截止2022年末英特组债务明细表
| 债务明细表 [1]—资产 |
| 单位:英特2015 |
| kemuname |
编码 |
期初余额 |
本期减少 |
本期新增 |
期末余额 |
| |
1 |
477,509.78 |
896,468.82 |
306,679.80 |
1,067,298.80 |
| 现金 |
101 |
6,780.80 |
48,966.76 |
54,897.00 |
850.56 |
| 应收款 |
112 |
95,191.32 |
777,302.06 |
209,392.80 |
663,100.58 |
| 乡经管站 |
00001 |
1,248.92 |
|
|
1,248.92 |
| 水泥杆厂 |
00002 |
500.00 |
|
|
500.00 |
| 章古台政府 |
00003 |
34,000.00 |
|
|
34,000.00 |
| 经管站-专户 |
00004 |
4,467.40 |
777,302.06 |
209,392.80 |
572,376.66 |
| 干珠组 |
00005 |
1,500.00 |
|
|
1,500.00 |
| 崔喜胜 |
00006 |
2,925.00 |
|
|
2,925.00 |
| 包海伦 |
00007 |
500.00 |
|
|
500.00 |
| 崔虎 |
00008 |
98,050.00 |
|
|
98,050.00 |
| 保沁他拉 |
00009 |
-48,000.00 |
|
|
-48,000.00 |
| 内部往来 |
113 |
-60,248.02 |
17,600.00 |
42,390.00 |
-85,038.02 |
| 侯宪春 |
P0002 |
6,269.61 |
|
|
6,269.61 |
| 潘井生 |
P0003 |
304.60 |
|
|
304.60 |
| 盛志树 |
P0005 |
344.00 |
|
|
344.00 |
| 潘井海 |
P0010 |
179.30 |
|
|
179.30 |
| 刘井兴 |
P0011 |
3,889.20 |
|
|
3,889.20 |
| 吴锋 |
P0015 |
97.00 |
|
|
97.00 |
| 孙凤谭 |
P0016 |
176.40 |
|
|
176.40 |
| 吕国富 |
P0017 |
1,003.65 |
|
8,000.00 |
-6,996.35 |
| 刘永军 |
P0019 |
185.40 |
|
|
185.40 |
| 姜凤秀 |
P0021 |
518.00 |
|
|
518.00 |
| 潘井和 |
P0024 |
117.60 |
|
|
117.60 |
| 姜宪文 |
P0027 |
219.60 |
|
|
219.60 |
| 张国富 |
P0028 |
604.10 |
|
|
604.10 |
| 潘玉祥 |
P0029 |
95.00 |
|
|
95.00 |
| 吴明 |
P0030 |
146.40 |
|
|
146.40 |
| 张振军 |
P0031 |
176.40 |
|
|
176.40 |
| 曹国庆 |
P0032 |
299.58 |
|
|
299.58 |
| 侯国友 |
P0035 |
95.48 |
|
|
95.48 |
| 张贵军 |
P0036 |
157.20 |
|
|
157.20 |
| 吕振才 |
P0037 |
544.80 |
|
|
544.80 |
| 刘庆元 |
P0039 |
160.40 |
|
|
160.40 |
| 盛志业 |
P0040 |
817.20 |
|
|
817.20 |
| 刘井云 |
P0043 |
1,451.60 |
|
|
1,451.60 |
| 刘井方 |
P0046 |
234.00 |
|
|
234.00 |
| 吴兴 |
P0048 |
93.20 |
|
|
93.20 |
| 吕国锋 |
P0051 |
126.30 |
|
|
126.30 |
| 任福全 |
P0053 |
156.80 |
|
|
156.80 |
| 潘井江 |
P0054 |
369.80 |
|
|
369.80 |
| 刘庆福 |
P0055 |
252.60 |
|
|
252.60 |
| 李文春 |
P0056 |
671.21 |
|
|
671.21 |
| 吕国金 |
P0057 |
136.40 |
|
|
136.40 |
| 吕贵洲 |
P0059 |
221.38 |
|
|
221.38 |
| 付永海 |
P0061 |
256.50 |
|
|
256.50 |
| 侯宪君 |
P0062 |
1,826.60 |
|
|
1,826.60 |
| 李祥 |
P0067 |
322.50 |
|
|
322.50 |
| 刘庆海 |
P0072 |
4,495.00 |
|
|
4,495.00 |
| 梁宪学 |
P0073 |
248.50 |
|
|
248.50 |
| 潘井有 |
P0076 |
508.50 |
|
|
508.50 |
