Cashflow Proyek SDA Weekly Mg.I Apr 2022
Cashflow Proyek SDA Weekly Mg.I Apr 2022
Cashflow Proyek SDA Weekly Mg.I Apr 2022
A PIUTANG DIVISI
Saldo tahun 2021 54,460,624,791
Saldo tahun 2022
TOTAL PIUTANG 54,460,624,791
B PENERIMAAN
Tagihan Saldo 2021 131,469,169,907
Tagihan 2022
Penerimaan Bukti Pajak
TOTAL PENERIMAAN 131,469,169,907
C PENGELUARAN
1. Gaji / Upah 7,362,913,437
2. Material / Vendor 41,201,522,308
3. Subkontrak/Antar Divisi 32,230,104,291
4. Biaya Operasional Lapangan 8,544,090,024
5. Beban Bunga & Asuransi
6. Beban Perpajakan
TOTAL PENGELUARAN 89,338,630,060
D SURPLUS/DEFISIT 42,130,539,847
CASHFLOW PABRIK TEGAL
MINGGU II BLN MEI 2021
34,819,699,655 3,531,000,000 -
12,176,078,772 - 2,008,778,584
46,995,778,427 3,531,000,000 2,008,778,584
21,221,571,140 - -
- 2,920,000,000 2,008,778,584
- - -
21,221,571,140 2,920,000,000 2,008,778,584
1,215,870,000
3,911,553,837 581,422,793 823,905,000
2,878,328,279 457,283,000 854,573,928
2,583,793,513 150,000,000 284,558,676
3,531,000,000 5,106,825,254
38,350,699,655 47,159,027,257
10,167,300,188 2,008,778,584
48,517,999,843 45,150,248,673
21,221,571,140 823,905,000
2,008,778,584 4,482,283,948
-
23,230,349,724 72188000
1,554,573,928
1,215,870,000 5525706737 184,558,676
4,735,458,837 41465348102
3,732,902,207 28737275825
2,868,352,189 9263215472
#REF!
12,552,583,234
10,677,766,490
21759263185
14824046921
10962953516
47,546,263,622
CASHFLOW PABRIK MEDAN
MINGGU II BLN JULI 2021
s/d
No URAIAN Pekan Lalu
A PIUTANG DIVISI
Saldo tahun 2021 1,787,800,881
Saldo tahun 2022 9,456,079,433
TOTAL PIUTANG 11,243,880,314
B PENERIMAAN
Tagihan Saldo 2020 15,113,792,484
Tagihan 2021 24,383,213,332
Penerimaan Bukti Pajak -
TOTAL PENERIMAAN 39,497,005,816
- - 1,787,800,881
- - 9,456,079,433
- - 11,243,880,314
2,623,357,773 - 15,113,792,484
882,617,978 - 24,383,213,332
- - -
3,505,975,751 - 39,497,005,816
- 21,212,952
100,000,000 - 1,329,238,524
100,000,000 - 1,350,451,476
- - 1,837,206,700
164,481,931 5,565,000 408,845,206
188,584,973 14,000,000 3,652,522,166
31,769,883 65,340,600 785,216,905
- - -
- - -
- - -
90,500,000 862,173,963
475,336,787 84,905,600 7,545,964,940
3,130,638,963 (84,905,600) 33,301,492,352
9,790,637,127
(5,095,216,258.50)
CASHFLOW DIVISI SDA (KONSOLIDASI)
MINGGU II BLN MEI 2021
s/d
No URAIAN Pekan Lalu
A PIUTANG DIVISI
Saldo tahun 2020 36,607,500,536
Saldo tahun 2021 21,632,158,205
TOTAL PIUTANG 58,239,658,741
B PENERIMAAN
Tagihan Saldo 2020 36,335,363,624
Tagihan 2021 24,383,213,332
Penerimaan Bukti Pajak -
TOTAL PENERIMAAN 62,069,028,432
C PENGELUARAN
1. Gaji / Upah 3,053,076,700
2. Material / Vendor 3,281,608,485
3. Subkontrak/Antar Divisi 7,550,076,003
4. Biaya Operasional 3,303,669,818
Lapangan #NAME?
