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
(2025年3月31日)
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当事業年度
(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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2,116,357
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1,429,081
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売掛金
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292,320
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297,139
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商品及び製品
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58,233
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70,159
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原材料及び貯蔵品
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23,145
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25,600
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前払費用
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38,410
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41,506
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未収入金
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52,687
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104,455
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その他
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7,009
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6,026
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貸倒引当金
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△4,570
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△4,479
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流動資産合計
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2,583,592
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1,969,489
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固定資産
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有形固定資産
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建物(純額)
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195,504
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246,003
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構築物(純額)
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23
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22
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工具、器具及び備品(純額)
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34,627
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33,438
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土地
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149,366
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149,366
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有形固定資産合計
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379,521
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428,831
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無形固定資産
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58,483
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39,881
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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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32,523
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41,718
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出資金
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40
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40
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長期貸付金
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8,953
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4,843
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破産更生債権等
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12,049
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12,049
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長期前払費用
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2,614
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8,898
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繰延税金資産
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11,753
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16,284
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差入保証金
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300,679
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296,202
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その他
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58,933
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66,754
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貸倒引当金
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△22,212
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△18,103
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投資その他の資産合計
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405,335
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428,687
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固定資産合計
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843,340
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897,400
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資産合計
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3,426,932
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2,866,890
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(単位:千円)
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前事業年度
(2025年3月31日)
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当事業年度
(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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221,914
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233,839
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短期借入金
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1,612,006
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900,959
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1年内返済予定の長期借入金
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45,000
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112,620
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未払金
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215,214
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214,572
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未払費用
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3,626
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2,375
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未払法人税等
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10,745
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8,047
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前受金
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9,845
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2,135
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預り金
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31,529
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31,703
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前受収益
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14,929
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15,239
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契約負債
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7,669
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7,808
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賞与引当金
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17,253
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9,513
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資産除去債務
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7,301
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3,526
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その他
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23,048
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35,440
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流動負債合計
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2,220,084
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1,577,781
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固定負債
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長期借入金
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356,501
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200,000
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資産除去債務
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97,733
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99,207
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長期預り保証金
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261,878
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240,430
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その他
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80,651
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48,201
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固定負債合計
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796,764
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587,838
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負債合計
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3,016,848
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2,165,620
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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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100,000
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100,000
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資本剰余金
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その他資本剰余金
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699,573
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1,053,573
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資本剰余金合計
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699,573
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1,053,573
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利益剰余金
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利益準備金
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2,320
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4,640
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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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44,347
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△26,466
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利益剰余金合計
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46,667
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△21,826
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自己株式
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△453,393
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△453,393
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株主資本合計
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392,848
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678,354
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評価・換算差額等
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その他有価証券評価差額金
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17,235
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22,915
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評価・換算差額等合計
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17,235
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22,915
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純資産合計
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410,083
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701,269
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負債純資産合計
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3,426,932
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2,866,890
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E03278
75240
マルシェ株式会社
MARCHE CORPORATION
通期第2号参考様式 [日本基準](非連結)
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