Оборотная ведомость по счетам бухгалтерского учета кредитной организации по состоянию на 1 мая 2017 г.
Наименование кредитной организации
Акционерное общество "Профессионал Банк"
Регистрационный номер
3296
Код формы по ОКУД 0409101
тыс. рублей
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 | ||||||||||||
10610 | 48 884 | 0 | 48 884 | 0 | 0 | 0 | 0 | 0 | 0 | 48 884 | 0 | 48 884 |
20202 | 44 973 | 47 177 | 92 150 | 259 524 | 192 737 | 452 261 | 279 878 | 173 530 | 453 408 | 24 619 | 66 384 | 91 003 |
20209 | 0 | 0 | 0 | 143 587 | 62 152 | 205 739 | 143 587 | 62 152 | 205 739 | 0 | 0 | 0 |
30102 | 6 438 | 0 | 6 438 | 7 114 057 | 0 | 7 114 057 | 7 082 463 | 0 | 7 082 463 | 38 032 | 0 | 38 032 |
30110 | 5 553 | 2 990 | 8 543 | 3 456 | 67 734 | 71 190 | 5 454 | 57 250 | 62 704 | 3 555 | 13 474 | 17 029 |
30114 | 0 | 113 868 | 113 868 | 0 | 10 346 | 10 346 | 0 | 51 888 | 51 888 | 0 | 72 326 | 72 326 |
30202 | 19 011 | 0 | 19 011 | 0 | 0 | 0 | 14 218 | 0 | 14 218 | 4 793 | 0 | 4 793 |
30204 | 13 082 | 0 | 13 082 | 0 | 0 | 0 | 10 437 | 0 | 10 437 | 2 645 | 0 | 2 645 |
30221 | 0 | 0 | 0 | 1 027 | 0 | 1 027 | 1 027 | 0 | 1 027 | 0 | 0 | 0 |
30233 | 0 | 0 | 0 | 4 340 | 1 283 | 5 623 | 4 340 | 1 283 | 5 623 | 0 | 0 | 0 |
30424 | 0 | 0 | 0 | 123 518 | 0 | 123 518 | 123 510 | 0 | 123 510 | 8 | 0 | 8 |
30602 | 6 | 0 | 6 | 166 975 | 0 | 166 975 | 166 981 | 0 | 166 981 | 0 | 0 | 0 |
31902 | 0 | 0 | 0 | 3 426 000 | 0 | 3 426 000 | 3 426 000 | 0 | 3 426 000 | 0 | 0 | 0 |
31903 | 730 000 | 0 | 730 000 | 3 280 300 | 0 | 3 280 300 | 3 022 000 | 0 | 3 022 000 | 988 300 | 0 | 988 300 |
32201 | 2 791 | 1 765 | 4 556 | 2 607 | 2 245 | 4 852 | 1 792 | 1 523 | 3 315 | 3 606 | 2 487 | 6 093 |
45201 | 25 634 | 0 | 25 634 | 33 121 | 0 | 33 121 | 35 260 | 0 | 35 260 | 23 495 | 0 | 23 495 |
45206 | 54 700 | 0 | 54 700 | 0 | 0 | 0 | 600 | 0 | 600 | 54 100 | 0 | 54 100 |
45207 | 173 848 | 50 459 | 224 307 | 57 300 | 3 281 | 60 581 | 17 760 | 2 738 | 20 498 | 213 388 | 51 002 | 264 390 |
45208 | 56 722 | 0 | 56 722 | 0 | 0 | 0 | 722 | 0 | 722 | 56 000 | 0 | 56 000 |
45407 | 2 930 | 0 | 2 930 | 0 | 0 | 0 | 70 | 0 | 70 | 2 860 | 0 | 2 860 |
45408 | 14 680 | 0 | 14 680 | 5 000 | 0 | 5 000 | 123 | 0 | 123 | 19 557 | 0 | 19 557 |
45506 | 35 335 | 0 | 35 335 | 300 | 0 | 300 | 1 016 | 0 | 1 016 | 34 619 | 0 | 34 619 |
