PERSEDIAAN Annual Report CAP 2013
8. PAJAK DIBAYAR DIMUKA
8. PREPAID TAXES
2013 2012 US 000 US 000 Pajak penghasilan - pasal 28A Income tax - article 28A Tahun 2013 Catatan 30 20.725 - Year 2013 Note 30 Tahun 2012 Catatan 30 32.035 37.031 Year 2012 Note 30 Tahun 2011 - 38.500 Year 2011 Tahun 2006-2009 - 10.743 Year 2006-2009 Pajak pertambahan nilai - bersih 26.117 35.554 Value added tax - net Jumlah 78.877 121.828 Total 31 DesemberDecember 31, Pada tahun 2013, Perusahaan dan SMI menerima Surat Ketetapan Pajak Lebih Bayar SKPLB atas pajak penghasilan badan tahun 2011 masing-masing sebesar US 37.288 ribu dan US 2.783 ribu, yang setelah dikompensasikan dengan kurang bayar dan denda pajak penghasilan dan pajak pertambahan nilai masing-masing menjadi sebesar US 37.178 ribu untuk Perusahaan dan US 2.435 ribu untuk SMI. Perusahaan juga telah mencatat sebagai bagian dari beban pajak penghasilan periode berjalan tambahan beban pajak sebesar US 1.532 ribu Catatan 30 dari hasil pemeriksaan pajak tahun 2011. SMI mengajukan keberatan atas kelebihan pajak yang tidak dikembalikan sebesar US 1.683 ribu dicatat sebagai tagihan restitusi pajak Catatan 13. In 2013, the Company and SMI received Overpayment Tax Assessment Letter SKPLB for 2011 corporate income tax amounting to US 37,288 thousand and US 2,783 thousand, respectively. Net tax refund received after compensating with underpayment of income taxes and Value Added Tax amounted to US 37,178 thousand for the Company and US 2,435 thousand for SMI. The Company has also recorded the additional income tax of US 1,532 thousand arising from the tax audit of 2011 corporate income tax as part of current period income tax expense Note 30. SMI submitted an objection for the remaining tax overpayment which was not refunded amounting to US 1,683 thousand and is recorded as claims for tax refund Note 13. Pada tahun 2012, Perusahaan dan SMI menerima SKPLB atas pajak penghasilan badan tahun 2010 masing-masing sebesar Rp 286.329 juta setara US 31.712 ribu dan Rp 30.859 juta setara US 2.726 ribu. Restitusi dari SKPLB ini, setelah dikurangi kurang bayar pajak lainnya sebesar Rp 318.607 juta setara US 35.070 ribu. In 2012, the Company and SMI received SKPLB for 2010 corporate income tax amounting to Rp 286,329 million equivalent to US 31,712 thousand and Rp 30,859 million equivalent to US 2,726 thousand, respectively. Refund from these SKPLB together with the overpayment of value added tax for 2010 fiscal year, after deducting other tax underpayment, amounted to Rp 318,607 million equivalent to US 35,070 thousand.Parts
» Establishment and General Information
» Penggabungan Usaha Merger GENERAL a. Pendirian dan Informasi Umum
» Penawaran Umum Saham Perusahaan The Company’s Public Offering
» Entitas anak Consolidated Subsidiaries
» Standar yang berlaku efektif pada
» Standar dan interpretasi telah
» KEBIJAKAN AKUNTANSI SIGNIFIKAN Annual Report CAP 2013
» Pernyataan Kepatuhan SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES
» Statement of Compliance SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES
» Dasar Penyusunan SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES
» Basis of Preparation SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES
» Dasar Konsolidasian SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES
» Basis of Consolidation SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES
» Kombinasi Bisnis SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES
» Business Combination SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES
» Transaksi dan Penjabaran Laporan
» Transaksi Pihak Berelasi SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES
» Transactions With Related Parties
» Aset Keuangan SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES
» Financial Assets SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES
