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2022年7月财务公开
发布时间:2022-08-18 16:04:53
科目余额表
|
会计期间:2022年7月
|
单位名称:宝镜院村
|
|
|
科目代码
|
科目名称
|
期初余额
|
本期合计
|
本年累计
|
本期余额
|
借方
|
贷方
|
借方
|
贷方
|
借方
|
贷方
|
借方
|
贷方
|
101
|
现金
|
1,211.46
|
|
80,000.00
|
81,000.00
|
4,022,703.09
|
4,036,300.33
|
211.46
|
|
102
|
银行存款
|
2,855,120.17
|
|
110,000.00
|
339,845.00
|
5,334,726.30
|
4,917,677.44
|
2,625,275.17
|
|
102001
|
基本户
|
739,711.34
|
|
110,000.00
|
339,840.00
|
1,991,197.05
|
2,481,041.31
|
509,871.34
|
|
102001001
|
普宁市农村信用合作联社宝镜院分社
|
739,711.34
|
|
110,000.00
|
339,840.00
|
1,991,197.05
|
2,481,041.31
|
509,871.34
|
|
102004
|
其他户
|
2,115,408.83
|
|
|
5.00
|
3,343,529.25
|
2,436,636.13
|
2,115,403.83
|
|
102004001
|
建校专用户
|
141,786.55
|
|
|
5.00
|
1,351,948.94
|
2,158,679.56
|
141,781.55
|
|
102004002
|
普宁汇成银行
|
1,973,622.28
|
|
|
|
1,991,580.31
|
277,956.57
|
1,973,622.28
|
|
112
|
应收款
|
113,129.65
|
|
|
|
|
|
113,129.65
|
|
112004
|
其他应收款
|
113,129.65
|
|
|
|
|
|
113,129.65
|
|
151
|
固定资产
|
9,644,164.53
|
|
|
|
|
|
9,644,164.53
|
|
151002
|
管理用
|
9,039,106.37
|
|
|
|
|
|
9,039,106.37
|
|
151002001
|
房屋及建筑物
|
8,687,684.87
|
|
|
|
|
|
8,687,684.87
|
|
151002002
|
办公设备
|
340,521.50
|
|
|
|
|
|
340,521.50
|
|
151002004
|
其他
|
10,900.00
|
|
|
|
|
|
10,900.00
|
|
151003
|
公益用
|
605,058.16
|
|
|
|
|
|
605,058.16
|
|
154
|
在建工程
|
9,093,792.96
|
|
|
|
2,042,824.54
|
|
9,093,792.96
|
|
154003
|
公益用
|
9,093,792.96
|
|
|
|
2,042,824.54
|
|
9,093,792.96
|
|
154003001
|
其他
|
7,192,428.96
|
|
|
|
141,460.54
|
|
7,192,428.96
|
|
154003002
|
建校
|
1,901,364.00
|
|
|
|
1,901,364.00
|
|
1,901,364.00
|
|
201
|
短期借款
|
|
1,000,000.00
|
|
|
|
1,000,000.00
|
|
1,000,000.00
|
201003
|
个人借款
|
|
1,000,000.00
|
|
|
|
1,000,000.00
|
|
1,000,000.00
|
202
|
应付款
|
|
1,953,432.03
|
202,900.00
|
30,000.00
|
670,056.57
|
2,205,800.00
|
|
1,780,532.03
|
202002
|
押金
|
|
27,000.00
|
|
|
130,000.00
|
157,000.00
|
|
27,000.00
|
202003
|
暂收款
|
|
|
|
|
29,200.00
|
29,200.00
|
|
|
202003001
|
精神障碍患者救治监护人补助款
|
|
|
|
|
29,200.00
|
29,200.00
|
|
|
202004
|
其他应付款
|
|
1,926,432.03
|
202,900.00
|
30,000.00
