3.財務諸表及び主な注記
(1)貸借対照表
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(単位:千円)
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前事業年度
(2024年8月31日)
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当事業年度
(2025年8月31日)
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資産の部
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流動資産
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現金及び預金
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3,041,922
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3,415,606
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売掛金
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99,239
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131,028
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商品
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18,127
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16,358
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貯蔵品
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2,597
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3,259
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前払費用
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66,765
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86,693
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その他
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64,724
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47,312
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流動資産合計
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3,293,377
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3,700,259
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固定資産
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有形固定資産
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建物
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213,956
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225,223
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減価償却累計額
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△64,724
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△66,746
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建物(純額)
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149,231
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158,477
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工具、器具及び備品
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22,333
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62,205
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減価償却累計額
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△13,011
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△17,390
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工具、器具及び備品(純額)
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9,321
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44,815
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有形固定資産合計
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158,553
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203,292
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投資その他の資産
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投資有価証券
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11,267
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34,990
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出資金
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20
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20
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長期前払費用
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354
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730
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繰延税金資産
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175,453
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202,199
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敷金
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246,592
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343,711
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その他
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800
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800
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投資その他の資産合計
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434,487
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582,451
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固定資産合計
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593,040
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785,743
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資産合計
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3,886,418
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4,486,002
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(単位:千円)
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前事業年度
(2024年8月31日)
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当事業年度
(2025年8月31日)
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負債の部
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流動負債
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買掛金
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27,517
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43,425
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1年内返済予定の長期借入金
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58,665
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75,828
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未払金
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320,988
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312,013
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未払費用
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148,424
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181,700
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未払法人税等
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182,237
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236,921
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契約負債
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938,034
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941,736
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預り金
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24,195
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31,481
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賞与引当金
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182,911
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93,502
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役員賞与引当金
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14,600
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-
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その他
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92,576
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108,523
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流動負債合計
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1,990,151
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2,025,133
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固定負債
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長期借入金
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93,380
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173,714
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資産除去債務
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6,404
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6,421
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固定負債合計
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99,784
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180,135
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負債合計
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2,089,935
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2,205,269
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純資産の部
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株主資本
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資本金
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322,997
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346,393
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資本剰余金
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資本準備金
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319,997
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343,393
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資本剰余金合計
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319,997
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343,393
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利益剰余金
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その他利益剰余金
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繰越利益剰余金
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1,145,240
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1,871,763
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利益剰余金合計
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1,145,240
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1,871,763
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自己株式
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△401
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△300,279
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株主資本合計
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1,787,833
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2,261,270
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新株予約権
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8,649
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19,462
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純資産合計
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1,796,483
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2,280,733
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負債純資産合計
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3,886,418
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4,486,002
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E37936
95600
株式会社プログリット
PROGRIT Inc.
通期第2号参考様式 [日本基準](非連結)
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