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2023年3月财务公开
发布时间:2023-04-04 09:21:43
科目余额表
|
会计期间:2023年3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
|
1,119.29
|
|
844,052.21
|
844,733.86
|
1,371,442.31
|
1,371,853.24
|
437.64
|
|
102
|
银行存款
|
2,660,721.26
|
|
664,296.43
|
722,980.70
|
1,107,544.43
|
1,439,575.13
|
2,602,036.99
|
|
102001
|
基本户
|
246,972.46
|
|
662,415.74
|
722,975.70
|
1,026,635.74
|
1,360,532.13
|
186,412.50
|
|
102001001
|
普宁市农村信用合作联社宝镜院分社
|
246,972.46
|
|
662,415.74
|
722,975.70
|
1,026,635.74
|
1,360,532.13
|
186,412.50
|
|
102004
|
其他户
|
2,413,748.80
|
|
1,880.69
|
5.00
|
80,908.69
|
79,043.00
|
2,415,624.49
|
|
102004001
|
建校专用户
|
199,827.33
|
|
239.78
|
5.00
|
239.78
|
15.00
|
200,062.11
|
|
102004002
|
普宁汇成银行
|
2,213,921.47
|
|
1,640.91
|
|
80,668.91
|
79,028.00
|
2,215,562.38
|
|
112
|
应收款
|
113,129.65
|
|
49,429.00
|
12,004.00
|
128,457.00
|
91,032.00
|
150,554.65
|
|
112003
|
暂付款
|
|
|
37,425.00
|
|
37,425.00
|
|
37,425.00
|
|
112004
|
其他应收款
|
113,129.65
|
|
12,004.00
|
12,004.00
|
91,032.00
|
91,032.00
|
113,129.65
|
|
151
|
固定资产
|
10,096,739.43
|
|
|
|
57,341.43
|
|
10,096,739.43
|
|
151001
|
生产经营用
|
444,074.90
|
|
|
|
48,841.43
|
|
444,074.90
|
|
151001002
|
机器设备
|
48,841.43
|
|
|
|
48,841.43
|
|
48,841.43
|
|
151001003
|
基础设施
|
395,233.47
|
|
|
|
|
|
395,233.47
|
|
151002
|
管理用
|
9,047,606.37
|
|
|
|
8,500.00
|
|
9,047,606.37
|
|
151002001
|
房屋及建筑物
|
8,687,684.87
|
|
|
|
|
|
8,687,684.87
|
|
151002002
|
办公设备
|
349,021.50
|
|
|
|
8,500.00
|
|
349,021.50
|
|
151002004
|
其他
|
10,900.00
|
|
|
|
|
|
10,900.00
|
|
151003
|
公益用
|
605,058.16
|
|
|
|
|
|
605,058.16
|
|
154
|
在建工程
|
9,581,346.27
|
|
24,416.37
|
|
130,790.85
|
|
9,605,762.64
|
|
154003
|
公益用
|
9,551,846.27
|
|
19,136.37
|
|
125,510.85
|
|
9,570,982.64
|
|
154003001
|
其他
|
7,294,442.96
|
|
|
|
100,000.00
|
|
7,294,442.96
|
|
154003002
|
建校
|
2,243,403.31
|
|
17,136.37
|
|
23,510.85
|
|
2,260,539.68
|
|
154003003
|
垃圾中转站建设工程
|
14,000.00
|
|
2,000.00
|
|
2,000.00
|
|
16,000.00
|
|
154004
|
支农用
|
29,500.00
|
|
5,280.00
|
|
5,280.00
|
|
34,780.00
|
|
154004001
|
鸡笼山至北坑填土工程
|
7,000.00
|
|
2,000.00
|
|
2,000.00
|
|
9,000.00
|
|
154004002
|
鸡笼山排水沟工程
|
22,500.00
|
|
3,280.00
|
|
3,280.00
|
|
25,780.00
|
|
201
|
短期借款
|
|
1,600,000.00
|
