2014年科目余额表
                    
                    
                        
                            
| 科目余额表 | 
| 单位:糖坊村 | 
| 科目代码 | 
科目名称 | 
借方 | 
贷方 | 
借方 | 
贷方 | 
借方 | 
贷方 | 
借方 | 
贷方 | 
| 101 | 
现金 | 
-48,949.49 | 
  | 
635,557.11 | 
585,416.62 | 
635,557.11 | 
585,416.62 | 
1,191.00 | 
  | 
| 102 | 
银行存款 | 
  | 
  | 
  | 
  | 
  | 
  | 
  | 
  | 
| 111 | 
短期投资 | 
  | 
  | 
  | 
  | 
  | 
  | 
  | 
  | 
| 112 | 
应收款 | 
588,094.42 | 
  | 
146,160.00 | 
127,640.00 | 
146,160.00 | 
127,640.00 | 
606,614.42 | 
  | 
| 113 | 
内部往来 | 
130,719.01 | 
  | 
11,563.68 | 
53,183.18 | 
11,563.68 | 
53,183.18 | 
89,099.51 | 
  | 
| 121 | 
库存物资 | 
10,280.60 | 
  | 
  | 
  | 
  | 
  | 
10,280.60 | 
  | 
| 131 | 
牲畜(禽)资产 | 
  | 
  | 
  | 
  | 
  | 
  | 
  | 
  | 
| 132 | 
林木资产 | 
  | 
  | 
  | 
  | 
  | 
  | 
  | 
  | 
| 141 | 
长期投资 | 
  | 
  | 
  | 
  | 
  | 
  | 
  | 
  | 
| 151 | 
固定资产 | 
482,983.45 | 
  | 
31,099.00 | 
  | 
31,099.00 | 
  | 
514,082.45 | 
  | 
| 152 | 
累计折旧 | 
  | 
  | 
  | 
  | 
  | 
  | 
  | 
  | 
| 153 | 
固定资产清理 | 
  | 
  | 
  | 
  | 
  | 
  | 
  | 
  | 
| 154 | 
在建工程 | 
  | 
  | 
  | 
  | 
  | 
  | 
  | 
  | 
| 161 | 
无形资产 | 
  | 
  | 
  | 
  | 
  | 
  | 
  | 
  | 
| 201 | 
短期借款 | 
  | 
  | 
  | 
  | 
  | 
  | 
  | 
  | 
| 202 | 
应付款 | 
  | 
2,121.58 | 
20,800.00 | 
35,389.40 | 
20,800.00 | 
35,389.40 | 
  | 
16,710.98 | 
| 211 | 
应付工资 | 
  | 
  | 
  | 
  | 
  | 
  | 
  | 
  | 
| 212 | 
应付福利费 | 
  | 
-10,466.46 | 
  | 
  | 
  | 
  | 
  | 
-10,466.46 | 
| 221 | 
长期借款及应付款 | 
  | 
1,051,109.26 | 
2,700.00 | 
  | 
2,700.00 | 
  | 
  | 
1,048,409.26 | 
| 231 | 
一事一议资金 | 
  | 
  | 
  | 
  | 
  | 
  | 
  | 
  | 
| 241 | 
专项应付款 | 
  | 
  | 
  | 
  | 
  | 
  | 
  | 
  | 
| 301 | 
资本 | 
  | 
112,822.52 | 
  | 
  | 
  | 
  | 
  | 
112,822.52 | 
| 311 | 
公积公益金 | 
  | 
7,541.09 | 
  | 
  | 
  | 
  | 
  | 
7,541.09 | 
| 322 | 
收益分配 | 
  | 
  | 
  | 
  | 
  | 
  | 
  | 
  | 
| 401 | 
生产(劳务)成本 | 
  | 
  | 
  | 
  | 
  | 
  | 
  | 
  | 
| 501 | 
经营收入 | 
  | 
  | 
  | 
  | 
  | 
  | 
  | 
  | 
| 502 | 
经营支出 | 
  | 
  | 
  | 
  | 
  | 
  | 
  | 
  | 
| 511 | 
发包及上交收入 | 
  | 
  | 
  | 
152,296.00 | 
  | 
152,296.00 | 
  | 
152,296.00 | 
| 522 | 
补助收入 | 
  | 
  | 
  | 
124,555.88 | 
  | 
124,555.88 | 
  | 
124,555.88 | 
| 531 | 
其他收入 | 
  | 
  | 
  | 
167,382.05 | 
  | 
167,382.05 | 
  | 
167,382.05 | 
| 541 | 
管理费用 | 
  | 
  | 
116,495.20 | 
  | 
116,495.20 | 
  | 
116,495.20 | 
  | 
| 551 | 
其他支出 | 
  | 
  | 
281,488.14 | 
  | 
281,488.14 | 
  | 
281,488.14 | 
  | 
| 561 | 
投资收益 | 
  | 
  | 
  | 
  | 
  | 
  | 
  | 
  |