45507 | 18 737 | 21 319 | 40 056 | 0 | 1 550 | 1 550 | 280 | 1 660 | 1 940 | 18 457 | 21 209 | 39 666 |
45812 | 6 275 | 0 | 6 275 | 7 643 | 0 | 7 643 | 1 171 | 0 | 1 171 | 12 747 | 0 | 12 747 |
45815 | 2 714 | 19 062 | 21 776 | 0 | 1 240 | 1 240 | 0 | 1 036 | 1 036 | 2 714 | 19 266 | 21 980 |
45912 | 160 | 0 | 160 | 9 | 0 | 9 | 0 | 0 | 0 | 169 | 0 | 169 |
45915 | 156 | 0 | 156 | 0 | 0 | 0 | 0 | 0 | 0 | 156 | 0 | 156 |
47404 | 0 | 0 | 0 | 0 | 61 456 | 61 456 | 0 | 44 108 | 44 108 | 0 | 17 348 | 17 348 |
47408 | 0 | 0 | 0 | 87 759 | 65 012 | 152 771 | 87 759 | 65 012 | 152 771 | 0 | 0 | 0 |
47423 | 1 125 | 0 | 1 125 | 95 | 2 | 97 | 93 | 2 | 95 | 1 127 | 0 | 1 127 |
47427 | 1 565 | 35 | 1 600 | 6 482 | 473 | 6 955 | 6 186 | 405 | 6 591 | 1 861 | 103 | 1 964 |
50104 | 89 303 | 0 | 89 303 | 389 | 0 | 389 | 89 692 | 0 | 89 692 | 0 | 0 | 0 |
50106 | 76 843 | 0 | 76 843 | 437 | 0 | 437 | 77 280 | 0 | 77 280 | 0 | 0 | 0 |
50121 | 0 | 0 | 0 | 24 | 0 | 24 | 24 | 0 | 24 | 0 | 0 | 0 |
51409 | 4 182 | 0 | 4 182 | 0 | 0 | 0 | 0 | 0 | 0 | 4 182 | 0 | 4 182 |
60302 | 0 | 0 | 0 | 36 | 0 | 36 | 0 | 0 | 0 | 36 | 0 | 36 |
60306 | 0 | 0 | 0 | 3 | 0 | 3 | 0 | 0 | 0 | 3 | 0 | 3 |
60308 | 0 | 0 | 0 | 56 | 0 | 56 | 56 | 0 | 56 | 0 | 0 | 0 |
60312 | 240 | 0 | 240 | 1 273 | 0 | 1 273 | 1 088 | 0 | 1 088 | 425 | 0 | 425 |
60323 | 706 | 0 | 706 | 44 | 0 | 44 | 44 | 0 | 44 | 706 | 0 | 706 |
60336 | 0 | 0 | 0 | 81 | 0 | 81 | 81 | 0 | 81 | 0 | 0 | 0 |
60401 | 225 545 | 0 | 225 545 | 0 | 0 | 0 | 0 | 0 | 0 | 225 545 | 0 | 225 545 |
60901 | 617 | 0 | 617 | 0 | 0 | 0 | 0 | 0 | 0 | 617 | 0 | 617 |
60906 | 0 | 0 | 0 | 14 | 0 | 14 | 0 | 0 | 0 | 14 | 0 | 14 |
61002 | 61 | 0 | 61 | 1 | 0 | 1 | 0 | 0 | 0 | 62 | 0 | 62 |
61008 | 128 | 0 | 128 | 102 | 0 | 102 | 113 | 0 | 113 | 117 | 0 | 117 |
61009 | 101 | 0 | 101 | 15 | 0 | 15 | 15 | 0 | 15 | 101 | 0 | 101 |
61210 | 0 | 0 | 0 | 165 133 | 0 | 165 133 | 165 133 | 0 | 165 133 | 0 | 0 | 0 |
61403 | 314 | 0 | 314 | 8 | 0 | 8 | 73 | 0 | 73 | 249 | 0 | 249 |
61703 | 2 894 | 0 | 2 894 | 0 | 0 | 0 | 0 | 0 | 0 | 2 894 | 0 | 2 894 |
70606 | 192 172 | 0 | 192 172 | 34 848 | 0 | 34 848 | 2 | 0 | 2 | 227 018 | 0 | 227 018 |
70607 | 52 | 0 | 52 | 107 | 0 | 107 | 159 | 0 | 159 | 0 | 0 | 0 |
70608 | 77 596 | 0 | 77 596 | 30 328 | 0 | 30 328 | 0 | 0 | 0 | 107 924 | 0 | 107 924 |