|
500,000.00
|
|
500,000.00
|
|
2,100,000.00
|
201003
|
个人借款
|
|
1,600,000.00
|
|
500,000.00
|
|
500,000.00
|
|
2,100,000.00
|
202
|
应付款
|
|
2,363,752.18
|
3,000.00
|
150,000.00
|
40,665.00
|
327,720.00
|
|
2,510,752.18
|
202002
|
押金
|
|
65,000.00
|
|
|
|
|
|
65,000.00
|
202003
|
暂收款
|
|
|
|
|
27,720.00
|
27,720.00
|
|
|
202003001
|
精神障碍患者救治监护人补助款
|
|
|
|
|
27,720.00
|
27,720.00
|
|
|
202004
|
其他应付款
|
|
2,298,752.18
|
3,000.00
|
150,000.00
|
12,945.00
|
300,000.00
|
|
2,445,752.18
|
202004002
|
农村生活污水处理设施建设资金
|
|
1,796,769.04
|
|
|
|
|
|
1,796,769.04
|
202004004
|
涉农统筹整合资金
|
|
-2,712.00
|
|
|
|
|
|
-2,712.00
|
202004005
|
抗旱排灌专项工程
|
|
31,830.14
|
3,000.00
|
|
3,000.00
|
|
|
28,830.14
|
202004006
|
人大联络站建设运作经费
|
|
17,510.00
|
|
|
|
|
|
17,510.00
|
202004007
|
第二批乡村振兴专项资金
|
|
305,300.00
|
|
|
|
|
|
305,300.00
|
202004008
|
军人服务站示范性建设资金
|
|
55.00
|
|
|
9,945.00
|
|
|
55.00
|
202004009
|
马湖花卉建设资金
|
|
150,000.00
|
|
150,000.00
|
|
300,000.00
|
|
300,000.00
|
212
|
应付福利费
|
|
-304,438.56
|
68,989.98
|
|
473,428.54
|
100,000.00
|
|
-373,428.54
|
212007
|
计划生育
|
|
-14,500.00
|
18,600.00
|
|
33,100.00
|
|
|
-33,100.00
|
212011
|
治安
|
|
-53,350.00
|
27,800.00
|
|
81,150.00
|
|
|
-81,150.00
|
212012
|
征兵民兵
|
|
-1,334.00
|
|
|
1,334.00
|
|
|
-1,334.00
|
212013
|
环境卫生
|
|
-136,985.00
|
13,190.00
|
|
150,175.00
|
|
|
-150,175.00
|
212019
|
公共设施维护
|
|
-79,469.56
|
9,399.98
|
|
188,869.54
|
100,000.00
|
|
-88,869.54
|
212025
|
慰问金
|
|
-18,800.00
|
|
|
18,800.00
|
|
|
-18,800.00
|
311
|
公积公益金
|
|
18,739,639.51
|
502,915.57
|
|
510,494.58
|
8,500.00
|
|
18,236,723.94
|
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
|
|
16,067,836.81
|
502,915.57
|
|
510,494.58
|
8,500.00
|
|
15,564,921.24
|
311002002
|
接受捐赠资产
|
|
1,886,300.00
|
|
|
|
|
|
1,886,300.00
|
311002005
|
土地基金转入
|
|
13,127,544.12
|
498,697.00
|
|
498,697.00
|
8,500.00
|
|
12,628,847.12
|
311002006
|
其他来源
|
|
1,053,992.69
|
4,218.57
|
|
11,797.58
|
|
|
1,049,774.12
|
311002006001
|
办公经费
|
|
56,039.29
|
4,218.57
|
|
11,797.58
|
|
|
51,820.72
|
311002006002
|
党群服务群众专项经费
|
|
175,568.00
|
|
|
|
|
|
175,568.00
|
311002006003
|
水厂
|
|
822,385.40
|
|
|
|
|
|
822,385.40
|
311003
|
公益金
|
|
881,888.00
|
|
|
|
|
|
881,888.00
|
311003002
|
接受捐赠资产
|
|
881,888.00
|
|
|
|
|
|
881,888.00
|
501
|
