Cuprins
Capitolul 1 Introducere
Capitolul 2 Situaiile
financiare anuale: coninut i
importan
Capitolul 3 Bilanul contabilsurs informaional a
poziiei financiare
Capitolul 4 Analiza poziiei
financiare la S.C. OMV Petrom
S.A. ntre anii 2008-2012 pe
baza bilanului contabil
Capitolul 5 Concluzii i
recomandri
Ce reprezint situaiile
financiare anuale i care
sunt utilizatorii lor?
Care sunt obiectivele
situaiilor financiare
anuale i care sunt
caracteristicile lor de
calitate?
La ce se refer
sunt
conceptul deCare
poziie
indicatorii
financiar
i care care
caracterizeaz
sunt indicatorii
echilibru
financiar
Care
sunt ratele
de
caracteristici?
pe termen
lung i
structur
ale activului
scurt?
i ale pasivului
Ce este
patrimonial?
solvabilitatea? Dar
lichiditatea?
5,138,331,580.00
4,903,497,922.00
4,697,524,109.00
4,684,189,590.00
1,400,000,000
5,000,000,000
557,419,052.00
5,034,916,562.00
4,190,500,011.00
4,135,512,017.00
4,062,323,784.00
4,000,000,000
1,200,000,000
3,616,879,557.00
567,026,496.00
3,000,000,000
1,000,000,000
3,646,970,818.00
1,416,091,506.00
280,035,791.00
1,000,000,000
600,000,000
518,632,460.00543,529,193.00
2008
-1,000,000,000
200,000,000
-2,000,000,000
0 0
2009
2008
2008
2009
2009
2010
2010
2011
2011
2012
Linear (2011)
2012
Resurse
temporare
2,000,000,000
800,000,000
0
985,462,942.00
400,000,000
Nevoi
temporare
-13,334,519.00103,415,018.00
2010
-841,174,138.00
1,504,095,402.00
2011
500000000
823,564,984.00
2012
574,917,368.00
Necesarul
de fond de
rulment
(NFR)
1000000000
553,691,977.00
660,834,070.00
1500000000
Evoluiade
fondului
rulment
aniii2008-2012
Evoluia necesarului
fond dederulment,
a ntre
nevoilor
resurselor temporare ntre anii 2008-2012
Ratele de finanare
120.00%
107.59%
103.70%
102.16%
101.94%
102.08%
100.00%
80.00%
68.51%
Rata finanrii
stabile (Rfs)
63.19%
60.00%
39.08%
40.00%
40.51%
60.83%
41.33%
66.13%
35.81%
72.24%
Rata
autofinanrii
imobilizrilor
-4152.32%
-68.35%
29.84%Rata finanrii
strine a
imobilizrilor
20.00%
0.00%
2008
639.01%
151.52%
2008
2009
2010
2011
2012
290.01%
2009
2010
2011
2012
-5000.00%
-4000.00%
-3000.00%
-2000.00%
-1000.00%
0.00%
1000.00%
Evoluia ratelor
finanrii stabile,
autofinanrii
i finanrii
strine a imobilizrilor
la OMV Petrom
Nr.
Ratele de
crt.
finanare(denumire)
I
Rata activelor
imobilizate (Rai)
1
Rata imobilizrilor
necorporale
2
Rata imobilizrilor
corporale
3
Rata imobilizrilor
financiare
II.
Rata activelor
circulante
1
Rata stocurilor
2
Rata creanelor
3
Rata disponibilitilor
bneti i a
plasamentelor
2008
2009
2010
2011
2012
79,57%
83,44%
83,13%
84,76%
85,02%
4,53%
3,70%
3,57%
3,16%
2,46%
54,87%
59,38%
58,60%
63,07%
66,49%
20,17%
20,36%
20,96%
18,53%
16,06%
20,43%
16,56%
16,87%
15,24%
14,98%
9,62%
6,85%
3,96%
7,87%
7,64%
1,05%
5,71%
6,74%
4,42%
5,03%
8,52%
1,68%
4,73%
8,76%
1,49%
RAft(2)
4
Rata de indatorare
global (Rig) Rig(1)
Rig(2)
5
Rata de ndatorare
la termen (Rit)
Rit(1)
2008
2009
2010
2011
2012
85,62%
86,53%
84,92%
86,40%
86,79%
54,52%
52,73%
50,57%
56,05%
61,42%
63,67%
60,94%
59,54%
64,87%
70,77%
902,11%
19,89%
498,04%
23,95%
464,38%
26,14%
837,65%
20,57%
1241,09%
18,39%
36,48%
7,06%
45,42%
12,24%
51,69%
12,82%
36,70%
7,74%
29,94%
5,70%
1.05
0.86
0.93
0.8
0.69
0.58
0.6
0.4
0.41
0.48
0.61
0.45
0.87
1.19
Capacitatea de
rambursare a
datoriilor
Capacitatea brut
0.64
de rambursare a
datoriilor
0.33
Capacitatea net
de rambursare a
datoriilor
0.2
0 0
2008
0
2009
2010
2011
2012
0.4000
0.3500
0.3536
0.3000
2008
2009
2010
2011
2012
0.2500
0.2000
0.2033
0.1711
0.1500
0.1000
0.0500
0.0000
0.1603
Solvabilitatea general
6.00
5.00
4.00
5.44
5.03
4.86
4.18
3.83
2008
2009
2010
2011
2012
3.00
2.00
0.55 0.53 0.51 0.56 0.61
1.00
0.00
Rsg(1)
Rsg(2)
Solvabilitatea financiar
20.00
15.00 13.93
10.00
5.00
8.25
0.00
2008
8.30
12.64
16.64
2009
2010
2011
2012
0.11
0.12
0.08
0.29
0.29
0.76
0.74
0.73
0.65
0.78
Lichiditatea intermediara
1.11
1.10
1.11
Lichiditatea generala
0.00
0.20
0.40
0.60
0.80
1.00
2008
2009
2010
2011
2012
1.24
1.20
1.40
1.48
1.60
V um
l
u sc
m
p
at en
en tr
u
i
e!