4. Beban Bunga & Asuransi #NAME?
5. Beban Perpajakan -
6. Beban Produksi Tidak
Langsung
TOTAL PENGELUARAN 18,050,604,970
D SURPLUS/DEFISIT 44,018,423,462
OW DIVISI SDA (KONSOLIDASI)
MINGGU II BLN MEI 2021
3,531,000,000 - 40,138,500,536
- 2,008,778,584 19,623,379,621
3,531,000,000 2,008,778,584 59,761,880,157
2,623,357,773 - 36,335,363,624
3,802,617,978 2,008,778,584 26,391,991,916
- - -
6,525,975,751 2,008,778,584 64,077,807,016
- - 3,053,076,700
745,904,724 829,470,000 5,144,304,043
645,867,973 868,573,928 7,385,424,373
181,769,883 260,000 3,653,569,094
#NAME? #NAME? #NAME?
- - -
- - -
Beban Sub
2. Kontrak/Antar
Divisi
3. Biaya Operasional
5. BPTL
Pemb.Dymo Omega Embossing dan Label Mareker-Pr Batang Toru
Panjar-Andina Pembelian Spare Part Mesin Bubut
BBm Dinas
Snack Rapat
Keperluan dan Perlengkapan Mes-Bumi Seroja
Service Ganti Oli Mobil W 8619 DV
Peralatan Mes-Bumi Seroja
Pemeliharaan Kantor & Mushola
Papan Bunga Belasungkawa-Alm Bpk Suparman (Pensiunan Pegawai Barata Medan)
Iuran Jaga Malam & Kebersihan Mes Bumi Seroja
Service Kendaraan Dinas Mobil W 1809 ZO-Penggantian Lampu Mobil yg Rusak
By.Perayaan Hari Raya
Panjar Firdaus-Acara SPBI (Barata Mengaji)
By.Kebersihan Kantor-Babat Rumput
By.Internet Kantor April 2021
Rp 455,000
Rp 443,000
Rp 898,000
Rp -
Rp 1,140,000
Rp 350,000
Rp 18,675,000
Rp 2,500,000
Rp 750,000
Rp 3,490,000
Rp 11,000,000
Rp 2,545,000
Rp 800,000
Rp 450,000
Rp 600,000
Rp 42,300,000
Rp 653,500
Rp 50,000
Rp 250,000
Rp 740,000
Rp 271,500
Rp 351,000
Rp 306,500
Rp 325,000
Rp 750,000
Rp 17,400,000
Rp 1,500,000
Rp 300,000
Rp 1,797,400
Rp 24,694,900
1. Material/Bahan :
Beban Sub
2. Kontrak/Antar
Divisi
3. Biaya Operasional
5. BPTL
6. GAJI
Panjar-Andina Pemb.Volt Meter Pr.Batang Asai
Rp 78,980
Rp 25,000,000
Rp 100,000,000
Rp 150,000,000
Rp 200,000,000
Rp 20,000,000
Rp 20,000,000
Rp 50,000,000
Rp 15,000,000
Rp 25,000,000
Rp 20,000,000
Rp 10,000,000
Rp 635,000,000
Rp 200,000
Rp 60,000
Rp 260,000
Rp 52,000
Rp 185,000
Rp 200,000
Rp 1,000,000
Rp 150,000
Rp 1,587,000
Rp 5,625,000
Rp 1,000,000
Rp 1,000,000
Rp 7,625,000
1. Material/Bahan :
Beban Sub
2. Kontrak/Antar
Divisi
3. Biaya Operasional
5. BPTL
6. GAJI
Andina-Panjar.Pemb.Mosfet Trafo Batang Toru
Veli-Panjar.Pemb.Angkur Batang Toru
Veli-Panjar.Pemb.Besi Beton Batang Toru
Veli-Panjar.Pemb.Baut dam Mur Batang Toru
Andina-Panjar.Pemb.Kelengkapan peralatan dan material Finishing Kreuto 2
Panjar.Parulian Sitorus
Perpanjangan STPD 03/05/21-Batang Gadis Widodo
SPD 05/05/2021 Kasman Dkk-Pr.Lhok Guci
Panjar BBM SPD 05/05/2021 Kasman Dkk-Pr.Lhok Guci
SPD 06/05/2021 Septian Budi Dkk-Pr.Krueto 2
Panjar BBM SPD 06/05/2021 Septian Budi Dkk-Pr.Krueto 2
Gaji ART Mes Bumi Seroja Mei 2021 dan THR Idul Fitri
Rp 1,145,200
Rp 600,000
