| 铜联村2019年第三季度账目清单 |
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| 一 |
上期结余: |
存款: |
58326.34 |
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小计: |
58326.34 |
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| 二 |
本期收入: |
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| 1 |
收镇财转拨交通局道路补助款 |
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580000 |
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| 2 |
收区财政国库支付中心拨款 |
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40000 |
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| 3 |
收镇财转拨卫健厕改经费 |
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50000 |
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| 4 |
收镇财转拨三角坪路口至三角坪道路补助款 |
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10000 |
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| 5 |
收银行存款利息 |
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58.26 |
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小计: |
680058.26 |
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| 三 |
本期支出: |
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| 1 |
付银行短信收费 |
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10 |
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| 2 |
付乙肚水渠维修材料支出 |
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910 |
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| 3 |
付乙肚水渠维修工资支出 |
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1750 |
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| 4 |
付下陈1组入户便道水泥硬化支出 |
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1000 |
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| 5 |
付办公费用支出 |
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1010 |
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| 6 |
付村部电费 |
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1577.76 |
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| 7 |
付村部至小学道路硬化工程款 |
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79783 |
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| 8 |
付转账手续费 |
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10 |
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| 9 |
付铜石线工程进度款 |
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500000 |
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| 10 |
付转账手续费 |
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15 |
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| 11 |
付水渠维修等支出 |
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3720 |
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| 12 |
付电费 |
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338 |
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| 13 |
付社区篮球费用支出 |
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13802 |
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| 14 |
付会议补贴 |
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1100 |
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| 15 |
付银行银行短信收费 |
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10 |
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| 16 |
付幸福院工程进度款 |
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40000 |
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| 17 |
付转账手续费 |
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10 |
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| 18 |
付银行短信收费 |
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10 |
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小计: |
645055.76 |
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| 四 |
结算: |
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上期结余: |
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58326.34 |
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本期收入: |
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680058.26 |
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本期支出: |
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645055.76 |
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期末结存: |
银行存款 |
93328.84 |
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| 结算日期:2019年10月 结算单位:龙潭镇村财代理中心 |
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