陂乌村2021年12月份 现金银行存款明细公布表
发布时间:2022-01-03 09:52:23
现金银行存款明细公布表 | |||||||||||
2021年12月 | |||||||||||
单位名称:陂乌村 | 单位:元 | ||||||||||
2021年 | 编号 | 摘要 | 库存现金 | 银行存款 | |||||||
月 | 日 | 收 | 支 | 余额 | 收 | 支 | 余额 | ||||
12 | 1 | 上期结转 | 34,207.65 | 17,845,932.72 | |||||||
12 | 31 | 现收 | 001 | 腾退分配调剂款 | 77,400.00 | 111,607.65 | 17,845,932.72 | ||||
12 | 31 | 现收 | 002 | 市财政拨干部生活补贴 | 24,600.00 | 136,207.65 | 17,845,932.72 | ||||
12 | 31 | 银收 | 001 | 利息收入 | 136,207.65 | 1,136.72 | 17,847,069.44 | ||||
12 | 31 | 银收 | 002 | 镇财政拨办公经费 | 136,207.65 | 28,320.00 | 17,875,389.44 | ||||
12 | 31 | 银收 | 003 | 党组织服务群众专项经费 | 136,207.65 | 24,000.00 | 17,899,389.44 | ||||
12 | 31 | 银收 | 004 | 英歌山迁坟补偿款 | 136,207.65 | 23,000.00 | 17,922,389.44 | ||||
12 | 31 | 银收 | 005 | 利息收入 | 136,207.65 | 418.03 | 17,922,807.47 | ||||
12 | 31 | 银收 | 006 | 利息收入 | 136,207.65 | 469.86 | 17,923,277.33 | ||||
12 | 31 | 银收 | 007 | 利息收入 | 136,207.65 | 675.17 | 17,923,952.50 | ||||
12 | 31 | 银付 | 001 | 办公费用 | 136,207.65 | 9.30 | 17,923,943.20 | ||||
12 | 31 | 银付 | 002 | 汇款手续费 | 136,207.65 | 15.00 | 17,923,928.20 | ||||
12 | 31 | 银付 | 003 | 电费 | 136,207.65 | 5,038.02 | 17,918,890.18 | ||||
12 | 31 | 银付 | 004 | 自来水费 | 136,207.65 | 5,690.95 | 17,913,199.23 | ||||
12 | 31 | 银付 | 005 | 提现金 | 40,000.00 | 176,207.65 | 40,000.00 | 17,873,199.23 | |||
12 | 31 | 银付 | 006 | 银行转存 | 176,207.65 | 500,000.00 | 500,000.00 | 17,873,199.23 | |||
12 | 31 | 银付 | 007 | 社保补贴 | 176,207.65 | 17,220.00 | 17,220.00 | 17,873,199.23 | |||
12 | 31 | 银付 | 008 | 创文开支 | 176,207.65 | 69,700.00 | 17,803,499.23 | ||||
12 | 31 | 银付 | 009 | 腾退分配调剂 | 176,207.65 | 49,620.00 | 17,753,879.23 | ||||
12 | 31 | 银付 | 010 | 工程投标保证金 | 176,207.65 | 45,000.00 | 17,708,879.23 | ||||
12 | 31 | 银付 | 011 | 防疫用品 | 176,207.65 | 35,021.75 | 17,673,857.48 | ||||
12 | 31 | 银付 | 012 | 东畔寨前排水沟及道路水泥化建设工程 | 176,207.65 | 267,500.00 | 17,406,357.48 | ||||
12 | 31 | 银付 | 013 | 党建文化建设及埔边路口美化改造工程 | 176,207.65 | 377,600.00 | 17,028,757.48 | ||||
12 | 31 | 银付 | 014 | 排水排污工程 | 176,207.65 | 166,100.00 | 16,862,657.48 | ||||
12 | 31 | 银付 | 015 | 党建文化建设及埔边路口美化改造工程 | 176,207.65 | 537,500.00 | 16,325,157.48 | ||||
12 | 31 | 现付 | 001 | 应急民兵开支 | 1,000.00 | 175,207.65 | 16,325,157.48 | ||||
12 | 31 | 现付 | 002 | 治安员工资 | 8,000.00 | 167,207.65 | 16,325,157.48 | ||||
12 | 31 | 现付 | 003 | 困难户补助 | 4,000.00 | 163,207.65 | 16,325,157.48 | ||||
12 | 31 | 现付 | 004 | 医保社保开支 | 690.00 | 162,517.65 | 16,325,157.48 | ||||
12 | 31 | 现付 | 005 | 公共设施维护费用 | 8,000.00 | 154,517.65 | 16,325,157.48 | ||||
12 | 31 | 现付 | 006 | 办公费用 | 1,304.00 | 153,213.65 | 16,325,157.48 | ||||
12 | 31 | 现付 | 007 | 创文开支 | 31,225.00 | 121,988.65 | 16,325,157.48 | ||||
12 | 31 | 现付 | 008 | 干部工资 | 49,690.00 | 72,298.65 | 16,325,157.48 | ||||
12 | 31 | 现付 | 009 | 民主理财费用 | 700.00 | 71,598.65 | 16,325,157.48 | ||||
12 | 31 | 现付 | 010 | 会议费用 | 2,500.00 | 69,098.65 | 16,325,157.48 | ||||
12 | 31 | 现付 | 011 | 邮电费用 | 3,500.00 | 65,598.65 | 16,325,157.48 | ||||
12 | 31 | 现付 | 012 | 书报费 | 8,622.00 | 56,976.65 | 16,325,157.48 | ||||
12 | 31 | 现付 | 013 | 征地腾退分配调剂款 | 35,500.00 | 21,476.65 | 16,325,157.48 | ||||
12 | 31 | 本期合计 | 142,000.00 | 154,731.00 | 595,239.78 | 2,116,015.02 | |||||
12 | 31 | 本年累计 | 3,975,948.00 | 3,954,775.30 | 11,955,712.21 | 16,448,813.76 | |||||
单位负责人: | 出纳员: | 杨荣鹏 | 会计员: | 杨宋坚 | 村(居)务公开监督(理财)小组: |