虞溪村2019年第二季度账目清单 |
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一 |
上期结余: |
存款: |
133736.81 |
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小计: |
133736.81 |
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二 |
本期收入: |
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1 |
收镇拨公益性岗位人员第一季度工资 |
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3595.26 |
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2 |
收镇拨乡村公路养护资金 |
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7500 |
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3 |
收华润协调办拨小流域水土流失综合治理补助资金 |
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50000 |
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4 |
收银行存款利息 |
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58.33 |
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小计: |
61153.59 |
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三 |
本期支出: |
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1 |
付会议补贴 |
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900 |
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2 |
付2019年春节慰问金 |
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1400 |
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3 |
付卢春显修建水圳旧欠款 |
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5000 |
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4 |
付陈国森劳务费 |
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600 |
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5 |
付村集团彩铃制作费 |
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500 |
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6 |
付村干部责任险 |
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448 |
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7 |
付报刊杂志费 |
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1202 |
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8 |
付刻公章支出 |
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402 |
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9 |
付电费 |
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736.07 |
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10 |
付路灯维修材料支出 |
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1011 |
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11 |
付银行短信收费4月份 |
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10 |
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12 |
付电费 |
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314 |
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13 |
付订福建法治报 |
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350 |
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14 |
付购买办公用品支出 |
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253 |
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15 |
付卢春显旧欠工程款 |
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13500 |
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16 |
付卢金中旧欠工程款 |
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50100 |
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17 |
付卢福贤旧欠工程款 |
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14383 |
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18 |
付陈金宝公益性岗位第一季度工资 |
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3595.26 |
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19 |
付银行短信收费5月份 |
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10 |
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20 |
付银行短信收费6月份 |
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10 |
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小计: |
94724.33 |
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四 |
结算: |
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上期结余: |
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133736.81 |
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本期收入: |
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61153.59 |
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本期支出: |
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94724.33 |
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期末结存: |
银行存款 |
100166.07 |
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结算日期:2019年7月 结算单位:龙潭镇村财代理中心 |
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