| 郝玉祥 |
P0078 |
440.70 |
|
|
440.70 |
| 刘庆恩 |
P0079 |
109.00 |
|
|
109.00 |
| 刘井生 |
P0080 |
77.60 |
|
|
77.60 |
| 梁国芳 |
P0082 |
146.30 |
|
|
146.30 |
| 杨凤花 |
P0083 |
7,555.27 |
|
|
7,555.27 |
| 姜小娟 |
P0084 |
240.00 |
|
|
240.00 |
| 张守学 |
P0091 |
89.00 |
|
|
89.00 |
| 付永江 |
P0092 |
120.50 |
|
|
120.50 |
| 吕云洲 |
P0093 |
172.50 |
|
|
172.50 |
| 张桂林 |
P0094 |
202.50 |
|
|
202.50 |
| 刘庆华 |
P0095 |
337.50 |
|
|
337.50 |
| 任福军 |
P0096 |
420.00 |
|
|
420.00 |
| 郝凤云 |
P0100 |
2,000.00 |
|
|
2,000.00 |
| 张国有 |
P0106 |
285.00 |
|
|
285.00 |
| 张玉明 |
P0108 |
643.00 |
|
|
643.00 |
| 张桂军 |
P0109 |
550.00 |
|
|
550.00 |
| 刘庆祝 |
P0112 |
1,150.00 |
|
|
1,150.00 |
| 白建华 |
P0138 |
|
7,000.00 |
|
7,000.00 |
| 李艳玲 |
P0140 |
|
5,000.00 |
|
5,000.00 |
| 库存物资 |
121 |
3,640.00 |
|
|
3,640.00 |
| 铁皮柜 |
12101 |
2,300.00 |
|
|
2,300.00 |
| 电表(一块) |
12102 |
440.00 |
|
|
440.00 |
| 防水线(50米) |
12103 |
900.00 |
|
|
900.00 |
| 固定资产 |
151 |
432,145.68 |
52,600.00 |
|
484,745.68 |
| 空调 |
15103 |
6,900.00 |
|
|
6,900.00 |
| 2014 |
15104 |
280,520.00 |
|
|
280,520.00 |
| 打印机2 |
15105 |
3,700.00 |
|
|
3,700.00 |
| 电暖气1套 |
15106 |
7,279.68 |
|
|
7,279.68 |
| 空调3台 |
15107 |
11,250.00 |
|
|
11,250.00 |
| 1.6字台1个 |
15108 |
1,350.00 |
|
|
1,350.00 |
| 1.6字台2个 |
15109 |
2,500.00 |
|
|
2,500.00 |
| 办公椅8个 |
15110 |
3,840.00 |
|
|
3,840.00 |
| 单人床3套 |
15111 |
1,980.00 |
|
|
1,980.00 |
| 书柜1个 |
15112 |
1,400.00 |
|
|
1,400.00 |
| 1.2会议桌15个 |
15113 |
5,250.00 |
|
|
5,250.00 |
| 会议椅30个 |
15114 |
7,200.00 |
|
|
7,200.00 |
| 沙发2个 |
15115 |
1,800.00 |
|
|
1,800.00 |
| 电脑3台 |
15116 |
13,500.00 |
|
|
13,500.00 |
| 电视1台 |
15117 |
5,299.00 |
|
|
5,299.00 |
| 割草机 |
15118 |
1,575.00 |
|
|
1,575.00 |
| 电动车1 |
15119 |
3,922.00 |
|
|
3,922.00 |
| 办公桌4 |
15120 |
3,720.00 |
|
|
3,720.00 |
| 吧台椅4 |
15121 |
1,480.00 |
|
|
1,480.00 |
| 三人皮沙发2 |
15122 |
3,300.00 |
|
|
3,300.00 |
| 实木会议桌4 |
15123 |
7,880.00 |
|
|
7,880.00 |
| 打印机227 |
15124 |
3,600.00 |
|
|
3,600.00 |
| 打印机1106 |
15125 |
1,800.00 |
|
|
1,800.00 |
| 投影仪1 |
15126 |
4,500.00 |
|
|
4,500.00 |
| LED屏幕 |
15127 |
3,480.00 |
|
|
3,480.00 |
| 机电井1眼 |
15128 |
8,150.00 |
|
|
8,150.00 |
| 音响2020 |
15129 |
1,600.00 |
|
|
1,600.00 |
| 电动车2020 |
15130 |
6,000.00 |
|
|
6,000.00 |
| 潜水泵4个 |
15131 |
