
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2. |
Pendapatan Non Air |
25,134,389,920.00 |
31,755,226,809.00 |
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| 4. |
Penyisihan Piutang Usaha |
(3,588,823,200.00) |
(3,062,826,942.00) |
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4. |
Pendapatan Diterima Dimuka |
1,055,604,543.00 |
955,797,488.00 |
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| 5. |
Piutang Usaha Bersih |
7,874,272,610.00 |
14,207,422,697.00 |
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5. |
Hutang Pajak |
19,413,912,435.00 |
16,740,325,875.00 |
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Jumlah Pendapatan Usaha |
442,800,691,155.00 |
425,125,693,450.00 |
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| 6. |
Piutang Lain-lain |
3,839,587,684.00 |
1,770,369,427.00 |
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6. |
Hutang Jangka
Panjang Jatuh Tempo |
36,788,908,943.00 |
1,382,784,752.00 |
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| 7. |
Persediaan |
13,856,844,456.00 |
9,900,017,032.00 |
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7. |
Hutang Jasa Bank Jatuh Tempo |
212,516,160.00 |
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| 8. |
Pembayaran Dimuka |
55,525,000.00 |
120,287,250.00 |
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8. |
Hutang Bunga |
698,194,917.00 |
123,515,767.00 |
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II. |
BIAYA LANGSUNG USAHA |
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9. |
Hutang Jangka Pendek Lainnya |
2,395,650,300.00 |
1,691,889,300.00 |
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1. |
Biaya Pompa dan Sumber Air |
4,560,663,443.00 |
4,488,501,727.00 |
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Jumlah Aktiva Lancar |
610,098,634,680.00 |
503,028,166,161.00 |
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Jumlah Kewajiban Jangka Pendek |
74,079,686,182.00 |
41,224,452,283.00 |
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2. |
Biaya Penjernihan/Pengolahan Air |
108,932,616,038.00 |
94,655,682,200.00 |
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3. |
Biaya Transmisi dan Distribusi |
62,485,246,025.00 |
59,892,331,343.00 |
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| II. |
Aktiva Pajak Tangguhan |
1,477,938,917.00 |
923,824,233.00 |
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VI. |
Kewajiban Pajak
Tangguhan |
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Jumlah Biaya Langsung Usaha |
175,978,525,506.00 |
159,036,515,270.00 |
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| III. |
AKTIVA TETAP |
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VII. |
KEWAJIBAN JANGKA PANJANG |
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| 1. |
Tanah dan Penyempurnaan Tanah |
8,349,915,056.00 |
8,349,915,056.00 |
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1. |
Pinjaman Luar Negeri |
273,098,809,852.00 |
304,472,063,995.00 |
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| 2. |
Instalasi Pompa |
1,211,549,172.00 |
1,200,054,172.00 |
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2. |
Hutang Jasa Bank |
1,632,625,287.00 |
1,390,133,027.00 |
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LABA RUGI KOTOR USAHA |
266,822,165,649.00 |
266,089,178,180.00 |
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| 3. |
Instalasi Penjernihan |
213,869,705,077.00 |
210,618,487,158.00 |
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274,731,435,139.00 |
305,862,197,022.00 |
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| 4. |
Instalasi Transmisi dan Distribusi |
603,524,795,127.00 |
563,430,890,477.00 |
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VIII. |
KEWAJIBAN LAIN-LAIN |
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| 5. |
Bangunan/Gedung |
33,571,405,806.00 |
33,430,413,691.00 |
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1. |
Tabungan Wajib Pegawai |
15,849,205.00 |
74,574,411.00 |
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III. |
BIAYA TIDAK LANGSUNG USAHA |
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| 6. |
Peralatan dan Perlengkapan Teknik |
5,021,981,622.00 |
4,826,885,712.00 |
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2. |
Dana Bantuan Sumbangan dan Pensiun |
14,916,540,199.00 |
10,750,131,158.00 |
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Biaya Umum dan Administrasi |
120,641,261,406.00 |
110,926,592,392.00 |
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| 7. |
Kendaraan |
3,490,163,946.00 |
3,490,163,946.00 |
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3. |