经营收入
|
|
116,550.10
|
|
149,987.21
|
|
266,537.31
|
|
266,537.31
|
501001
|
销售收入
|
|
99,050.10
|
|
130,987.21
|
|
230,037.31
|
|
230,037.31
|
501002
|
出租收入
|
|
11,500.00
|
|
19,000.00
|
|
30,500.00
|
|
30,500.00
|
501003
|
劳务收入
|
|
6,000.00
|
|
|
|
6,000.00
|
|
6,000.00
|
502
|
经营支出
|
71,979.33
|
|
139,192.64
|
|
211,171.97
|
|
211,171.97
|
|
502001
|
销售成本
|
57,779.33
|
|
106,479.04
|
|
164,258.37
|
|
164,258.37
|
|
502003
|
提供劳务成本
|
12,300.00
|
|
20,000.00
|
|
32,300.00
|
|
32,300.00
|
|
502004
|
其他经营成本
|
1,900.00
|
|
12,713.60
|
|
14,613.60
|
|
14,613.60
|
|
511
|
发包及上交收入
|
|
162,820.00
|
|
2,200.00
|
|
165,020.00
|
|
165,020.00
|
511001
|
承包金
|
|
162,820.00
|
|
2,200.00
|
|
165,020.00
|
|
165,020.00
|
511001001
|
土地承包金
|
|
162,820.00
|
|
2,200.00
|
|
165,020.00
|
|
165,020.00
|
522
|
补助收入
|
|
300.00
|
|
291.00
|
|
591.00
|
|
591.00
|
522002
|
市级财政补助
|
|
|
|
291.00
|
|
291.00
|
|
291.00
|
522004
|
镇级财政补助
|
|
300.00
|
|
|
|
300.00
|
|
300.00
|
531
|
其他收入
|
|
|
|
3,441.43
|
|
3,441.43
|
|
3,441.43
|
531001
|
存款利息收入
|
|
|
|
2,001.43
|
|
2,001.43
|
|
2,001.43
|
531006
|
其他
|
|
|
|
1,440.00
|
|
1,440.00
|
|
1,440.00
|
531006002
|
其他
|
|
|
|
1,440.00
|
|
1,440.00
|
|
1,440.00
|
541
|
管理费用
|
90,336.00
|
|
89,300.00
|
|
179,636.00
|
|
179,636.00
|
|
541001
|
干部报酬
|
13,250.00
|
|
26,500.00
|
|
39,750.00
|
|
39,750.00
|
|
541002
|
其他管理及固定人员报酬
|
40,100.00
|
|
52,600.00
|
|
92,700.00
|
|
92,700.00
|
|
541010
|
误工补贴
|
36,986.00
|
|
|
|
36,986.00
|
|
36,986.00
|
|
541012
|
会议费
|
|
|
10,200.00
|
|
10,200.00
|
|
10,200.00
|
|
551
|
其他支出
|
63,252.00
|
|
46.00
|
|
63,298.00
|
|
63,298.00
|
|
551008
|
其他
|
63,252.00
|
|
46.00
|
|
63,298.00
|
|
63,298.00
|
|
551008002
|
其他
|
63,252.00
|
|
46.00
|
|
63,298.00
|
|
63,298.00
|
|
合计
|
|
22,678,623.23
|
22,678,623.23
|
2,385,638.20
|
2,385,638.20
|
4,274,270.11
|
4,274,270.11
|
22,909,637.32
|
22,909,637.32
|
单位负责人:
|
|
|
制表人:
|
|
打印日期:
|
2023-04-18
|
现金银行存款明细公布表
|
2023年3月
|
|
|
|
|
|
|
|
|
|
|
|
单位名称:宝镜院村
|
|
|
|
|
单位:元
|
2023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
|
|
|
|
|
|
|
|
|
|
|
|
|
3
|
1
|
|
|
|
上期结转
|
|
|
1,119.29
|
|
|
2,660,721.26
|
3
|
31
|
现收
|
001
|
林壁辉
|
山园租金
|
2,200.00
|
|
3,319.29
|
|
|
2,660,721.26
|
3
|
31
|
现收
|
002
|
林壁辉
|
收村民电费
|
103,011.21
|
|
106,330.50
|
|
|
