大坝村2020年2月现金银行存款明细公布表
发布时间:2020-04-20 11:16:15
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现金银行存款明细公布表 |
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| 2020年1月 | ||||||||||
| 单位名称:大坝村 | 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 | |||
| 1 | 1 | 上年结转 | 631.29 | 201,731.84 | ||||||
| 1 | 31 | 现收 | 001 | 林少鹏赞助 | 200,000.00 | 200,631.29 | 201,731.84 | |||
| 1 | 31 | 现收 | 002 | 镇委拨主题教育经费 | 1,000.00 | 201,631.29 | 201,731.84 | |||
| 1 | 31 | 现收 | 003 | 市财政拨干部生活补贴 | 150,300.00 | 351,931.29 | 201,731.84 | |||
| 1 | 31 | 现收 | 004 | 向林少俊借款 | 39,600.00 | 391,531.29 | 201,731.84 | |||
| 1 | 31 | 现收 | 005 | 向张三利借款 | 19,600.00 | 411,131.29 | 201,731.84 | |||
| 1 | 31 | 现收 | 006 | 向陈自成借款 | 19,600.00 | 430,731.29 | 201,731.84 | |||
| 1 | 31 | 现收 | 007 | 向张少銮借款 | 9,600.00 | 440,331.29 | 201,731.84 | |||
| 1 | 31 | 现收 | 008 | 向林汉韦借款 | 19,600.00 | 459,931.29 | 201,731.84 | |||
| 1 | 31 | 现收 | 009 | 向张壮安借款 | 19,600.00 | 479,531.29 | 201,731.84 | |||
| 1 | 31 | 现收 | 010 | 向黄尤辉借款 | 9,600.00 | 489,131.29 | 201,731.84 | |||
| 1 | 31 | 现收 | 011 | 向张华南借款 | 9,600.00 | 498,731.29 | 201,731.84 | |||
| 1 | 31 | 现收 | 012 | 向谢诗苗借款 | 9,600.00 | 508,331.29 | 201,731.84 | |||
| 1 | 31 | 现收 | 013 | 向陈雪春借款 | 8,400.00 | 516,731.29 | 201,731.84 | |||
| 1 | 31 | 银付 | 001 | 提现金 | 110,000.00 | 626,731.29 | 110,000.00 | 91,731.84 | ||
| 1 | 31 | 银收 | 001 | 精神障碍监护补助 | 626,731.29 | 7,340.00 | 99,071.84 | |||
| 1 | 31 | 银收 | 002 | 镇财政拨经费补助 | 626,731.29 | 5,000.00 | 104,071.84 | |||
| 1 | 31 | 银收 | 003 | 镇财政拨垃圾清运补助 | 626,731.29 | 10,000.00 | 114,071.84 | |||
| 1 | 31 | 现付 | 001 | 还陈自成 | 65,000.00 | 561,731.29 | 114,071.84 | |||
| 1 | 31 | 现付 | 002 | 还陈坚合 | 2,100.00 | 559,631.29 | 114,071.84 | |||
| 1 | 31 | 现付 | 003 | 还林锡荣 | 2,100.00 | 557,531.29 | 114,071.84 | |||
| 1 | 31 | 现付 | 004 | 还张汉辉 | 2,100.00 | 555,431.29 | 114,071.84 | |||
| 1 | 31 | 现付 | 005 | 还张少民 | 500.00 | 554,931.29 | 114,071.84 | |||
| 1 | 31 | 现付 | 006 | 还林清奇 | 500.00 | 554,431.29 | 114,071.84 | |||
| 1 | 31 | 现付 | 007 | 精神障碍监护补助 | 7,340.00 | 547,091.29 | 114,071.84 | |||
| 1 | 31 | 现付 | 008 | 春节慰问困难党员 | 6,000.00 | 541,091.29 | 114,071.84 | |||
| 1 | 31 | 现付 | 009 | 春节慰问困难群众 | 6,800.00 | 534,291.29 | 114,071.84 | |||
| 1 | 31 | 现付 | 010 | 疫情防控消毒开支 | 2,150.00 | 532,141.29 | 114,071.84 | |||
| 1 | 31 | 现付 | 011 | 干部工资 | 335,100.00 | 197,041.29 | 114,071.84 | |||
| 1 | 31 | 现付 | 012 | 水费 | 150.00 | 196,891.29 | 114,071.84 | |||
| 1 | 31 | 现付 | 013 | 其他管理费用 | 62,550.00 | 134,341.29 | 114,071.84 | |||
| 1 | 31 | 现付 | 014 | 困难补助 | 1,000.00 | 133,341.29 | 114,071.84 | |||
| 1 | 31 | 现付 | 015 | 医保开支 | 16,100.00 | 117,241.29 | 114,071.84 | |||
| 1 | 31 | 现付 | 016 | 计生开支 | 16,800.00 | 100,441.29 | 114,071.84 | |||
| 1 | 31 | 现付 | 017 | 环卫开支 | 15,000.00 | 85,441.29 | 114,071.84 | |||
| 1 | 31 | 现付 | 018 | 治安开支 | 15,604.85 | 69,836.44 | 114,071.84 | |||
| 1 | 31 | 现付 | 019 | 三清三拆开支 | 39,040.00 | 30,796.44 | 114,071.84 | |||
| 1 | 31 | 现付 | 020 | 其他福利费用 | 22,200.00 | 8,596.44 | 114,071.84 | |||
| 1 | 31 | 现付 | 021 | 征兵民兵 | 7,475.00 | 1,121.44 | 114,071.84 | |||
| 1 | 31 | 本期合计 | 626,100.00 | 625,609.85 | 22,340.00 | 110,000.00 | ||||
| 1 | 31 | 本年累计 | 626,100.00 | 625,609.85 | 22,340.00 | 110,000.00 | ||||
| 单位负责人:林少俊 | 出纳员: | 陈自成 | 会计员: | 李惠展 | 村(居)务公开监督(理财)小组:陈坚合、林锡荣、张汉辉、张少民、林清奇 | |||||