Dana Sosial dan Pendidikan |
18,139,199,650.00 |
13,485,897,148.00 |
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| 8. |
Inventaris/Peralatan Kantor |
24,206,377,084.00 |
22,708,844,307.00 |
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4. |
Cadangan Dana Meter |
50,409,184,411.00 |
45,016,636,496.00 |
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LABA RUGI USAHA |
146,180,904,243.00 |
155,162,585,788.00 |
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Jumlah Harga Perolehan |
893,245,892,890.00 |
848,055,654,519.00 |
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Jumlah Kewajiban Lain-Lain |
83,480,773,465.00 |
69,327,239,213.00 |
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| 9. |
Akumulasi Penyusutan Aktiva Tetap |
(595,706,804,360.00) |
(541,145,430,236.00) |
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Jumlah Kewajiban |
432,291,894,786.00 |
416,413,888,518.00 |
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Nilai Buku Aktiva Tetap |
297,539,088,530.00 |
306,910,224,283.00 |
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IV. |
PENDAPATAN DAN BIAYA LAIN-LAIN |
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IX. |
EKUITAS |
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1. |
Pendapatan Lain-Lain |
40,767,432,982.00 |
28,612,876,536.00 |
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| IV. |
AKTIVA LAIN-LAIN |
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1. |
Modal |
17,000,000,000.00 |
17,000,000,000.00 |
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2. |
Biaya Lain-lain |
(3,157,287,171.00) |
(1,815,546,385.00) |
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| 1. |
Aktiva Lain-lain Berwujud |
51,348,399,345.00 |
30,378,887,923.00 |
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2. |
Kekayaan Pemda Yang Dipisahkan |
64,403,538,341.00 |
64,403,538,341.00 |
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| 2. |
Penyisihan Aktiva Lain-lain Berwujud |
(3,273,461,028.00) |
(297,092,232.00) |
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3. |
Penyertaan Modal Yang Blm Ditetapkan Statusnya |
23,821,323,339.00 |
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Jumlah Pendapatan dan Biaya Lain-lain |
37,610,145,811.00 |
26,797,330,151.00 |
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Nilai Buku |
48,074,938,317.00 |
30,081,795,691.00 |
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4. |
Modal Hibah |
3,985,899,124.00 |
3,985,899,124.00 |
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| 3. |
Aktiva Lain-lain Tak Berwujud |
5,487,743,202.00 |
5,289,785,689.00 |
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5. |
Selisih Penilaian Kembali Aktiva Tetap |
15,971,025,090.00 |
15,971,025,090.00 |
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| 4. |
Penyisihan Aktiva Lain-lain Tak Berwujud |
(2,465,097,638.00) |
(2,186,004,404.00) |
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6. |
Cadangan Tujuan |
241,344,126,738.00 |
161,844,586,315.00 |
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LABA SEBELUM PAJAK PENGHASILAN |
183,791,050,054.00 |
181,959,915,939.00 |
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Nilai Buku |
3,022,645,564.00 |
3,103,781,285.00 |
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7. |
Cadangan Umum |
22,961,963,252.00 |
31,667,441,171.00 |
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8. |
Laba rugi tahun berjalan |
138,433,475,338.00 |
132,761,413,094.00 |
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Pajak Kini |
(45,911,689,400.00) |
(49,460,681,900.00) |
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Aktiva Lain-lain |
51,097,583,881.00 |
33,185,576,976.00 |
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Jumlah Ekuitas Bersih |
527,921,351,222.00 |
427,633,903,135.00 |
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Pajak Tangguhan |
554,114,684.00 |
262,179,055.00 |
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JUMLAH AKTIVA |
960,213,246,008.00 |
844,047,791,653.00 |
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JUMLAH KEWAJIBAN DAN EKUITAS |
960,213,246,008.00 |
844,047,791,653.00 |
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LABA RUGI SETELAH PAJAK |
138,433,475,338.00 |
132,761,413,094.00 |
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Ketua Badan Pengawas |
Direktur Utama |
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ttd |
ttd |
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dr. H. MUHLAS UDIN, M.Kes |
Ir. MOHAMAD SELIM |
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