Rp 2,761,447
Rp 11,654,260
Rp 2,977,500
Rp 19,138,407
Rp -
Rp 12,000,000
Rp 1,850,000
Rp 5,880,000
Rp 500,000
Rp 3,825,000
Rp 1,500,000
Rp 25,555,000
Rp 2,000,000
Rp 1,123,500
Rp 160,000
Rp 770,000
Rp 40,000
Rp 747,000
Rp 180,000
Rp 86,000
Rp 76,000
Rp 700,000
Rp 159,000
Rp 247,500
Rp 775,650
Rp 425,000
Rp 373,500
Rp 1,060,000
Rp 8,923,150
Rp 2,000,000
Rp 2,000,000
1. Material/Bahan :
Beban Sub
2. Kontrak/Antar
Divisi
3. Biaya Operasional
5. BPTL
6. GAJI
Pemb.Oksigen
Pemb. Cutting Wheel, Tali Tambang & Kuas-Batang Toru
Rp 834,500
Rp 18,250,000
Rp 18,250,000
Rp 2,313,250
Rp 150,000
Rp 575,000
Rp 150,000
Rp 10,000,000
Rp 200,000
Rp 13,388,250
Rp 5,830,000
Rp 270,000
Rp 1,100,000
Rp 60,500
Rp 50,000
Rp 300,000
Rp 50,000
Rp 7,660,500
Rp -
1. Material/Bahan :
Beban Sub
2. Kontrak/Antar
Divisi
3. Biaya Operasional
5. BPTL
6. GAJI
Andina-Pemb.Chain Bloack Pintu Air Kreuto-2
Pembayaran Utang-Pemb.Oksigen
Andina-Pemb.Oli dan Grease Sei Wampu
Andina-By.Gulung Motor Dinamo Sei Wampu
By.Ongkir Pemb.Baut-Batang Toru
Veli-Pemb.Alat Instalasi-Batang Asai
Veli-Pemb.Jack Hammer-Lhok Guci
Rp 32,552,000
Rp 15,000,000
Rp 15,000,000
Rp 825,000
Rp 400,000
Rp 1,360,000
Rp 1,893,700
Rp 3,840,000
Rp 2,300,000
Rp 2,800,000
Rp 13,418,700
Rp 2,350,000
Rp 545,500
Rp 120,000
Rp 365,000
Rp 135,000
Rp 120,100
Rp 300,000
Rp 2,200,000
Rp 100,000
Rp 750,000
Rp 39,000
Rp 163,000
Rp 7,187,600
Rp 3,707,900
Rp 3,707,900
1. Material/Bahan :
Beban Sub
2. Kontrak/Antar
Divisi
3. Biaya Operasional
5. BPTL
6. GAJI
Pemb.Oksigen
Panjar Andina-Pemb.Oli, Grease Pr. Batang Toru
Panjar Veli-Pemb.Baut & Mur Actuator Pr. Batang Toru
Pemb.Baut + Mur m6x1+1/4" 40 pcs
Pemeliharan Kantor
Angusran Hak Pensiun (Masa Kerja)-Pak Eko
By.Transfer
By.Interne Mes Bumi Seroja
Tagihan Air Bulan Mei Bumi Seroja
Tagihan Air Bulan Juni Bumi Seroja
Tagihan Air Bulan Mei Mushola
BBm Dinas
Pemb.Materai 10.000 sejumlah 15lbr
Keperluan Kantor
Perpanjangan Surat Jalan BK 1742 HN
By.Keperluan Mes Bumi Seroja
Air Minum
By.Tamu
Rp 3,101,940
Rp -
Rp 10,000,000
Rp 10,200,000
Rp 5,900,000
Rp 1,565,000
Rp 1,500,000
Rp 40,000
Rp 29,205,000
Rp 117,600
Rp 1,500,000
Rp 6,500
Rp 1,797,400
Rp 159,100
Rp 183,400
Rp 34,200
Rp 225,000
Rp 150,000
Rp 171,500
Rp 350,000
Rp 300,000
Rp 119,600
Rp 175,000
Rp 5,289,300
Rp 167,999,100
Rp 167,999,100
1. Material/Bahan :
Beban Sub
2. Kontrak/Antar
Divisi
3. Biaya Operasional
5. BPTL
6. GAJI
Pemb.Oksigen
Andina-Panjar.Pemb.Komponen Panel Control Thp 1 Pr.Batangtoru
Pemb.Air Minum
BBm Mobil Dinas + Tol
Keperluan Mes Bumi Seroja
DP Service Mobil Kantor BK 1809 ZO
Pemb.Perlengkapan Kebersihan kantor
Adm By.Bank
Jon Kenedi-Angsuran Hutang BRI
Rudi Susanto-By.Pengganti Pengobatan
Pemb.Kebutuhan Dapur Kantor
By.Tamu
By.Dinas Luar
