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Restatement (Tables)
12 Months Ended
Dec. 31, 2017
Restatement [Abstract]  
Condensed Balance Sheet [Table Text Block]
    As Previously Reported     Restated     Net Adjustment  
Accounts receivable   13,369,655     15,858,804       2,489,149  
Current portion of investment in sales-type leases, net     13,076,516       11,531,745       (1,544,771 )
Interest receivable on sales type leases     9,869,357       9,619,278       (250,079 )
Other receivables     3,064,451       1,169,660       (1,894,791 )
                         
Investment in sales-type leases, net (non-current)     100,628,588       46,110,374       (54,518,214 )
                         
Total Asset     287,267,296       231,548,590       (55,718,706 )
                         
Deferred tax liability, net     8,635,151       2,157,414       (6,477,737 )
                         
Total Liability     82,991,880       76,514,143       (6,477,737 )
                         
Statutory reserve     14,733,361       14,525,712       (207,649 )
Accumulated other comprehensive income     1,634,627       860,553       (774,074 )
Retained earnings     76,580,942       28,321,696       (48,259,246 )
                         
Total Company stockholders’ equity     204,754,053       155,513,084       (49,240,969 )
                         
Total liability and equity   287,267,296.00     231,548,590     (55,718,706 )
Condensed Income Statement [Table Text Block]
    As Previously Reported     Restated     Net Adjustment  
Contingent rental income     -     6,489,504     6,489,504  
Cost of sales     -       -       -  
Gross profit     -       6,489,504       6,489,504  
Interest income on sales-type leases   7,285,192       6,610,169       (675,023 )
Total operating income     7,285,192       13,099,673       5,814,481  
General and administrative expenses     2,822,321       7,293,226       4,470,905  
Impairment loss of net investment receivable     38,859       -       (38,859 )
Income from operations     4,424,012       5,806,447       1,382,435  
                         
Income (loss) before income tax     (1,012,657 )     369,778       1,382,435  
Income tax expense     8,312,749       8,039,476       (273,273 )
                         
Net loss attributable to China Recycling Energy Corporation     (8,998,259 )     (7,342,551 )     1,655,708  
Foreign currency translation gain     12,179,053       9,275,654       (2,903,399 )
Comprehensive income attributable to China Recycling Energy Corporation   3,180,794     1,933,103     (1,247,691 )
Condensed Cash Flow Statement [Table Text Block]
    As Previously Reported     Restated     Net Adjustment  
Loss including noncontrolling interest   (9,325,406 )   (7,669,698 )   1,655,708  
Asset impairment loss     38,859       -       (38,859 )
Changes in deferred tax     (788,276 )     (1,061,548 )     (273,272 )
Interest receivable on sales type leases     (4,803,020 )     (4,561,000 )     242,020  
Collection of principals on sales type leases     2,315,517       1,305,124       (1,010,393 )
Accounts receivable     -       (2,408,924 )     (2,408,924 )
Other receivables     (2,343,249 )     (509,529 )     1,833,720  
                         
Net cash provided by operating activities     39,514,211       39,514,211       -