70611 | 0 | 0 | 0 | 656 | 0 | 656 | 0 | 0 | 0 | 656 | 0 | 656 |
70802 | 82 648 | 0 | 82 648 | 0 | 0 | 0 | 0 | 0 | 0 | 82 648 | 0 | 82 648 |
Итого по активу (баланс) | 2 018 721 | 256 675 | 2 275 396 | 14 956 655 | 469 511 | 15 426 166 | 14 766 487 | 462 587 | 15 229 074 | 2 208 889 | 263 599 | 2 472 488 |
Пассив | ||||||||||||
10207 | 217 686 | 0 | 217 686 | 0 | 0 | 0 | 0 | 0 | 0 | 217 686 | 0 | 217 686 |
10601 | 81 382 | 0 | 81 382 | 0 | 0 | 0 | 0 | 0 | 0 | 81 382 | 0 | 81 382 |
10701 | 36 344 | 0 | 36 344 | 0 | 0 | 0 | 0 | 0 | 0 | 36 344 | 0 | 36 344 |
10801 | 339 364 | 0 | 339 364 | 0 | 0 | 0 | 0 | 0 | 0 | 339 364 | 0 | 339 364 |
30220 | 0 | 0 | 0 | 0 | 1 652 | 1 652 | 0 | 1 652 | 1 652 | 0 | 0 | 0 |
30223 | 0 | 0 | 0 | 1 108 | 0 | 1 108 | 1 108 | 0 | 1 108 | 0 | 0 | 0 |
30232 | 0 | 0 | 0 | 2 384 | 8 924 | 11 308 | 2 384 | 8 924 | 11 308 | 0 | 0 | 0 |
407 | 51 201 | 1 915 | 53 116 | 299 042 | 1 670 | 300 712 | 315 884 | 2 278 | 318 162 | 68 043 | 2 523 | 70 566 |
408.1 | 3 134 | 11 | 3 145 | 14 426 | 1 | 14 427 | 13 661 | 1 | 13 662 | 2 369 | 11 | 2 380 |
408.2 | 361 082 | 10 611 | 371 693 | 173 286 | 14 551 | 187 837 | 272 070 | 13 416 | 285 486 | 459 866 | 9 476 | 469 342 |
40909 | 0 | 0 | 0 | 1 928 | 861 | 2 789 | 1 928 | 861 | 2 789 | 0 | 0 | 0 |
40910 | 0 | 0 | 0 | 410 | 183 | 593 | 410 | 183 | 593 | 0 | 0 | 0 |
40911 | 0 | 0 | 0 | 817 | 0 | 817 | 817 | 0 | 817 | 0 | 0 | 0 |
40912 | 0 | 0 | 0 | 47 | 1 404 | 1 451 | 47 | 1 404 | 1 451 | 0 | 0 | 0 |
40913 | 0 | 0 | 0 | 559 | 6 159 | 6 718 | 559 | 6 159 | 6 718 | 0 | 0 | 0 |
42107 | 0 | 70 472 | 70 472 | 0 | 3 825 | 3 825 | 0 | 4 583 | 4 583 | 0 | 71 230 | 71 230 |
42301 | 32 | 17 | 49 | 0 | 1 | 1 | 0 | 1 | 1 | 32 | 17 | 49 |
42302 | 0 | 0 | 0 | 0 | 0 | 0 | 250 | 0 | 250 | 250 | 0 | 250 |
42303 | 1 710 | 0 | 1 710 | 377 | 0 | 377 | 1 477 | 0 | 1 477 | 2 810 | 0 | 2 810 |
42304 | 1 675 | 0 | 1 675 | 0 | 0 | 0 | 150 | 65 | 215 | 1 825 | 65 | 1 890 |
42305 | 85 449 | 7 784 | 93 233 | 0 | 421 | 421 | 48 437 | 1 097 | 49 534 | 133 886 | 8 460 | 142 346 |
42306 | 360 688 | 38 801 | 399 489 | 92 172 | 4 592 | 96 764 | 40 262 | 3 548 | 43 810 | 308 778 | 37 757 | 346 535 |
42307 | 12 182 | 118 677 | 130 859 | 0 | 6 202 | 6 202 | 0 | 9 059 | 9 059 | 12 182 | 121 534 | 133 716 |
42309 | 51 | 0 | 51 | 19 | 0 | 19 | 22 | 0 | 22 | 54 | 0 | 54 |