|
510,856.57
|
2,019,600.00
|
|
1,753,532.03
|
202004002
|
农村生活污水处理设施建设资金
|
|
1,959,144.03
|
|
|
277,956.57
|
1,989,600.00
|
|
1,959,144.03
|
202004004
|
涉农统筹整合资金
|
|
-2,712.00
|
|
|
|
|
|
-2,712.00
|
202004005
|
抗旱排灌专项工程
|
|
-30,000.00
|
200,000.00
|
|
230,000.00
|
|
|
-230,000.00
|
202004006
|
人大联络站建设运作经费
|
|
|
2,900.00
|
30,000.00
|
2,900.00
|
30,000.00
|
|
27,100.00
|
212
|
应付福利费
|
|
-1,528,091.30
|
99,109.00
|
|
1,627,200.30
|
|
|
-1,627,200.30
|
212007
|
计划生育
|
|
-13,500.00
|
4,500.00
|
|
18,000.00
|
|
|
-18,000.00
|
212011
|
治安
|
|
-67,900.00
|
13,900.00
|
|
81,800.00
|
|
|
-81,800.00
|
212012
|
征兵民兵
|
|
-495.00
|
|
|
495.00
|
|
|
-495.00
|
212013
|
环境卫生
|
|
-376,395.00
|
42,490.00
|
|
418,885.00
|
|
|
-418,885.00
|
212015
|
教育及学校幼儿园补助
|
|
-25,000.00
|
|
|
25,000.00
|
|
|
-25,000.00
|
212019
|
公共设施维护
|
|
-872,366.75
|
38,219.00
|
|
910,585.75
|
|
|
-910,585.75
|
212024
|
森林防火
|
|
-4,700.00
|
|
|
4,700.00
|
|
|
-4,700.00
|
212025
|
慰问金
|
|
-49,500.00
|
|
|
49,500.00
|
|
|
-49,500.00
|
212029
|
其他福利费支出
|
|
-118,234.55
|
|
|
118,234.55
|
|
|
-118,234.55
|
311
|
公积公益金
|
|
19,492,719.64
|
1,560.00
|
80,000.00
|
172,037.37
|
957,688.00
|
|
19,571,159.64
|
311001
|
土地基金
|
|
1,789,914.70
|
|
|
|
|
|
1,789,914.70
|
311001004
|
其他来源
|
|
1,675,000.00
|
|
|
|
|
|
1,675,000.00
|
311001006
|
用于公益
|
|
-147,883.30
|
|
|
|
|
|
-147,883.30
|
311001008
|
其他
|
|
262,798.00
|
|
|
|
|
|
262,798.00
|
311002
|
公积金
|
|
16,950,916.94
|
1,560.00
|
80,000.00
|
172,037.37
|
205,800.00
|
|
17,029,356.94
|
311002002
|
接受捐赠资产
|
|
1,446,300.00
|
|
|
|
|
|
1,446,300.00
|
311002005
|
土地基金转入
|
|
14,550,915.83
|
|
|
130,440.00
|
|
|
14,550,915.83
|
311002006
|
其他来源
|
|
953,701.11
|
1,560.00
|
80,000.00
|
41,597.37
|
205,800.00
|
|
1,032,141.11
|
311002006001
|
办公经费
|
|
7,347.71
|
1,560.00
|
50,000.00
|
11,937.43
|
78,319.00
|
|
55,787.71
|
311002006002
|
党群服务群众专项经费
|
|
123,968.00
|
|
30,000.00
|
|
54,000.00
|
|
153,968.00
|
311002006003
|
水厂
|
|
822,385.40
|
|
|
29,659.94
|
73,481.00
|
|
822,385.40
|
311003
|
公益金
|
|
751,888.00
|
|
|
|
751,888.00
|
|
751,888.00
|
311003002
|