Rp 5,000,000
Rp 7,500,000
Rp 25,000,000
Rp 15,582,060
Rp 53,082,060
Rp 7,100,000
Rp 9,000,000
Rp 500,000
Rp 725,000
Rp 410,000
Rp 410,000
Rp 18,145,000
Rp 130,000
Rp 633,000
Rp 250,000
Rp 5,000,000
Rp 394,000
Rp 3,000
Rp 1,000,000
Rp 162,000
Rp 43,900
Rp 270,000
Rp 128,000
Rp 8,013,900
Rp 1,000,000
Rp 93,870,200
Rp 94,870,200
1. Material/Bahan :
Beban Sub
2. Kontrak/Antar
Divisi
3. Biaya Operasional
5. BPTL
6. GAJI
PT. Norrisindo-Angusran Utang
Parulian-Panjar.Op.Sangatta
Firdaus-SPD 06/VI/21-Batang Asai
Fidarus-Panjar BBM SPD 06/VI/21-Batang Asai
Kasman Panjar U.Makan dan Op-Pr.Lhok Guci
M.Rizky Panjar U.Makan dan Op-Pr.Batang Toru
Rp 5,000,000
Rp 5,000,000
Rp 6,000,000
Rp 4,960,000
Rp 2,000,000
Rp 9,000,000
Rp 7,300,000
Rp 29,260,000
Rp 445,000
Rp 153,000
Rp 40,000
Rp 413,000
Rp 120,000
Rp 177,600
Rp 40,000
Rp 50,000
Rp 1,438,600
Rp -
1. Material/Bahan :
Beban Sub
2. Kontrak/Antar
Divisi
3. Biaya Operasional
5. BPTL
6. GAJI
Andina-Panjar Pemb.Material Fabrikasi Trashrack Kreuto 2
Rp 5,565,000
Rp 5,000,000
Rp 9,000,000
Rp 14,000,000
Rp 4,360,000
Rp 1,500,000
Rp 1,543,600
Rp 250,000
Rp 2,610,000
Rp 400,000
Rp 1,750,000
Rp 1,140,000
Rp 300,000
Rp 1,225,000
Rp 700,000
Rp 300,000
Rp 9,000,000
Rp 15,756,000
Rp 6,300,000
Rp 4,000,000
Rp 4,000,000
Rp 55,134,600
Rp 950,000
Rp 1,540,000
Rp 425,000
Rp 250,000
Rp 370,000
Rp 1,273,900
Rp 300,000
Rp 130,000
Rp 299,600
Rp 85,000
Rp 197,500
Rp 149,500
Rp 13,000
Rp 220,000
Rp 146,400
Rp 1,797,400
Rp 525,000
Rp 1,680,000
Rp 300,000
Rp 292,000
Rp 250,000
Rp 11,194,300
Rp 97,633,400
Rp 44,903,800
Rp 1,000,000
Rp 143,537,200
PENERBITAN INVOICE 2020 s/d 2021
PABRIK MEDAN
A TAHUN 2020
1 M915006 PT. WIKA Keruto 2 TERMIN IV 1.001/INV/I/2020 1/6/2020
2 M915006 PT. WIKA Keruto 2 TERMIN IV 1.002/INV/I/2020 1/6/2020
3 D918022 PT. NK Screen Panel Termin II 3010000704 1/14/2020
4 M915006 PT. WIKA Keruto 2 retensi 1.003/INV/I/2020 1/16/2020
5 D917018 PT. HK PLTM Harjosari Termin III 3010000696 2/3/2020
6 M915006 PT. WIKA Keruto 2 TERMIN V 1.004/INV/II/2020 2/21/2020
7 M915006 PT. WIKA Keruto 2 retensi 1.005/INV/II/2020 2/21/2020
HUTAMA RUNGGU
8 D919010 BATANG TORU Termin II 3010000582 3/12/2020
KSO
9 D917018 PT. HK PLTM Harjosari Termin IV 3010000910 4/20/2020
10 D919002 PT. PP LAU GUNUNG TERMIN V 3010000491 5/18/2020
11 D919002 PT. PP LAU GUNUNG TERMIN VI 3010000491 5/18/2020
12 D918022 PT. NK Screen Panel Termin III 3011000800 6/19/2020
PT. Lentera Kahuripan
13 D920010 BATANG ASAI DP 3010001159 7/20/2020
Indonesia
14 D919008 WIKA RUDI KSO TIGA DIHAJI DP 3010001364 7/20/2020
HUTAMA RUNGGU
15 D919010 BATANG TORU Termin III 3010001234 9/7/2020
KSO
16 D919002 PT. PP LAU GUNUNG TERMIN VII 3010001259 10/1/2020
17 D919002 PT. PP LAU GUNUNG TERMIN VIII 3010001260 10/1/2020