42606 | 2 760 | 0 | 2 760 | 0 | 0 | 0 | 0 | 0 | 0 | 2 760 | 0 | 2 760 |
42609 | 7 | 0 | 7 | 0 | 0 | 0 | 0 | 0 | 0 | 7 | 0 | 7 |
45215 | 16 534 | 0 | 16 534 | 13 782 | 0 | 13 782 | 11 007 | 0 | 11 007 | 13 759 | 0 | 13 759 |
45515 | 11 925 | 0 | 11 925 | 703 | 0 | 703 | 4 890 | 0 | 4 890 | 16 112 | 0 | 16 112 |
45818 | 6 942 | 0 | 6 942 | 1 396 | 0 | 1 396 | 3 291 | 0 | 3 291 | 8 837 | 0 | 8 837 |
45918 | 244 | 0 | 244 | 0 | 0 | 0 | 5 | 0 | 5 | 249 | 0 | 249 |
47407 | 0 | 0 | 0 | 140 240 | 12 319 | 152 559 | 140 240 | 12 319 | 152 559 | 0 | 0 | 0 |
47411 | 7 789 | 845 | 8 634 | 5 258 | 402 | 5 660 | 4 268 | 515 | 4 783 | 6 799 | 958 | 7 757 |
47416 | 10 | 0 | 10 | 697 | 0 | 697 | 687 | 0 | 687 | 0 | 0 | 0 |
47422 | 11 996 | 0 | 11 996 | 28 | 0 | 28 | 14 071 | 0 | 14 071 | 26 039 | 0 | 26 039 |
47425 | 8 877 | 0 | 8 877 | 8 053 | 0 | 8 053 | 947 | 0 | 947 | 1 771 | 0 | 1 771 |
47426 | 0 | 0 | 0 | 0 | 594 | 594 | 0 | 594 | 594 | 0 | 0 | 0 |
50120 | 52 | 0 | 52 | 143 | 0 | 143 | 91 | 0 | 91 | 0 | 0 | 0 |
51410 | 4 182 | 0 | 4 182 | 0 | 0 | 0 | 0 | 0 | 0 | 4 182 | 0 | 4 182 |
60301 | 701 | 0 | 701 | 1 341 | 0 | 1 341 | 1 222 | 0 | 1 222 | 582 | 0 | 582 |
60305 | 3 421 | 0 | 3 421 | 5 042 | 0 | 5 042 | 4 939 | 0 | 4 939 | 3 318 | 0 | 3 318 |
60309 | 0 | 0 | 0 | 2 | 0 | 2 | 14 | 0 | 14 | 12 | 0 | 12 |
60311 | 178 | 8 | 186 | 302 | 9 | 311 | 461 | 9 | 470 | 337 | 8 | 345 |
60313 | 0 | 49 | 49 | 0 | 51 | 51 | 0 | 46 | 46 | 0 | 44 | 44 |
60324 | 714 | 0 | 714 | 0 | 0 | 0 | 6 | 0 | 6 | 720 | 0 | 720 |
60335 | 1 033 | 0 | 1 033 | 204 | 0 | 204 | 1 411 | 0 | 1 411 | 2 240 | 0 | 2 240 |
60414 | 106 475 | 0 | 106 475 | 0 | 0 | 0 | 796 | 0 | 796 | 107 271 | 0 | 107 271 |
60903 | 152 | 0 | 152 | 0 | 0 | 0 | 13 | 0 | 13 | 165 | 0 | 165 |
61501 | 366 | 0 | 366 | 0 | 0 | 0 | 0 | 0 | 0 | 366 | 0 | 366 |
61701 | 16 433 | 0 | 16 433 | 0 | 0 | 0 | 0 | 0 | 0 | 16 433 | 0 | 16 433 |
70601 | 197 811 | 0 | 197 811 | 0 | 0 | 0 | 39 449 | 0 | 39 449 | 237 260 | 0 | 237 260 |
70602 | 0 | 0 | 0 | 82 | 0 | 82 | 82 | 0 | 82 | 0 | 0 | 0 |
70603 | 75 624 | 0 | 75 624 | 0 | 0 | 0 | 30 691 | 0 | 30 691 | 106 315 | 0 | 106 315 |
Итого по пассиву (баланс) | 2 026 206 | 249 190 | 2 275 396 | 763 848 | 63 821 | 827 669 | 958 047 | 66 714 | 1 024 761 | 2 220 405 | 252 083 | 2 472 488 |
В. Внебалансовые счета | ||||||||||||