接受捐赠资产
|
|
751,888.00
|
|
|
|
751,888.00
|
|
751,888.00
|
321
|
本年收益
|
|
|
|
|
485,168.58
|
485,168.58
|
|
|
322
|
收益分配
|
|
-167,918.37
|
|
|
167,918.37
|
|
|
-167,918.37
|
322010
|
未分配收益
|
|
-167,918.37
|
|
|
167,918.37
|
|
|
-167,918.37
|
501
|
经营收入
|
|
381,646.88
|
|
5,000.00
|
|
386,646.88
|
|
386,646.88
|
501001
|
销售收入
|
|
212,825.37
|
|
|
|
212,825.37
|
|
212,825.37
|
501003
|
劳务收入
|
|
168,821.51
|
|
5,000.00
|
|
173,821.51
|
|
173,821.51
|
502
|
经营支出
|
343,228.40
|
|
2,200.00
|
|
345,428.40
|
|
345,428.40
|
|
502001
|
销售成本
|
176,711.91
|
|
|
|
176,711.91
|
|
176,711.91
|
|
502003
|
提供劳务成本
|
166,325.61
|
|
1,200.00
|
|
167,525.61
|
|
167,525.61
|
|
502004
|
其他经营成本
|
190.88
|
|
1,000.00
|
|
1,190.88
|
|
1,190.88
|
|
511
|
发包及上交收入
|
|
1,113,237.00
|
|
|
41,330.00
|
1,154,567.00
|
|
1,113,237.00
|
511001
|
承包金
|
|
1,113,237.00
|
|
|
41,330.00
|
1,154,567.00
|
|
1,113,237.00
|
511001001
|
土地承包金
|
|
1,113,237.00
|
|
|
|
1,113,237.00
|
|
1,113,237.00
|
511001006
|
其他承包金
|
|
|
|
|
41,330.00
|
41,330.00
|
|
|
522
|
补助收入
|
|
8,798.00
|
|
|
52,619.00
|
61,417.00
|
|
8,798.00
|
522001
|
中央及省级财政补助
|
|
|
|
|
52,319.00
|
52,319.00
|
|
|
522003
|
县级财政补助
|
|
4,548.00
|
|
|
300.00
|
4,848.00
|
|
4,548.00
|
522004
|
镇级财政补助
|
|
4,250.00
|
|
|
|
4,250.00
|
|
4,250.00
|
531
|
其他收入
|
|
4,221.30
|
|
|
275,620.21
|
279,841.51
|
|
4,221.30
|
531001
|
存款利息收入
|
|
4,221.30
|
|
|
|
4,221.30
|
|
4,221.30
|
531006
|
其他
|
|
|
|
|
275,620.21
|
275,620.21
|
|
|
531006001
|
农田水电电表款等收入
|
|
|
|
|
243,620.21
|
243,620.21
|
|
|
531006003
|
建校资金
|
|
|
|
|
32,000.00
|
32,000.00
|
|
|
541
|
管理费用
|
207,216.00
|
|
40,050.00
|
|
493,011.00
|
245,745.00
|
247,266.00
|
|
541001
|
干部报酬
|
53,000.00
|
|
13,250.00
|
|
92,750.00
|
26,500.00
|
66,250.00
|
|
541002
|
其他管理及固定人员报酬
|
129,000.00
|
|
26,000.00
|
|
229,400.00
|
74,400.00
|
155,000.00
|
|
541008
|
修缮费
|
|
|
|
|
9,305.00
|
9,305.00
|
|
|
541009
|
民主理财费用
|
|
|
|
|
14,400.00
|
14,400.00
|
|
|
541010
|
误工补贴
|
14,056.00
|
|
|
|
123,696.00
|
109,640.00
|
14,056.00
|
|
541012
|
会议费
|
10,560.00
|
|
800.00
|
|
11,360.00
|
|
11,360.00
|
|
541018
|
其他费用