» Liabilitas Keuangan dan Instrumen
» Saling hapus antar Aset Keuangan dan
» Investasi pada Entitas Asosiasi
» Persediaan SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES
» Inventories SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES
» Biaya Dibayar Dimuka SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES
» Prepaid Expenses SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES
» Aset Tetap SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES
» Property, Plant and Equipment
» Penurunan Nilai Aset Non-keuangan
» Impairment of Non-financial Assets
» Imbalan Pasca Kerja SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES
» Post- SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES
» Provisi SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES
» Provisions SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES
» Biaya pinjaman SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES
» Borrowing Costs SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES
» Pengakuan Pendapatan dan Beban
» Revenue and Expense Recognition
» Pajak Penghasilan SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES
» Income SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES
» Instrumen Keuangan Derivatif SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES
» Derivative Financial Instrument SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES
» Informasi Segmen SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES
» Segment Information SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES
» PERTIMBANGAN KRITIS AKUNTANSI DAN
» PIUTANG USAHA Annual Report CAP 2013
» TRADE ACCOUNTS RECEIVABLE Annual Report CAP 2013
» PERSEDIAAN Annual Report CAP 2013
» INVENTORIES Annual Report CAP 2013
» PAJAK DIBAYAR DIMUKA Annual Report CAP 2013
» PREPAID TAXES Annual Report CAP 2013
» UANG MUKA PEMBELIAN ASET TETAP ADVANCES FOR PURCHASE OF PROPERTY,
» REKENING YANG DIBATASI PENGGUNAANNYA
» TAGIHAN RESTITUSI PAJAK CLAIMS FOR TAX REFUND
» UTANG USAHA TRADE ACCOUNTS PAYABLE
» UTANG BANK JANGKA PANJANG LONG-TERM BANK LOANS
» DERIVATIVE FINANCIAL INSTRUMENTS Annual Report CAP 2013
» Program Pensiun Iuran Pasti Contributory Pension Plan
» Program Pensiun Imbalan Pasti Defined Benefit Pension Plan
» CAPITAL STOCK Annual Report CAP 2013
» TAMBAHAN MODAL DISETOR ADDITIONAL PAID-IN CAPITAL
» NON-CONTROLLING INTERESTS Annual Report CAP 2013
» PENDAPATAN KOMPREHENSIF LAIN OTHER COMPREHENSIVE INCOME
» DIVIDEN TUNAI DAN CADANGAN UMUM CASH DIVIDEND AND GENERAL RESERVE
» NET REVENUES BEBAN POKOK PENDAPATAN COST OF REVENUES
» BEBAN PENJUALAN SELLING EXPENSES BEBAN UMUM DAN ADMINISTRASI GENERAL AND ADMINISTRATIVE EXPENSES
» FINANCE COSTS Annual Report CAP 2013
» MANFAAT BEBAN PAJAK TAX BENEFIT EXPENSE
» BASIC EARNINGS LOSS PER SHARE
» AKUISISI ENTITAS ANAK ACQUISITION OF A SUBSIDIARY
» SUPPLEMENTAL DISCLOSURES ON NONCASH INVESTING AND FINANCING ACTIVITIES
» SIFAT DAN TRANSAKSI PIHAK BERELASI NATURE
» SEGMENT INFORMATION Segmen Usaha
» Fasilitas pinjaman yang belum digunakan
» Unused loan facility IKATAN COMMITMENTS
» Fasilitas letter of credit Letters of credit facilities
» Proyek ekspansi Expansion projects
» Perjanjian operasional Operational agreements
» KATEGORI DAN KELAS INTRUMEN KEUANGAN
» CATEGORIES AND CLASSES OF FINANCIAL INSTRUMENTS
» INSTRUMEN KEUANGAN, MANAJEMEN RISIKO KEUANGAN DAN RISIKO MODAL
» Manajemen risiko modal Capital risk management
» Tujuan dan kebijakan manajemen risiko keuangan
» Financial risk management objectives and policies
» Manajemen risiko likuiditas Liquidity risk management
» Nilai wajar instrumen keuangan Fair value of financial instruments
» KEADAAN INDUSTRI INDUSTRY CONDITION
» EVENTS AFTER THE REPORTING PERIOD
» INFORMASI KEUANGAN TERSENDIRI PERUSAHAAN
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