虎林镇桦树村2021年6月份财务收支明细表 | |||||
2021 | 摘要 | 借方 | 贷方 | 方向 | 余额 |
月 | |||||
6 | 存现 | 5,132.00 | 借 | 2,898,215.97 | |
6 | 发放一季度光伏电站收益 | 3,800.00 | 借 | 2,894,415.97 | |
6 | 发放2021-2023年蔬菜园土地租金款 | 84,000.00 | 借 | 2,810,415.97 | |
6 | 付宣传图版、汇兑手续费 | 129.99 | 借 | 2,810,285.98 | |
6 | 存现 | 1,010.40 | 借 | 2,811,296.38 | |
6 | 存现 | 7,476.00 | 借 | 2,818,772.38 | |
6 | 存现 | 24,724.80 | 借 | 2,843,497.18 | |
6 | 存现 | 12,044.80 | 借 | 2,855,541.98 | |
6 | 付安装旗杆材料人工费、汇兑手续费 | 1,505.00 | 借 | 2,854,036.98 | |
6 | 付图纸费、汇兑手续费 | 805 | 借 | 2,853,231.98 | |
6 | 付吸污车维修材料款 | 206 | 借 | 2,853,025.98 | |
6 | 付上鸡西应诉用油款 | 285 | 借 | 2,852,740.98 | |
6 | 付液压油款、汇兑手续费 | 2,345.00 | 借 | 2,850,395.98 | |
6 | 付垃圾车油款 | 3,760.00 | 借 | 2,846,635.98 | |
6 | 存现 | 500 | 借 | 2,847,135.98 | |
6 | 存现 | 4,000.00 | 借 | 2,851,135.98 | |
6 | 存现 | 354 | 借 | 2,851,489.98 | |
6 | 付维修费、汇兑手续费 | 1,005.00 | 借 | 2,850,484.98 | |
6 | 付字牌款、汇兑手续费 | 4,805.00 | 借 | 2,845,679.98 | |
6 | 付材料款、汇兑手续费 | 670 | 借 | 2,845,009.98 | |
6 | 付灭草剂款、汇兑手续费 | 4,410.00 | 借 | 2,840,599.98 | |
6 | 付汇兑手续费、办公用品款 | 1,930.00 | 借 | 2,838,669.98 | |
6 | 存现 | 13,017.60 | 借 | 2,851,687.58 | |
6 | 存现 | 18,541.60 | 借 | 2,870,229.18 | |
6 | 存现 | 7,508.80 | 借 | 2,877,737.98 | |
6 | 付质保金款 | 22,500.00 | 借 | 2,855,237.98 | |
6 | 二季度存款利息 | 2,718.07 | 借 | 2,857,956.05 | |
6 | 购支票 | 8.4 | 借 | 2,857,947.65 | |
6 | 付电费、汇兑手续费 | 271.25 | 借 | 2,857,676.40 | |
6 | 存现 | 5,132.00 | 借 | 2,898,215.97 | |
6 | 发放一季度光伏电站收益 | 3,800.00 | 借 | 2,894,415.97 | |
6 | 发放2021-2023年蔬菜园土地租金款 | 84,000.00 | 借 | 2,810,415.97 | |
6 | 付宣传图版、汇兑手续费 | 129.99 | 借 | 2,810,285.98 | |
6 | 存现 | 1,010.40 | 借 | 2,811,296.38 | |
6 | 存现 | 7,476.00 | 借 | 2,818,772.38 | |
6 | 存现 | 24,724.80 | 借 | 2,843,497.18 | |
6 | 存现 | 12,044.80 | 借 | 2,855,541.98 | |
6 | 付安装旗杆材料人工费、汇兑手续费 | 1,505.00 | 借 | 2,854,036.98 | |
6 | 付图纸费、汇兑手续费 | 805 | 借 | 2,853,231.98 | |
6 | 付吸污车维修材料款 | 206 | 借 | 2,853,025.98 | |
6 | 付上鸡西应诉用油款 | 285 | 借 | 2,852,740.98 | |
6 | 付液压油款、汇兑手续费 | 2,345.00 | 借 | 2,850,395.98 | |
6 | 付垃圾车油款 | 3,760.00 | 借 | 2,846,635.98 | |
6 | 存现 | 500 | 借 | 2,847,135.98 | |
6 | 存现 | 4,000.00 | 借 | 2,851,135.98 | |
6 | 存现 | 354 | 借 | 2,851,489.98 | |
6 | 付维修费、汇兑手续费 | 1,005.00 | 借 | 2,850,484.98 | |
6 | 付字牌款、汇兑手续费 | 4,805.00 | 借 | 2,845,679.98 | |
6 | 付材料款、汇兑手续费 | 670 | 借 | 2,845,009.98 | |
6 | 付灭草剂款、汇兑手续费 | 4,410.00 | 借 | 2,840,599.98 | |
6 | 付汇兑手续费、办公用品款 | 1,930.00 | 借 | 2,838,669.98 | |
6 | 存现 | 13,017.60 | 借 | 2,851,687.58 | |
6 | 存现 | 18,541.60 | 借 | 2,870,229.18 | |
6 | 存现 | 7,508.80 | 借 | 2,877,737.98 | |
6 | 付质保金款 | 22,500.00 | 借 | 2,855,237.98 | |
6 | 二季度存款利息 | 2,718.07 | 借 | 2,857,956.05 | |
6 | 购支票 | 8.4 | 借 | 2,857,947.65 | |
6 | 付电费、汇兑手续费 | 271.25 | 借 | 2,857,676.40 |
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