收支明细
                    
                    
                        
                                   
| 收支明细表  [5]—损益 | 
| 单位:南乌兰额日格 | 
| 凭证字 | 
对方科目 | 
日期 | 
摘要 | 
支出 | 
收入 | 
经办人 | 
| 记-4 | 
现金 | 
2023-3-31 | 
付村办事用车工 | 
6,780.00 | 
  | 
  | 
| 记-5 | 
101,112 | 
2023-3-31 | 
拨21年经费 | 
  | 
25,000.00 | 
  | 
| 记-7 | 
现金 | 
2023-3-31 | 
庆七一活动费用 | 
4,480.00 | 
  | 
  | 
| 记-8 | 
现金 | 
2023-3-31 | 
买煤 | 
3,500.00 | 
  | 
  | 
| 记-9 | 
现金 | 
2023-3-31 | 
付网费 | 
1,309.14 | 
  | 
  | 
| 记-11 | 
现金 | 
2023-3-31 | 
付刻章及资料图书等款 | 
1,570.98 | 
  | 
  | 
| 记-12 | 
现金 | 
2023-3-31 | 
核查林木成活用工等 | 
4,000.00 | 
  | 
  | 
| 记-13 | 
112,55199 | 
2023-3-31 | 
拨公益岗工资 | 
  | 
4,380.00 | 
  | 
| 记-13 | 
112,52201 | 
2023-3-31 | 
支款付公益岗工资 | 
4,380.00 | 
  | 
  | 
| 记-14 | 
112,55199 | 
2023-3-31 | 
拨公益岗工资 | 
  | 
5,110.00 | 
  | 
| 记-14 | 
112,52201 | 
2023-3-31 | 
支款付公益岗工资 | 
5,110.00 | 
  | 
  | 
| 记-15 | 
现金 | 
2023-3-31 | 
付党建文书工资 | 
2,000.00 | 
  | 
  | 
| 记-16 | 
现金 | 
2023-3-31 | 
给贫困户交医疗保险 | 
2,960.00 | 
  | 
  | 
| 记-18 | 
应收款 | 
2023-3-31 | 
转存党建给修缮资金 | 
  | 
23,300.00 | 
  | 
| 记-19 | 
现金 | 
2023-3-31 | 
付办事用车工  | 
6,300.00 | 
  | 
  | 
| 记-20 | 
101,112 | 
2023-3-31 | 
拨21年经费 | 
  | 
22,500.00 | 
  | 
| 记-21 | 
101,112 | 
2023-3-31 | 
拨22年经费 | 
  | 
35,950.00 | 
  | 
| 记-22 | 
现金 | 
2023-3-31 | 
付村部电费 | 
1,087.93 | 
  | 
  | 
| 记-26 | 
现金 | 
2023-3-31 | 
买鼠标 | 
200.00 | 
  | 
  | 
| 记-27 | 
现金 | 
2023-3-31 | 
给贫困户交医疗保险 | 
1,560.00 | 
  | 
  | 
| 记-28 | 
现金 | 
2023-3-31 | 
付网费 | 
1,400.00 | 
  | 
  | 
| 记-29 | 
现金 | 
2023-3-31 | 
买办公用品 | 
820.00 | 
  | 
  | 
| 记-31 | 
现金 | 
2023-3-31 | 
付报刊费 | 
504.00 | 
  | 
  | 
| 记-32 | 
现金 | 
2023-3-31 | 
付村部修缮费 | 
8,400.00 | 
  | 
  | 
| 记-33 | 
应收款 | 
2023-3-31 | 
存土地承包费 | 
  | 
20,000.00 | 
  | 
| 记-34 | 
现金 | 
2023-3-31 | 
付装卸费 | 
8,360.00 | 
  | 
  | 
| 记-35 | 
现金 | 
2023-3-31 | 
收卖树款 | 
  | 
20,000.00 | 
  | 
| 记-38 | 
现金 | 
2023-3-31 | 
付杨晓宝诉讼费 | 
935.00 | 
  | 
  | 
| 记-39 | 
现金 | 
2023-3-31 | 
付村部维修费 | 
18,600.00 | 
  | 
  | 
| 记-40 | 
现金 | 
2023-3-31 | 
付车工 | 
2,000.00 | 
  | 
  | 
| 记-41 | 
现金 | 
2023-3-31 | 
付报刊费 | 
480.00 | 
  | 
  | 
| 记-42 | 
现金 | 
2023-3-31 | 
买煤款 | 
10,713.60 | 
  | 
  | 
| 记-43 | 
现金 | 
2023-3-31 | 
付两委保险费 | 
720.00 | 
  | 
  | 
| 记-44 | 
现金 | 
2023-3-31 | 
付车工  | 
23,350.00 | 
  | 
  | 
| 记-45 | 
现金 | 
2023-3-31 | 
付办事开会车工 | 
7,000.00 | 
  | 
  | 
| 记-46 | 
应收款 | 
2023-3-31 | 
转存金瑞洋公司分红款 | 
  | 
4,000.00 | 
  | 
| 记-47 | 
112,55199 | 
2023-3-31 | 
拨22年公益岗工资 | 
  | 
10,220.00 | 
  | 
| 记-47 | 
112,52201 | 
2023-3-31 | 
支款付22年公益岗工资 | 
10,220.00 | 
  | 
  | 
| 记-48 | 
112,55199 | 
2023-3-31 | 
拨公益岗工资 | 
  | 
8,760.00 | 
  | 
| 记-48 | 
112,52201 | 
2023-3-31 | 
支款付公益岗工资 | 
8,760.00 | 
  | 
  |