國立臺東大學附屬體育高級中學校務基金
收支餘絀表
中華民國114 年 07 月份          單位:新臺幣元
科 目 名 稱 本 年 度
法定預算數
本  月  份 本年度截止本月份累計數
實際數 預算數 比較增減(-) 實際數 預算數 比較增減(-)
金額 金額
業務收入 180,980,000.00 18,399,122.00 14,226,000.00 4,173,122.00 29.33 108,049,262.00 108,498,000.00 -448,738.00 -0.41
 教學收入 935,000.00 1,562.00 22,000.00 -20,438.00 -92.90 533,437.00 490,000.00 43,437.00 8.86
  學雜費收入 707,000.00 0.00 0.00 0.00 332,920.00 354,000.00 -21,080.00 -5.95
  學雜費減免 -27,000.00 0.00 0.00 0.00 -5,916.00 -14,000.00 8,084.00 -57.74
  建教合作收入 255,000.00 1,562.00 22,000.00 -20,438.00 -92.90 206,433.00 150,000.00 56,433.00 37.62
 其他業務收入 180,045,000.00 18,397,560.00 14,204,000.00 4,193,560.00 29.52 107,515,825.00 108,008,000.00 -492,175.00 -0.46
  學校教學研究補助收入 142,588,000.00 14,152,000.00 10,560,000.00 3,592,000.00 34.02 89,375,000.00 85,783,000.00 3,592,000.00 4.19
  其他補助收入 37,197,000.00 4,232,480.00 3,624,000.00 608,480.00 16.79 18,021,570.00 22,075,000.00 -4,053,430.00 -18.36
  雜項業務收入 260,000.00 13,080.00 20,000.00 -6,920.00 -34.60 119,255.00 150,000.00 -30,745.00 -20.50
業務成本與費用 246,386,000.00 18,373,896.00 18,288,000.00 85,896.00 0.47 140,594,926.00 142,665,000.00 -2,070,074.00 -1.45
 教學成本 158,158,000.00 10,552,156.00 11,894,000.00 -1,341,844.00 -11.28 78,640,527.00 90,344,000.00 -11,703,473.00 -12.95
  教學研究及訓輔成本 157,908,000.00 10,550,594.00 11,874,000.00 -1,323,406.00 -11.15 78,434,094.00 90,199,000.00 -11,764,906.00 -13.04
  建教合作成本 250,000.00 1,562.00 20,000.00 -18,438.00 -92.19 206,433.00 145,000.00 61,433.00 42.37
 其他業務成本 6,051,000.00 0.00 4,000.00 -4,000.00 -100.00 4,318,646.00 3,029,000.00 1,289,646.00 42.58
  學生公費及獎勵金 6,051,000.00 0.00 4,000.00 -4,000.00 -100.00 4,318,646.00 3,029,000.00 1,289,646.00 42.58
 管理及總務費用 82,177,000.00 7,821,740.00 6,390,000.00 1,431,740.00 22.41 57,635,753.00 49,292,000.00 8,343,753.00 16.93
  管理費用及總務費用 82,177,000.00 7,821,740.00 6,390,000.00 1,431,740.00 22.41 57,635,753.00 49,292,000.00 8,343,753.00 16.93
業務賸餘(短絀) -65,406,000.00 25,226.00 -4,062,000.00 4,087,226.00 -100.62 -32,545,664.00 -34,167,000.00 1,621,336.00 -4.75
業務外收入 15,161,000.00 887,530.00 1,218,000.00 -330,470.00 -27.13 7,821,780.00 8,796,000.00 -974,220.00 -11.08
 財務收入 1,281,000.00 312,861.00 90,000.00 222,861.00 247.62 875,348.00 730,000.00 145,348.00 19.91
  利息收入 1,281,000.00 312,861.00 90,000.00 222,861.00 247.62 875,348.00 730,000.00 145,348.00 19.91
 其他業務外收入 13,880,000.00 574,669.00 1,128,000.00 -553,331.00 -49.05 6,946,432.00 8,066,000.00 -1,119,568.00 -13.88
  資產使用及權利金收入 10,800,000.00 467,511.00 900,000.00 -432,489.00 -48.05 5,156,772.00 6,300,000.00 -1,143,228.00 -18.15
  受贈收入 2,800,000.00 47,680.00 208,000.00 -160,320.00 -77.08 1,628,797.00 1,606,000.00 22,797.00 1.42
  雜項收入 280,000.00 59,478.00 20,000.00 39,478.00 197.39 160,863.00 160,000.00 863.00 0.54
業務外費用 1,679,000.00 144,300.00 141,000.00 3,300.00 2.34 1,210,095.00 981,000.00 229,095.00 23.35
 其他業務外費用 1,679,000.00 144,300.00 141,000.00 3,300.00 2.34 1,210,095.00 981,000.00 229,095.00 23.35
  雜項費用 1,679,000.00 144,300.00 141,000.00 3,300.00 2.34 1,210,095.00 981,000.00 229,095.00 23.35
業務外賸餘(短絀) 13,482,000.00 743,230.00 1,077,000.00 -333,770.00 -30.99 6,611,685.00 7,815,000.00 -1,203,315.00 -15.40
本期賸餘(短絀) -51,924,000.00 768,456.00 -2,985,000.00 3,753,456.00 -125.74 -25,933,979.00 -26,352,000.00 418,021.00 -1.59