|
600.00
|
|
|
|
12,100.00
|
11,500.00
|
600.00
|
|
551
|
其他支出
|
182.01
|
|
26.00
|
|
239,631.59
|
239,423.58
|
208.01
|
|
551008
|
其他
|
182.01
|
|
26.00
|
|
239,631.59
|
239,423.58
|
208.01
|
|
551008001
|
农田水电费.工资等支出
|
|
|
|
|
239,315.58
|
239,315.58
|
|
|
551008002
|
其他
|
182.01
|
|
26.00
|
|
316.01
|
108.00
|
208.01
|
|
合计
|
|
22,258,045.18
|
22,258,045.18
|
535,845.00
|
535,845.00
|
15,970,275.32
|
15,970,275.32
|
22,069,476.18
|
22,069,476.18
|
单位负责人:
|
|
|
制表人:
|
|
打印日期:
|
2022-08-18
|
现金银行存款明细公布表
|
2022年7月
|
|
|
|
|
|
|
|
|
|
|
|
单位名称:宝镜院村
|
|
|
|
|
单位:元
|
2022年
|
编号
|
经手人
|
摘要
|
库存现金
|
银行存款
|
月
|
日
|
收
|
支
|
余额
|
收
|
支
|
余额
|
|
|
|
|
|
|
|
|
|
|
|
|
7
|
1
|
|
|
|
上期结转
|
|
|
1,211.46
|
|
|
2,855,120.17
|
7
|
31
|
现收
|
001
|
林壁辉
|
收入-农田水电表款
|
5,000.00
|
|
6,211.46
|
|
|
2,855,120.17
|
7
|
31
|
银收
|
001
|
林壁辉
|
收人大联络站工作及建设经费
|
|
|
6,211.46
|
30,000.00
|
|
2,885,120.17
|
7
|
31
|
银收
|
002
|
林壁辉
|
收2022上半年办公经费
|
|
|
6,211.46
|
50,000.00
|
|
2,935,120.17
|
7
|
31
|
银收
|
003
|
林壁辉
|
收2022上半年党务专项经费
|
|
|
6,211.46
|
30,000.00
|
|
2,965,120.17
|
7
|
31
|
银付
|
001
|
林壁辉
|
银行业务开支
|
|
|
6,211.46
|
|
21.00
|
2,965,099.17
|
7
|
31
|
银付
|
002
|
林壁辉
|
银行业务开支
|
|
|
6,211.46
|
|
5.00
|
2,965,094.17
|
7
|
31
|
银付
|
003
|
林壁辉
|
取款
|
75,000.00
|
|
81,211.46
|
|
75,000.00
|
2,890,094.17
|
7
|
31
|
银付
|
004
|
林壁辉
|
环境卫生
|
|
|
81,211.46
|
|
26,800.00
|
2,863,294.17
|
7
|
31
|
银付
|
005
|
林壁辉
|
公共设施维护
|
|
|
81,211.46
|
|
38,019.00
|
2,825,275.17
|
7
|
31
|
银付
|
006
|
林壁辉
|
抗旱排灌沟工程建设款项
|
|
|
81,211.46
|
|
200,000.00
|
2,625,275.17
|
7
|
31
|
现付
|
001
|
林壁辉
|
会议
|
|
800.00
|
80,411.46
|
|
|
2,625,275.17
|
7
|
31
|
现付
|
002
|
林壁辉
|
公共设施维护
|
|
200.00
|
80,211.46
|
|
|
2,625,275.17
|
7
|
31
|
现付
|
003
|
林壁辉
|
计生
|
|
4,500.00
|
75,711.46
|
|
|
2,625,275.17
|
7
|
31
|
现付
|
004
|
林壁辉
|
办公经费支付
|
|
1,560.00
|
74,151.46
|
|
|
2,625,275.17
|
7
|
31
|
现付
|
005
|
林壁辉
|
人大联络站经费支付
|
|
2,900.00
|
71,251.46
|
|
|
2,625,275.17
|
7
|
31
|
现付
|
006
|
林壁辉
|
退还电表款
|
|
1,000.00
|
70,251.46
|
|
|
2,625,275.17
|
7
|
31
|
现付
|
007
|
林壁辉
|
水厂劳务开支
|
|
1,200.00
|
69,051.46
|
|
|
2,625,275.17
|
7
|