18 D919002 PT. PP LAU GUNUNG TERMIN IX 3010001261 10/1/2020
22 D919017 HK- JAKON LHOK GUCI TERMIN 1 3010001276 10/12/2020
B TAHUN 2021
PT. Lentera Kahuripan
27 D920010 BATANG ASAI TERMIN I 3010001515 2/15/2021
Indonesia
28 D918022 PT. NK Screen Panel Termin IV 3010001550 3/2/2021
29 D919017 HK- JAKON LHOK GUCI TERMIN III 3010001595 3/10/2021
30 D919008 WIKA RUDI KSO TIGA DIHAJI TERMIN I 3010001563 3/12/2021
31 D917015 PT. KAN PKS Sangata TERMIN VII 007/BRT/III/2021 3/22/2021
32 D919017 HK- JAKON LHOK GUCI TERMIN V 4/12/2021
PT. Lentera Kahuripan
33 D920010 BATANG ASAI TERMIN II 1.003/INV/VI/2021 6/14/2021
Indonesia
34 D917015 PT. KAN PKS Sangata RETENSI 008/BRT/VI/2021 6/15/2021
SELISIH/
DPP PPN PPH NETTO PEMBAYARAN
DISKONTO
TOTAL
5,370,722,569 15,113,792,484
3,777,223,312 15,095,477,151
5,737,907,505
1,956,428,812
6/24/2021
UMUR PENGURANG
SISA TAGIHAN/
PIUTANG (DANA STATUS TAGIHAN (PENCAIRAN)
BELUM TERBAYAR
(BULAN) TALANGAN)
Pencairan 30/04/2020
Pencairan 16/04/2020
Pencairan 18/05/2020
Pencairan 16/04/2020
1,022,000,881 42 BELUM CAIR
41 04/06/2021 di set off atas Utang kpd Wika Beton
41 04/06/2021 di set off atas Utang kdp Wika Beton
39 Di Angsur (16/10/2020 dan 08/09/2020)
Pencairan 24/11/2020
Pencairan 24/11/2020
Pencairan 24/11/2020
Rp 566jt di Angsur (12/11/2020) + Rp 500jt di
234,921,243 21
Angsur (07/05/2021)
327,178,546 21 BELUM CAIR
Pencairan 23/12/2020
11M dianggap 0 (Potong : denda, dana talangan, sett
(200,000,000)
of direct payment ke vendor)
2,290,625,922 17 BELUM CAIR
5,370,722,568
9,515,130,817
14,885,853,385 (2,200,000,000)
12,685,853,385
15,869,414,337
6,144,748,193
14,601,561,610
2,458,080,039
500,000,000
897,125,561
750,000,000
635,431,604
2,782,557,165
2,000,000,000
PT BARATA INDONESIA (PERSERO)
DIVISI SUMBER DAYA AIR (DSDA)
PERIODE : JANUARI 2021 S/D DESEMBER 2021
RENCANA & REALISASI CASH FLOW
PABRIK MEDAN :
1 D9.15.006 R1 PA Bendungan Keureuto (PT Wijaya Karya)
2 D9.16.009 Pintu Air Bahuga Wika (Bahuga)
3 D9.17.008 Pekerjaan Pintu Air PLTM (Induring)
Hasil Pertemuan bersama (barata-KAN) : dana tsb
Pembangunan Pabrik Kelapa Sawit Kap. 30 Ton
4 D9.17.015 TBS/Jam di Sangatta (PT. Kalimantan Agro Nusantara) dipergunakan untuk pembayaran angsuran ke vendor
(sangatta) yg sudah melakukan somasi.
Hydromekanikal PLTM Harjosari 3x3,3 MW (PT
5 D9.17.018 R1 Hutama Karya Div EPC)
Pembuatan & Pemasangan Pintu Air Bendungan
6 D.9.18.001 Keureuto Paket 3 di Aceh Utara (PT Hutama Karya -
Perapen JO)
11 D9.19.017 Pintu Air dan Elektrikal Jaringan Irigasi D.I Lok Guci-
Aceh (Hutama Karya-Jaya Konstruksi)
Page 61 of 62
PT BARATA INDONESIA (PERSERO)
DIVISI SUMBER DAYA AIR (DSDA)
PERIODE : JANUARI 2021 S/D DESEMBER 2021
RENCANA & REALISASI CASH FLOW
Page 62 of 62