2,660,721.26
|
3
|
31
|
现收
|
003
|
林壁辉
|
水费
|
27,976.00
|
|
134,306.50
|
|
|
2,660,721.26
|
3
|
31
|
现收
|
004
|
林壁辉
|
水电表开户
|
19,000.00
|
|
153,306.50
|
|
|
2,660,721.26
|
3
|
31
|
现收
|
005
|
林壁辉
|
向村民陈秋良借款
|
500,000.00
|
|
653,306.50
|
|
|
2,660,721.26
|
3
|
31
|
现收
|
006
|
林壁辉
|
收回多发务工款
|
1,440.00
|
|
654,746.50
|
|
|
2,660,721.26
|
3
|
31
|
银收
|
001
|
林壁辉
|
建校户利息
|
|
|
654,746.50
|
239.78
|
|
2,660,961.04
|
3
|
31
|
银收
|
002
|
林壁辉
|
基本户利息
|
|
|
654,746.50
|
120.74
|
|
2,661,081.78
|
3
|
31
|
银收
|
003
|
林壁辉
|
雨污分流户利息
|
|
|
654,746.50
|
1,640.91
|
|
2,662,722.69
|
3
|
31
|
银收
|
004
|
林壁辉
|
马湖转来花卉苗木建设资金
|
|
|
654,746.50
|
150,000.00
|
|
2,812,722.69
|
3
|
31
|
银收
|
005
|
林壁辉
|
市拨公益林补助款
|
|
|
654,746.50
|
291.00
|
|
2,813,013.69
|
3
|
31
|
银收
|
006
|
林壁辉
|
收回错汇资金
|
|
|
654,746.50
|
12,004.00
|
|
2,825,017.69
|
3
|
31
|
银付
|
001
|
林壁辉
|
水厂购置材料
|
|
|
654,746.50
|
|
5,981.70
|
2,819,035.99
|
3
|
31
|
银付
|
002
|
林壁辉
|
鸡笼山填土工程预算审核费用
|
|
|
654,746.50
|
|
2,000.00
|
2,817,035.99
|
3
|
31
|
银付
|
003
|
林壁辉
|
新学校实验检测预算审核开支
|
|
|
654,746.50
|
|
2,000.00
|
2,815,035.99
|
3
|
31
|
银付
|
004
|
林壁辉
|
鸡笼山至北坑路排水管工程预算审核开支
|
|
|
654,746.50
|
|
3,280.00
|
2,811,755.99
|
3
|
31
|
银付
|
005
|
林壁辉
|
垃圾中转站建设预算审核费用
|
|
|
654,746.50
|
|
2,000.00
|
2,809,755.99
|
3
|
31
|
银付
|
006
|
林壁辉
|
垃圾收集转运预算审核费用
|
|
|
654,746.50
|
|
2,000.00
|
2,807,755.99
|
3
|
31
|
银付
|
007
|
林壁辉
|
抗旱排灌工程预算审核开支
|
|
|
654,746.50
|
|
3,000.00
|
2,804,755.99
|
3
|
31
|
银付
|
008
|
林壁辉
|
取款
|
190,425.00
|
|
845,171.50
|
|
190,425.00
|
2,614,330.99
|
3
|
31
|
银付
|
009
|
林壁辉
|
错汇款项及被扣手续费
|
|
|
845,171.50
|
|
12,004.00
|
2,602,326.99
|
3
|
31
|
现付
|
001
|
林壁辉
|
现金存入银行
|
|
500,000.00
|
345,171.50
|
500,000.00
|
|
3,102,326.99
|
3
|
31
|
银付
|
010
|
林壁辉
|
办公经费支付
|
|
|
345,171.50
|
|
3,147.00
|
3,099,179.99
|
3
|
31
|
银付
|
011
|
林壁辉
|
银行业务开支
|
|
|
345,171.50
|
|
5.00
|
3,099,174.99
|
3
|
31
|
银付
|
012
|
林壁辉
|
银行业务
|
|
|
345,171.50
|
|
41.00
|
3,099,133.99
|
3
|
31
|
银付
|
013
|
林壁辉
|
上缴财政局垫付耕地占用等税费
|
|
|
345,171.50
|
|
497,097.00
|
2,602,036.99
|
3
|
31
|
现付
|
002
|
林壁辉
|
公共设施
|
|
9,399.98
|
335,771.52
|
|
|
2,602,036.99
|
3
|
31
|
现付
|
003
|
林壁辉
|
厝局测绘开支
|
|
1,600.00
|
334,171.52
|
|
|
2,602,036.99
|
3
|
31
|
现付
|
004
|
林壁辉
|
办公经费
|
|
1,071.57
|
333,099.95
|
|
|
2,602,036.99
|
3
|
31
|
现付
|
005
|