Актив | ||||||||||||
90901 | 33 340 | 0 | 33 340 | 27 662 | 0 | 27 662 | 1 893 | 0 | 1 893 | 59 109 | 0 | 59 109 |
90902 | 811 214 | 0 | 811 214 | 2 261 | 0 | 2 261 | 28 332 | 0 | 28 332 | 785 143 | 0 | 785 143 |
91202 | 1 | 0 | 1 | 0 | 0 | 0 | 0 | 0 | 0 | 1 | 0 | 1 |
91414 | 1 014 117 | 67 576 | 1 081 693 | 83 850 | 4 393 | 88 243 | 18 436 | 3 666 | 22 102 | 1 079 531 | 68 303 | 1 147 834 |
91502 | 88 | 0 | 88 | 0 | 0 | 0 | 0 | 0 | 0 | 88 | 0 | 88 |
91604 | 377 | 1 578 | 1 955 | 224 | 989 | 1 213 | 117 | 555 | 672 | 484 | 2 012 | 2 496 |
91606 | 6 | 0 | 6 | 0 | 0 | 0 | 0 | 0 | 0 | 6 | 0 | 6 |
91704 | 5 870 | 0 | 5 870 | 0 | 0 | 0 | 0 | 0 | 0 | 5 870 | 0 | 5 870 |
91802 | 104 804 | 0 | 104 804 | 0 | 0 | 0 | 45 | 0 | 45 | 104 759 | 0 | 104 759 |
91803 | 1 019 | 0 | 1 019 | 0 | 1 | 1 | 0 | 0 | 0 | 1 019 | 1 | 1 020 |
99998 | 708 720 | 0 | 708 720 | 441 628 | 0 | 441 628 | 108 701 | 0 | 108 701 | 1 041 647 | 0 | 1 041 647 |
Итого по активу (баланс) | 2 679 556 | 69 154 | 2 748 710 | 555 625 | 5 383 | 561 008 | 157 524 | 4 221 | 161 745 | 3 077 657 | 70 316 | 3 147 973 |
Пассив | ||||||||||||
91312 | 562 259 | 0 | 562 259 | 32 557 | 0 | 32 557 | 394 923 | 0 | 394 923 | 924 625 | 0 | 924 625 |
91317 | 67 136 | 0 | 67 136 | 76 143 | 0 | 76 143 | 46 704 | 0 | 46 704 | 37 697 | 0 | 37 697 |
91507 | 79 291 | 0 | 79 291 | 0 | 0 | 0 | 0 | 0 | 0 | 79 291 | 0 | 79 291 |
91508 | 34 | 0 | 34 | 0 | 0 | 0 | 0 | 0 | 0 | 34 | 0 | 34 |
99999 | 2 039 990 | 0 | 2 039 990 | 26 781 | 0 | 26 781 | 93 117 | 0 | 93 117 | 2 106 326 | 0 | 2 106 326 |
Итого по пассиву (баланс) | 2 748 710 | 0 | 2 748 710 | 135 481 | 0 | 135 481 | 534 744 | 0 | 534 744 | 3 147 973 | 0 | 3 147 973 |
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 | 0 | 0 | 12 318 | 3 031 | 15 349 | 12 318 | 3 031 | 15 349 | 0 | 0 | 0 |
99996 | 0 | 0 | 0 | 15 274 | 0 | 15 274 | 15 274 | 0 | 15 274 | 0 | 0 | 0 |
Итого по активу (баланс) | 0 | 0 | 0 | 27 592 | 3 031 | 30 623 | 27 592 | 3 031 | 30 623 | 0 | 0 | 0 |
Пассив | ||||||||||||
96901 | 0 | 0 | 0 | 3 018 | 12 256 | 15 274 | 3 018 | 12 256 | 15 274 | 0 | 0 | 0 |
99997 | 0 | 0 | 0 | 15 349 | 0 | 15 349 | 15 349 | 0 | 15 349 | 0 | 0 | 0 |
Итого по пассиву (баланс) | 0 | 0 | 0 | 18 367 | 12 256 | 30 623 | 18 367 | 12 256 | 30 623 | 0 | 0 | 0 |
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