7,770.00 |
|
|
7,770.00 |
| 潜水泵1台(2021.8.31) |
15132 |
1,700.00 |
|
|
1,700.00 |
| 潜水泵1台(2021.8.30) |
15133 |
1,900.00 |
|
|
1,900.00 |
| 变压器8台(2021.12.31) |
15134 |
16,000.00 |
|
|
16,000.00 |
| 计生电脑 |
15135 |
|
4,600.00 |
|
4,600.00 |
| 活动室 |
15136 |
|
48,000.00 |
|
48,000.00 |
| |
2 |
-550,143.69 |
11,100.00 |
48,000.00 |
-587,043.69 |
| 短期借款 |
201 |
5,681.13 |
|
|
5,681.13 |
| 银信部门 |
20101 |
5,681.13 |
|
|
5,681.13 |
| 章古台信用社 |
2010101 |
5,681.13 |
|
|
5,681.13 |
| 应付款 |
202 |
486,993.08 |
11,100.00 |
48,000.00 |
523,893.08 |
| 章古台政府 |
00001 |
5,800.00 |
|
|
5,800.00 |
| 经管站-大镇 |
00002 |
-17,000.00 |
|
|
-17,000.00 |
| 保沁他拉组 |
00003 |
404,283.00 |
|
48,000.00 |
452,283.00 |
| 政府文化站 |
00005 |
-2,000.00 |
|
|
-2,000.00 |
| 苏永峰 |
00006 |
-1,840.00 |
|
|
-1,840.00 |
| 刘景林 |
00007 |
-4,450.00 |
|
|
-4,450.00 |
| 姜连海 |
00008 |
500.00 |
|
|
500.00 |
| 候特木乐 |
00009 |
-4.00 |
|
|
-4.00 |
| 吴士军 |
00010 |
-700.00 |
|
|
-700.00 |
| 苏建 |
00011 |
500.00 |
|
|
500.00 |
| 李建华 |
00012 |
-2,000.00 |
|
|
-2,000.00 |
| 郝凤云 |
00013 |
-1,000.00 |
|
|
-1,000.00 |
| 供电所 |
00014 |
1,687.91 |
|
|
1,687.91 |
| 王向明 |
00015 |
3,000.00 |
|
|
3,000.00 |
| 石玉荣 |
00016 |
-8.00 |
|
|
-8.00 |
| 齐振利 |
00017 |
500.00 |
|
|
500.00 |
| 宋春荣 |
00019 |
10,076.00 |
|
|
10,076.00 |
| 沈彦春 |
00020 |
-800.00 |
|
|
-800.00 |
| 刘庆忠 |
00021 |
-1,100.00 |
|
|
-1,100.00 |
| 徐宝良 |
00022 |
-1,000.00 |
|
|
-1,000.00 |
| 刘海林 |
00023 |
500.00 |
|
|
500.00 |
| 陈凤忠 |
00024 |
5,120.00 |
|
|
5,120.00 |
| 布和特木乐 |
00025 |
9.00 |
|
|
9.00 |
| 周汉玉 |
00026 |
-280.00 |
|
|
-280.00 |
| 白顺 |
00027 |
-250.00 |
|
|
-250.00 |
| 胡日查 |
00028 |
5.00 |
|
|
5.00 |
| 刘景 林 |
00029 |
-31,750.00 |
|
|
-31,750.00 |
| 张富 |
00030 |
10.00 |
|
|
10.00 |
| 双亮 |
00031 |
550.00 |
|
|
550.00 |
| 王磊 |
00032 |
6,900.00 |
6,900.00 |
|
|
| 张铁龙 |
00033 |
0.20 |
|
|
0.20 |
| 潘井全 |
00034 |
-17,787.00 |
|
|
-17,787.00 |
| 双喜 |
00035 |
350.00 |
|
|
350.00 |
| 梁素萍 |
00036 |
2,700.00 |
|
|
2,700.00 |
| 张丽民 |
00037 |
300.00 |
|
|
300.00 |
| 宋建华 |
00038 |
630.00 |
|
|
630.00 |
| 刘伍 |
00039 |
270.00 |
|
|
270.00 |
| 张建华 |
00041 |
31.00 |
|
|
31.00 |
| 盛玉军 |
00042 |
1,620.00 |
|
|
1,620.00 |
| 张玲玉 |
00043 |
12,276.47 |
|
|
12,276.47 |
| 杨兴华 |
00044 |
3,220.00 |
|
|
3,220.00 |