31
|
现付
|
008
|
林壁辉
|
两委生活补贴
|
|
13,250.00
|
55,801.46
|
|
|
2,625,275.17
|
7
|
31
|
现付
|
009
|
林壁辉
|
其他管理及固定人员报酬
|
|
26,000.00
|
29,801.46
|
|
|
2,625,275.17
|
7
|
31
|
现付
|
010
|
林壁辉
|
治安开支
|
|
13,900.00
|
15,901.46
|
|
|
2,625,275.17
|
7
|
31
|
现付
|
011
|
林壁辉
|
环境卫生
|
|
15,690.00
|
211.46
|
|
|
2,625,275.17
|
7
|
31
|
|
|
|
本期合计
|
80,000.00
|
81,000.00
|
|
110,000.00
|
339,845.00
|
|
7
|
31
|
|
|
|
本年累计
|
4,022,703.09
|
4,036,300.33
|
|
5,334,726.30
|
4,917,677.44
|
|
|
|
|
|
|
|
|
|
|
|
|
|
单位负责人:
|
|
出纳员:
|
|
会计员:
|
|
村(居)务公开监督(理财)小组:
|
|
资产负债表
|
|
|
|
会计期间:2022年7月
|
|
|
|
单位名称:宝镜院村
|
|
村会01表
|
单位:元
|
资产
|
行次
|
年初数
|
期末数
|
负债及所有者权益
|
行次
|
年初数
|
期末数
|
流动资产:
|
1
|
|
|
流动负债:
|
28
|
|
|
货币资金
|
2
|
2,222,035.01
|
2,625,486.63
|
短期借款
|
29
|
0.00
|
1,000,000.00
|
其中:现金
|
3
|
13,808.70
|
211.46
|
应付款项
|
30
|
244,788.60
|
1,780,532.03
|
银行存款
|
4
|
2,208,226.31
|
2,625,275.17
|
应付工资
|
31
|
|
|
短期投资
|
5
|
|
|
应付福利费
|
32
|
0.00
|
-1,627,200.30
|
应收款项
|
6
|
113,129.65
|
113,129.65
|
|
|
|
|
存货
|
7
|
|
|
流动负债合计
|
33
|
244,788.60
|
1,153,331.73
|
流动资产合计
|
8
|
2,335,164.66
|
2,738,616.28
|
|
|
|
|
|
|
|
|
长期负债:
|
34
|
|
|
农业资产:
|
9
|
|
|
长期借款及应付款
|
35
|
|
|
牲畜(禽)资产
|
10
|
|
|
|
|
|
|
林木资产
|
11
|
|
|
长期负债合计
|
36
|
|
|
农业资产合计
|
12
|
|
|
|
|
|
|
|
|
|
|
其他负债:
|
37
|
|
|
长期资产:
|
13
|
|
|
一事一议资金
|
38
|
|
|
长期投资
|
14
|
|
|
专项应付款
|
39
|
|
|
长期待摊费用
|
15
|
|
|
递延收入
|
40
|
|
|
长期资产合计
|
16
|
|
|
|
|
|
|
|
|
|
|
其他负债合计
|
41
|
|
|
固定资产:
|
17
|
|
|
|
|
|
|
固定资产原值
|
18
|
9,644,164.53
|
9,644,164.53
|
|
|
|
|
减:累计折旧
|
19
|
|
|
负债合计
|
42
|
244,788.60
|
1,153,331.73
|
固定资产净值
|
20
|
9,644,164.53
|
9,644,164.53
|
|
|
|
|
固定资产清理
|
21
|
|
|
|
|
|
|
在建工程
|
22
|
7,050,968.42
|
9,093,792.96
|
所有者权益:
|
43
|
|
|
固定资产合计
|
23
|
16,695,132.95
|
18,737,957.49
|
资本
|
44
|
|
|
|
|
|
|
公积公益金
|
45
|
18,785,509.01
|
19,571,159.64
|
无形资产:
|
24
|
|
|
未分配收益
|
46
|
0.00
|
752,082.40
|
无形资产
|
25
|
|
|
所有者权益合计
|
47
|
18,785,509.01
|
20,323,242.04
|
无形资产累计摊销
|
26
|
|
|
|
|
|
|
资产总计
|
27
|
19,030,297.61
|
21,476,573.77
|
负债及所有者权益总计
|
48
|
19,030,297.61
|
21,476,573.77
|
单位负责人:
|
制表人:
|
|
会计:
|
监委会(监事会):
|
|