林壁辉
|
退水表款及农田水电开支
|
|
6,731.90
|
326,368.05
|
|
|
2,602,036.99
|
3
|
31
|
现付
|
006
|
林壁辉
|
治安开支
|
|
27,800.00
|
298,568.05
|
|
|
2,602,036.99
|
3
|
31
|
现付
|
007
|
林壁辉
|
计生
|
|
18,600.00
|
279,968.05
|
|
|
2,602,036.99
|
3
|
31
|
现付
|
008
|
林壁辉
|
环境卫生
|
|
11,190.00
|
268,778.05
|
|
|
2,602,036.99
|
3
|
31
|
现付
|
009
|
林壁辉
|
两委生活补贴
|
|
26,500.00
|
242,278.05
|
|
|
2,602,036.99
|
3
|
31
|
现付
|
010
|
林壁辉
|
会议开支
|
|
10,200.00
|
232,078.05
|
|
|
2,602,036.99
|
3
|
31
|
现付
|
011
|
林壁辉
|
其他管理及固定人员报酬
|
|
52,600.00
|
179,478.05
|
|
|
2,602,036.99
|
3
|
31
|
现付
|
012
|
林壁辉
|
水厂劳务开支
|
|
20,000.00
|
159,478.05
|
|
|
2,602,036.99
|
3
|
31
|
现付
|
013
|
林壁辉
|
新学校电费
|
|
15,136.37
|
144,341.68
|
|
|
2,602,036.99
|
3
|
31
|
现付
|
014
|
林壁辉
|
农田水电费
|
|
106,479.04
|
37,862.64
|
|
|
2,602,036.99
|
3
|
31
|
现付
|
015
|
林壁辉
|
上缴国土其他国有资源有偿使用费
|
|
37,425.00
|
437.64
|
|
|
2,602,036.99
|
3
|
31
|
|
|
|
本期合计
|
844,052.21
|
844,733.86
|
|
664,296.43
|
722,980.70
|
|
3
|
31
|
|
|
|
本年累计
|
1,371,442.31
|
1,371,853.24
|
|
1,107,544.43
|
1,439,575.13
|
|
|
|
|
|
|
|
|
|
|
|
|
|
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:2023年3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
|
2,934,916.26
|
2,602,474.63
|
短期借款
|
29
|
1,600,000.00
|
2,100,000.00
|
其中:现金
|
3
|
848.57
|
437.64
|
应付款项
|
30
|
2,223,697.18
|
2,510,752.18
|
银行存款
|
4
|
2,934,067.69
|
2,602,036.99
|
应付工资
|
31
|
|
|
短期投资
|
5
|
|
|
应付福利费
|
32
|
0.00
|
-373,428.54
|
应收款项
|
6
|
113,129.65
|
150,554.65
|
|
|
|
|
存货
|
7
|
|
|
流动负债合计
|
33
|
3,823,697.18
|
4,237,323.64
|
流动资产合计
|
8
|
3,048,045.91
|
2,753,029.28
|
|
|
|
|
|
|
|
|
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
|
10,039,398.00
|
10,096,739.43
|
|
|
|
|
减:累计折旧
|
19
|
|
|
负债合计
|
42
|
3,823,697.18
|
4,237,323.64
|
固定资产净值
|
20
|
10,039,398.00
|
10,096,739.43
|
|
|
|
|
固定资产清理
|
21
|
|
|
|
|
|
|
在建工程
|
22
|
9,474,971.79
|
9,605,762.64
|
所有者权益:
|
43
|
|
|
固定资产合计
|
23
|
19,514,369.79
|
19,702,502.07
|
资本
|
44
|
|
|
|
|
|
|
公积公益金
|
45
|
18,738,718.52
|
18,236,723.94
|
无形资产:
|
24
|
|
|
未分配收益
|
46
|
0.00
|
-18,516.23
|
无形资产
|
25
|
|
|
所有者权益合计
|
47
|
18,738,718.52
|
18,218,207.71
|
无形资产累计摊销
|
26
|
|
|
|
|
|
|
资产总计
|
27
|
22,562,415.70
|
22,455,531.35
|
负债及所有者权益总计
|
48
|
22,562,415.70
|
22,455,531.35
|
单位负责人:
|
制表人:
|
|
会计:
|
监委会(监事会):
|
|