| 任福全 |
00045 |
16,236.50 |
|
|
16,236.50 |
| 任福军 |
00047 |
845.00 |
|
|
845.00 |
| 王利波 |
00048 |
17,650.00 |
|
|
17,650.00 |
| 雷淑荣 |
00049 |
750.00 |
|
|
750.00 |
| 盛玉明 |
00050 |
150.00 |
|
|
150.00 |
| 潘喜贺 |
00051 |
2,000.00 |
|
|
2,000.00 |
| 吴凤学 |
00052 |
420.00 |
|
|
420.00 |
| 吴凤钟 |
00053 |
1,020.00 |
|
|
1,020.00 |
| 刘国明 |
00054 |
820.00 |
|
|
820.00 |
| 潘玉民 |
00055 |
1,450.00 |
|
|
1,450.00 |
| 张桂军 |
00056 |
420.00 |
|
|
420.00 |
| 刘彦军 |
00057 |
3,100.00 |
|
|
3,100.00 |
| 董志辉 |
00058 |
15,750.00 |
|
|
15,750.00 |
| 李富 |
00059 |
850.00 |
|
|
850.00 |
| 张桂祥 |
00060 |
1,700.00 |
|
|
1,700.00 |
| 刘敏 |
00061 |
2,600.00 |
|
|
2,600.00 |
| 张令辉 |
00062 |
1,050.00 |
|
|
1,050.00 |
| 郝凤学 |
00063 |
600.00 |
|
|
600.00 |
| 刘国扬 |
00064 |
1,050.00 |
|
|
1,050.00 |
| 张喜生 |
00065 |
400.00 |
|
|
400.00 |
| 潘井堂 |
00066 |
300.00 |
|
|
300.00 |
| 张国友 |
00067 |
400.00 |
|
|
400.00 |
| 潘喜波 |
00068 |
2,150.00 |
|
|
2,150.00 |
| 吕国福 |
00069 |
750.00 |
|
|
750.00 |
| 刘强 |
00070 |
650.00 |
|
|
650.00 |
| 赵明泉 |
00071 |
400.00 |
|
|
400.00 |
| 王秀环 |
00072 |
125.00 |
|
|
125.00 |
| 李振虎 |
00074 |
14,430.00 |
|
|
14,430.00 |
| 刘 景林 |
00076 |
8,750.00 |
|
|
8,750.00 |
| 赵亮 |
00077 |
4,200.00 |
4,200.00 |
|
|
| 程宝贵 |
00079 |
-550.00 |
|
|
-550.00 |
| 赵忠富 |
00080 |
6,100.00 |
|
|
6,100.00 |
| 干珠组 |
00081 |
1,557.00 |
|
|
1,557.00 |
| 长期借款及应付款 |
221 |
57,469.48 |
|
|
57,469.48 |
| 银信部门 |
22101 |
57,469.48 |
|
|
57,469.48 |
| 信用社 |
2210101 |
57,469.48 |
|
|
57,469.48 |
| |
3 |
72,633.91 |
287,463.04 |
840,352.06 |
-480,255.11 |
| 公积公益金 |
311 |
630,376.69 |
|
|
630,376.69 |
| 本年收益 |
321 |
-703,010.60 |
287,463.04 |
840,352.06 |
-150,121.58 |
| |
5 |
|
1,127,815.10 |
1,127,815.10 |
|
| 补助收入 |
522 |
|
63,050.00 |
63,050.00 |
|
| 财政转移支付收入 |
52201 |
|
63,050.00 |
63,050.00 |
|
| 其他收入 |
531 |
|
777,302.06 |
777,302.06 |
|
| 其他收入 |
53199 |
|
777,302.06 |
777,302.06 |
|
| 管理费用 |
541 |
|
49,105.73 |
49,105.73 |
|
| 办公费 |
54101 |
|
4,606.00 |
4,606.00 |
|
| 报刊费 |
54102 |
|
240.00 |
240.00 |
|
| 水电费 |
54104 |
|
1,369.73 |
1,369.73 |
|
| 差旅费 |
54107 |
|
1,390.00 |
1,390.00 |
|
| 人工支出 |
54113 |
|
41,500.00 |
41,500.00 |
|
| 其他支出 |
551 |
|
238,357.31 |
238,357.31 |
|
| 其它 |
55199 |
|
238,357.31 |
238,357.31 |
|
债务明细表 英特.xls