陂乌村2020年8月份 现金银行存款明细公布表
发布时间:2020-09-01 15:23:15
现金银行存款明细公布表 | |||||||||||
2020年8月 | |||||||||||
单位名称:陂乌村 | 单位:元 | ||||||||||
2020年 | 编号 | 摘要 | 库存现金 | 银行存款 | |||||||
月 | 日 | 收 | 支 | 余额 | 收 | 支 | 余额 | ||||
8 | 1 | 上期结转 | 2,725.16 | 23,590,102.81 | |||||||
8 | 31 | 银收 | 001 | 精神障碍监护补助 | 2,725.16 | 15,260.00 | 23,605,362.81 | ||||
8 | 31 | 银收 | 002 | 工程投标保证金 | 2,725.16 | 60,000.00 | 23,665,362.81 | ||||
8 | 31 | 现收 | 001 | 腾退分配调剂款 | 33,000.00 | 35,725.16 | 23,665,362.81 | ||||
8 | 31 | 现收 | 002 | 八一慰问金 | 300.00 | 36,025.16 | 23,665,362.81 | ||||
8 | 31 | 现收 | 003 | 水龙安装 | 1,000.00 | 37,025.16 | 23,665,362.81 | ||||
8 | 31 | 现收 | 004 | 市财政拨干部生活补贴 | 17,700.00 | 54,725.16 | 23,665,362.81 | ||||
8 | 31 | 现收 | 005 | 水费 | 35,232.50 | 89,957.66 | 23,665,362.81 | ||||
8 | 31 | 银付 | 001 | 电费 | 89,957.66 | 8,728.57 | 23,656,634.24 | ||||
8 | 31 | 银付 | 002 | 办公费用 | 89,957.66 | 2,260.00 | 23,654,374.24 | ||||
8 | 31 | 银付 | 003 | 提现金 | 110,000.00 | 199,957.66 | 110,000.00 | 23,544,374.24 | |||
8 | 31 | 银付 | 004 | 退还工程投标保证金 | 199,957.66 | 60,000.00 | 23,484,374.24 | ||||
8 | 31 | 银付 | 005 | 创文开支 | 199,957.66 | 46,030.00 | 23,438,344.24 | ||||
8 | 31 | 银付 | 006 | 腾退分配调剂款 | 199,957.66 | 94,400.00 | 23,343,944.24 | ||||
8 | 31 | 现付 | 001 | 英歌山迁坟补偿款 | 6,400.00 | 193,557.66 | 23,343,944.24 | ||||
8 | 31 | 现付 | 002 | 邮电费用 | 296.85 | 193,260.81 | 23,343,944.24 | ||||
8 | 31 | 现付 | 003 | 书报费 | 315.00 | 192,945.81 | 23,343,944.24 | ||||
8 | 31 | 现付 | 004 | 民主理财开支 | 500.00 | 192,445.81 | 23,343,944.24 | ||||
8 | 31 | 现付 | 005 | 困难补助 | 1,400.00 | 191,045.81 | 23,343,944.24 | ||||
8 | 31 | 现付 | 006 | 学校开支 | 5,585.00 | 185,460.81 | 23,343,944.24 | ||||
8 | 31 | 现付 | 007 | 自来水费 | 5,894.00 | 179,566.81 | 23,343,944.24 | ||||
8 | 31 | 现付 | 008 | 精神障碍监护补助 | 15,260.00 | 164,306.81 | 23,343,944.24 | ||||
8 | 31 | 现付 | 009 | 腾退分配调剂款 | 38,725.00 | 125,581.81 | 23,343,944.24 | ||||
8 | 31 | 现付 | 010 | 干部工资 | 35,230.00 | 90,351.81 | 23,343,944.24 | ||||
8 | 31 | 现付 | 011 | 治安开支 | 10,250.00 | 80,101.81 | 23,343,944.24 | ||||
8 | 31 | 现付 | 012 | 公共设施维护费用 | 40,225.00 | 39,876.81 | 23,343,944.24 | ||||
8 | 31 | 现付 | 013 | 创文开支 | 38,600.00 | 1,276.81 | 23,343,944.24 | ||||
8 | 31 | 本期合计 | 197,232.50 | 198,680.85 | 75,260.00 | 321,418.57 | |||||
8 | 31 | 本年累计 | 1,775,432.50 | 1,776,236.70 | 1,501,824.37 | 4,737,107.06 | |||||
单位负责人: | 出纳员: | 杨镇辉 | 会计员: | 杨宋坚 | 村(居)务公开监督(理财)小组: |