3.連結財務諸表及び主な注記
(1)連結貸借対照表
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(単位:千円)
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前連結会計年度
(2025年3月31日)
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当連結会計年度
(2026年3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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29,489,223
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15,391,081
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受取手形、売掛金及び契約資産
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7,577,863
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4,813,239
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商品及び製品
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30,845
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408,039
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仕掛品
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33,278
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59,243
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貯蔵品
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468,449
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554,600
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その他
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4,161,356
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5,051,385
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貸倒引当金
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△16,423
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△22,274
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流動資産合計
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41,744,592
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26,255,316
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固定資産
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有形固定資産
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建物及び構築物(純額)
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6,282,028
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9,862,442
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工具、器具及び備品(純額)
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16,456,644
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17,950,309
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土地
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644,731
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644,731
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リース資産(純額)
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7,727,951
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13,097,016
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建設仮勘定
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2,358,189
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5,168,003
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有形固定資産合計
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33,469,545
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46,722,502
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無形固定資産
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その他
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1,259,893
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2,018,177
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無形固定資産合計
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1,259,893
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2,018,177
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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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682,270
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820,740
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長期前払費用
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2,902,618
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4,822,678
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繰延税金資産
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846,556
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1,313,522
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その他
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519,325
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503,142
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貸倒引当金
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△5,332
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△5,004
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投資その他の資産合計
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4,945,438
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7,455,080
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固定資産合計
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39,674,878
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56,195,760
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資産合計
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81,419,470
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82,451,076
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(単位:千円)
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前連結会計年度
(2025年3月31日)
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当連結会計年度
(2026年3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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1,675,464
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1,245,523
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設備関係未払金
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8,920,873
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206,704
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短期借入金
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9,261,668
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10,687,000
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1年内返済予定の長期借入金
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2,649,408
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4,796,832
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リース債務
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1,928,797
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3,101,105
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未払法人税等
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1,511,659
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546,193
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前受金
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6,147,881
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8,658,592
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賞与引当金
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663,426
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772,410
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役員賞与引当金
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53,235
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36,800
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仮受金
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4,538,451
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2,228,485
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その他
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2,996,624
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1,575,285
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流動負債合計
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40,347,490
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33,854,933
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固定負債
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長期借入金
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3,154,471
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5,777,396
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リース債務
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6,654,972
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11,464,636
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資産除去債務
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828,955
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833,995
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株式給付引当金
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90,515
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84,053
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役員退職慰労引当金
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50,638
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70,780
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退職給付に係る負債
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30,000
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33,050
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その他
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5,046
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3,076
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固定負債合計
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10,814,598
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18,266,988
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負債合計
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51,162,089
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52,121,922
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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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11,283,167
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11,283,167
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資本剰余金
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10,577,023
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10,649,910
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利益剰余金
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9,177,688
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9,232,622
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自己株式
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△1,106,853
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△1,093,229
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株主資本合計
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29,931,026
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30,072,470
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その他の包括利益累計額
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その他有価証券評価差額金
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112,597
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14,625
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為替換算調整勘定
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11,643
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13,893
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繰延ヘッジ損益
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11
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289
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その他の包括利益累計額合計
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124,253
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28,808
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非支配株主持分
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202,102
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227,875
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純資産合計
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30,257,381
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30,329,154
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負債純資産合計
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81,419,470
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82,451,076
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E05518
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さくらインターネット株式会社
SAKURA internet Inc.
通期第1号参考様式 [日本基準](連結)
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