2022年聂店村科目余额表
  • 发布时间:2022-07-14
  • 信息来源:广水市关庙镇
  • 【字体:

单位:聂店村
科目代码科目名称借方贷方借方贷方借方贷方借方贷方
102银行存款7,114.67
51,830.0040,000.00666,358.07851,668.5018,944.67
102001  专户存款7,114.67
51,830.0040,000.00666,358.07851,668.5018,944.67
112应收款114,139.90


74,010.00183,605.50114,139.90
112001  历史应收款99,739.90




99,739.90
112002  预算拨款14,400.00


74,010.0074,010.0014,400.00
112003  票开款未到




109,595.50

113内部往来164,121.00




164,121.00
151固定资产984,100.00
60,000.00
76,100.00
1,044,100.00
154在建工程40,000.00




40,000.00
202应付款


20,000.00
20,000.00
20,000.00
221长期借款及应付款
2,463,426.00

16,944.00

2,463,426.00
241专项应付款
83,400.0060,000.0040,000.00170,331.0050,000.00
63,400.00
241001  产业扶贫



40,500.00


241002  厕所革命
83,400.0060,000.0040,000.00102,000.0040,000.00
63,400.00
241007  疫情防控



17,831.0010,000.00

241008  短板资金



10,000.00


321本年收益
-173,360.93
173,360.93742,303.50742,303.50

322收益分配
-1,063,989.50161,530.9360,000.00161,530.9360,000.00
-1,165,520.43
32202  收益分配
-1,063,989.50161,530.9360,000.00161,530.9360,000.00
-1,165,520.43
522补助收入

11,830.0011,830.00570,772.57570,772.57

522001  转移支付



86,010.0086,010.00

522002  上级拨款

11,830.0011,830.00484,762.57484,762.57

531其他收入



10,000.0010,000.00

531002  基础设施建设



10,000.0010,000.00

541管理费用



74,010.0074,010.00

541001  干部报酬



70,038.0070,038.00

541006  报刊费



3,972.003,972.00

551其他支出



668,293.50668,293.50

551001  机耕路



28,200.0028,200.00

551002  塘堰整修



153,174.00153,174.00

551005  护林防火



32,550.6032,550.60

551014  天然林管护



6,352.506,352.50

551015  生态林管护



45,000.0045,000.00

551017  垃圾治理



14,159.0014,159.00

551020  产业扶贫



15,000.0015,000.00

551022  公路建设



129,700.00129,700.00

551023  垃圾治理



2,157.402,157.40

551025  文化广场



29,200.0029,200.00

551031  渠道建设



13,020.0013,020.00

551037  禁捕渔船



104,400.00104,400.00

551038  人口普查



6,000.006,000.00

551039  疫情防控



20,000.0020,000.00

551040  下水道整修



29,780.0029,780.00

551041  绿化美化



29,600.0029,600.00

551042  河坝整修



10,000.0010,000.00

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